Aviation Transport Security (Incident Reporting) Instrument 2018

Administered by Department of Home Affairs

Legislation au F2018L01370 Not in force Legislative Instrument

Legislation content

EXPLANATORY STATEMENT

 

Issued by Authority of the Delegate of the Secretary of the Department of Home Affairs
 
Subject -
Aviation Transport Security (Incident Reporting) Instrument 2018
 
Aviation Transport Security Act 2004


The Aviation Transport Security Act 2004 (the Act) establishes a regulatory framework to safeguard against unlawful interference with aviation. A part of that regulatory framework is the requirement (set out in Part 6 of the Act) to report aviation security incidents. Section 99 of the Act defines each of the following as an aviation security incident:

(a)        a threat of unlawful interference with aviation;

(b)        an unlawful interference with aviation.

 
Subsection 104(1) of the Act provides that airport operators must report aviation security incidents in accordance with section 104. In particular, paragraph 104(4)(a) provides that an aviation security incident that relates to the airport of the airport operator must be reported to the Secretary of the Department of Home Affairs (the Secretary).

Subsection 105(1) provides that aircraft operators must report aviation security incidents in accordance with section 105. In particular, paragraph 105(4)(a) provides that an aviation security incident that relates to an aircraft of the aircraft operator must be reported to the Secretary.

Subsection 106(2) provides that other persons with incident reporting responsibilities (identified in subsection 102(4)) must also report aviation security incidents to the Secretary.

Section 107 of the Act sets out how reports are to be made. Subsection 107(1) of the Act provides that the Secretary may, by legislative instrument, specify either or both of the following:

 (a)                information that must be included in a report required by Part 6 of the Act;

(b)               the way in which the report must be made.

 

Subsection 107(3) of the Act provides that if a report is made under Part 6 of the Act and the report does not comply with the requirements of the legislative instrument made under subsection 107(1), then that report is taken not to have been made.  

 

Subsection 127(1) of the Act enables the Secretary to delegate all or any of the Secretary’s powers and functions under the Act to, among others, a Senior Executive Service (SES) employee in the Department of Home Affairs (the Department). On 9 April 2018, the Secretary delegated the power under subsection 107(1) of the Act to, among others, the SES Band 2 of the Aviation and Maritime Security Division of the Department.

The Aviation Transport Security (Incident Reporting) Instrument 2018 (the Instrument) repeals and replaces the Aviation Transport Security (Incident Reporting) Instrument 2015 (the Principal Instrument). The Instrument sets out the information that must be included in a report to the Secretary under Part 6 of the Act. The information includes, for example, the date, time and location of the aviation security incident; the name of the person reporting the incident; the aviation industry participant to which the incident directly relates; and a description of the incident, including an indication of whether the incident was a threat of unlawful interference with aviation or an unlawful interference with aviation. 

The Instrument also states that a report is to be made to the Department in writing, or orally and followed up in writing, within 24 hours.

Information contained in such reports allows the Department to capture and efficiently monitor aviation security incidents. The reports also provide information to enable the Australian Government to comply with its international obligations to report aviation security incidents to the International Civil Aviation Organization.

 

The Department of Home Affairs engages in regular dialogue with industry in order to ensure that our national interests are secure. A focus of the Department is to ensure that aviation security laws are effective and enable the facilitation of trade and travel activities. Through this ongoing dialogue the Department regularly receives feedback on proposed legislation change and it takes that feedback into account before legislation is changed.

 

In this case, the Department consulted with aviation industry participants at industry forums such as the Aviation Security Advisory Forum (ASAF) and Regional Industry Consultative Meeting (RICM). These forums have a wide range of regulated aviation industry participants including airport authorities, screening authorities, screening operators, airlines and industry bodies.  The Department advised that this instrument would be made in substantially the same form as the previous instrument and that the only notable changes were to address administrative issues such as out-of-date contact information following machinery of government changes. With the nature of the instrument and the close relationship the Department has with industry considered, the consultation undertaken for this instrument is appropriate and reasonably practicable to undertake.

The Department will be issuing industry participants with updated guidance in October 2018 and will be presenting on incident reporting at the combined ASAF and RICM forum in November 2018.  

The Office of Best Practice Regulation (OBPR) has been consulted in relation to the making of the Instrument. OBPR has advised that a Regulation Impact Statement is not required to remake the instrument (OBPR ID: 23791).

 

A Statement of Compatibility with Human Rights is set out in the Attachment.

 

The Act does not specify any conditions that need to be satisfied before the power to make the Instrument may be exercised.

 

The Instrument is a legislative instrument for the purposes of the Legislation Act 2003

 

The Instrument commences on the day after it is registered on the Federal Register of Legislation.

 

Authority:            Subsection 107(1) and section 127 of the

Aviation Transport Security Act 2004


 

Attachment

 

Statement of Compatibility with Human Rights

 

Prepared in accordance with Part 3 of the Human Rights (Parliamentary Scrutiny) Act 2011

Aviation Transport Security (Incident Reporting) Instrument 2018

This Legislative Instrument is compatible with the human rights and freedoms recognised or declared in the international instruments listed in section 3 of the Human Rights (Parliamentary Scrutiny) Act 2011.

 Overview of the Legislative Instrument

The Legislative Instrument is a new Instrument setting out what is to be included in aviation security incident reports made under the Aviation Transport Security Act 2004 and how those reports are to be made. The Legislative Instrument substantially replicates the Aviation Transport Security (Incident Reporting) Instrument 2015.

Human rights implications

This Legislative Instrument does not engage any of the applicable rights or freedoms.

Conclusion

This Legislative Instrument is compatible with human rights as it does not raise any human rights issues.

 

 

ANGUS KIRKWOOD

Acting First Assistant Secretary, Aviation and Maritime Security Division

Department of Home Affairs

 

 

 

Overview

The Aviation Transport Security (Incident Reporting) Instrument 2018 was enacted to provide a framework for reporting aviation security incidents under the Aviation Transport Security Act 2004. This Act was established to create a regulatory environment that protects against unlawful interference with aviation. The Instrument aims to ensure that the reporting of aviation security incidents is conducted in a consistent and comprehensive manner, facilitating effective monitoring and response by the Department of Home Affairs. The Instrument outlines the necessary details to be included in such reports and the manner in which they should be submitted, thereby supporting the Australian Government's compliance with international reporting obligations. This legislative instrument was made by the Secretary of the Department of Home Affairs, following consultation with relevant aviation industry stakeholders and advice from the Office of Best Practice Regulation. The primary policy objective is to maintain the security of the aviation industry while ensuring efficient and compliant incident reporting practices. The Instrument maintains a focus on ensuring that aviation security laws are effective, enabling the facilitation of trade and travel. It does so by specifying the information required in incident reports and the method of report submission, aiming to address administrative issues such as outdated contact information. The Department of Home Affairs engages with industry through forums such as the Aviation Security Advisory Forum and Regional Industry Consultative Meeting to ensure that national security interests are safeguarded. The consultation process considered the nature of the Instrument and the close relationship with industry, deeming the consultation undertaken as appropriate and reasonably practicable. This approach ensures that the legislative instrument aligns with the ongoing dialogue between the Department and the aviation industry.

Scope and Application

The Aviation Transport Security (Incident Reporting) Instrument 2018, issued under the authority of the Secretary of the Department of Home Affairs, outlines the requirements for reporting aviation security incidents in Australia. This legislative instrument applies to airport operators, aircraft operators, and other persons identified in the Aviation Transport Security Act 2004 who have incident reporting responsibilities. These entities must report any aviation security incidents, which include threats of unlawful interference and actual unlawful interference with aviation, to the Secretary of the Department of Home Affairs. The Instrument specifies that these reports must include detailed information such as the date, time, and location of the incident, the identity of the reporting person, the industry participant to whom the incident relates, and a description of the incident. Reports must be made within 24 hours, either in writing or orally followed up by written communication. The Instrument was developed following consultations with various aviation industry participants through forums like the Aviation Security Advisory Forum and Regional Industry Consultative Meeting. It is a legislative instrument under the Legislation Act 2003 and comes into effect upon registration on the Federal Register of Legislation.

Key Provisions

The Aviation Transport Security (Incident Reporting) Instrument 2018 (the Instrument) outlines the requirements for reporting aviation security incidents, in accordance with sections 104, 105 and 106 of the Aviation Transport Security Act 2004 (the Act). Specifically, section 104 requires airport operators to report incidents that relate to the airport to the Secretary of the Department of Home Affairs, while section 105 requires aircraft operators to report incidents related to their aircraft to the Secretary. Section 106 mandates that other persons with incident reporting responsibilities, as identified in the Act, must also report incidents to the Secretary. The Instrument provides detailed instructions on the information that must be included in these reports and the manner in which they must be submitted. The obligations imposed by the Instrument include the requirement for airport operators, aircraft operators, and other relevant parties to provide timely and comprehensive reports on any aviation security incidents. Reports must include specific details such as the date, time, and location of the incident, the name of the person reporting the incident, the aviation industry participant to which the incident directly relates, and a description of the incident. Furthermore, the Instrument specifies that reports must be made to the Department in writing or orally and followed up in writing within 24 hours of the incident. These obligations are designed to ensure that the Department can efficiently monitor and respond to aviation security incidents. Failure to comply with the reporting requirements outlined in the Instrument can lead to significant consequences. Under subsection 107(3) of the Act, if a report does not comply with the requirements of the Instrument, it is considered not to have been made. This can result in regulatory action against the non-compliant party, including fines or other penalties. While the Instrument does not specify maximum penalties, the Act provides a framework within which such penalties can be imposed, ensuring that compliance is strictly enforced. Additionally, the Instrument's compliance with human rights is addressed through a Statement of Compatibility with Human Rights, confirming that the Instrument does not engage any of the applicable rights or freedoms as outlined in the Human Rights (Parliamentary Scrutiny) Act 2011. This statement assures that the reporting requirements do not infringe on human rights and freedoms, thereby maintaining the legitimacy and necessity of the regulatory framework.

Legal classification tags

Area of Law
Aviation Law
National Security Law
Instrument
Legislative Instrument
Concepts
Definitions & Interpretation
Reporting & Disclosure Obligations
Compliance Obligations
Delegated & Subordinate Legislation

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Sourced from the Federal Register of Legislation at 26 August 2026. For the latest information on Australian Government law please go to https://www.legislation.gov.au.