Export Control (Unprocessed Wood) Regulations (Amendment)

Administered by Department of Agriculture

Legislation au F1997B01009 Regulations Not in force Legislative Instrument

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Export Control (Unprocessed Wood) Regulations (Amendment) 1996 No. 338

EXPLANATORY STATEMENT

STATUTORY RULES 1996 No. 338

Issued by the Authority of the Minister for Primary Industries and Energy

Export Control Act 1982

Export Control (Unprocessed Wood) Regulations (Amendment)

Section 25 of the Export Control Act 1982 (the Act) provides that the Governor-General may make regulations for the purpose of the Act.

The Act provides for the control of the export of certain prescribed goods. The purpose of the Export Control (Unprocessed Wood) Regulations (Statutory Rules 1986 No. 79) is to prescribe specific licensing restrictions to apply to the export of unprocessed wood (except for hardwood chips which are prescribed under the Export Control (Hardwood Wood Chips) (1996) Regulations).

The purpose of the amendments is to give effect to the National Forest Policy Statement and the Wood and Paper Industry Strategy initiative to remove controls over the export of unprocessed public and private plantation wood subject to the application of codes of practice to protect environmental values. The codes of practice are defined in the regulations and relate to the practices adopted in a State for the establishment, management and harvesting of plantations.

This initiative is part of a package of measures designed to increase investment in plantations in Australia. At the present time, export controls are not applied to any other agricultural product, and the existence of the controls on wood has been represented by industry as a significant disincentive to investment by agricultural land holders in forestry. The removal of export controls is expected to see more landholders choose to invest in tree fanning in preference to other agricultural activities. This is expected to have environmental and commercial benefits for Australian agriculture and rural Australia. It is hoped to lead to growth in regional employment opportunities and, in the long term, the development of an internationally competitive wood processing industry.

Export controls have been seen as providing some protection for environmental values in Australian native forests. However, the environmental impacts of plantations are most relevant when plantations are being established. The effectiveness of controls on exports (where the exports take place up to 50 years after the plantations were established) in addressing the protection of environmental values has been questioned by successive inquiries into the Australian Forest industry. Further, in recent years Commonwealth, State and Territory Governments have agreed on National Plantations Principles, and these principles have been designed to have regard to these impacts.

These amendments do not alter the arrangements currently applying to exports of hardwood chips from Australian native forests.

The amendments remove controls over the export of unprocessed public and private plantation wood for a State only where:

*       CSIRO has conducted an assessment of a State's plantation code of practice for the protection of environmental values and

*       the Minister, on considering CSIRO's assessment report finds the State's plantation code of practice either satisfactorily protects environmental and heritage values or the code substantially protects values and the State agrees to amend the code to ensure satisfactory protection of environmental and heritage values.

Details of the proposed regulations are as follows.'

Regulation 1 provides for the Export Control (Unprocessed Wood) Regulations to be amended by these regulations and for commencement on gazettal.

Regulation 2 provides for definitions of certain terms in the Regulations.

Regulation 3 provides for the declaration of prescribed goods not to apply to unprocessed plantation wood in a State where its plantation code of practice has been approved by the Minister under new regulation 4B.

Regulation 4A provides that the Minister may not give preference to one State or any part thereof over another State or any part thereof.

Regulation 4B provides for the Minister to approve a code of practice for a State where CSIRO has conducted an assessment of a State's plantation code of practice for the protection of environmental values and the Minister, on considering CSIRO's assessment report, finds the State's plantation code of practice either satisfactorily protects environmental and heritage values or the code substantially protects values and the State agrees to amend the code to ensure satisfactory protection of environmental and heritage values. The regulation also provides for the gazettal of a notice of approval.

Regulation 4C provides that the Minister must not revoke an approval of a State's code of practice unless he/she has considered a CSIRO assessment report and finds that the code doe's not now satisfactorily protect environmental and heritage values in that State.

Regulation 5 simplifies the matters the Minister may have regard to in considering the granting of an export licence for unprocessed wood, without restricting the matters which might be relevant. It also gives attention to information on the effect on the environment of obtaining the prescribed goods.

Regulation 6 provides for the Minister's decisions under regulation 4B and 4C to be reviewed by the Administrative Appeals Tribunal.

Regulation 7 requires a statement to be included in a notice regarding the Minister's decisions under regulation 4B and 4C which advises of the relevant avenue of appeal.

Regulation 8 amends regulation 18 on delegation to not allow the Minister to delegate his powers under regulation 4B and 4C.

Overview

The Export Control (Unprocessed Wood) Regulations (Amendment) 1996 No. 338 were enacted to amend the Export Control (Unprocessed Wood) Regulations, which fall under the Export Control Act 1982. These regulations were introduced to address the problem of export controls on unprocessed wood, particularly plantation wood, which was seen as a significant disincentive to investment in forestry by agricultural landholders. The legislative amendments aimed to align with the National Forest Policy Statement and the Wood and Paper Industry Strategy initiative by removing export controls on unprocessed public and private plantation wood, provided that certain environmental protections are in place. The policy objective of these amendments is to foster increased investment in plantations in Australia, which is expected to provide environmental and commercial benefits, enhance regional employment opportunities, and contribute to the development of an internationally competitive wood processing industry. The amendments were issued under the authority of the Minister for Primary Industries and Energy and are designed to facilitate the growth of the forestry sector while ensuring that environmental values are adequately protected through the application of approved codes of practice.

Scope and Application

The Export Control (Unprocessed Wood) Regulations (Amendment) 1996 No. 338 applies to the export of unprocessed wood from Australia, specifically targeting public and private plantation wood, while excluding hardwood chips which are governed by separate regulations. This legislation amends the Export Control Act 1982 to align with the National Forest Policy Statement and the Wood and Paper Industry Strategy, aiming to boost investment in forestry by removing export controls on plantation wood, contingent on adherence to environmental protection codes of practice. The application of these regulations is contingent on assessments by the Commonwealth Scientific and Industrial Research Organisation (CSIRO) and decisions by the Minister for Primary Industries and Energy, who must find that the State's code of practice either satisfactorily protects or substantially protects environmental and heritage values, with an agreement from the State to amend the code for satisfactory protection if necessary. The regulations also provide for the review of the Minister's decisions by the Administrative Appeals Tribunal and stipulate that certain powers cannot be delegated. These amendments are designed to promote environmental stewardship while fostering economic growth in the forestry sector, with the ultimate aim of enhancing regional employment and developing a competitive wood processing industry.

Key Provisions

The Export Control (Unprocessed Wood) Regulations (Amendment) 1996 (No. 338) introduces several significant changes to the Export Control Act 1982 (the Act) concerning the export of unprocessed wood. Under Regulation 3, the regulations amend the Export Control (Unprocessed Wood) Regulations to exclude unprocessed plantation wood from a State where its plantation code of practice has been approved by the Minister. Regulation 4B allows the Minister to approve a State's code of practice if the Commonwealth Scientific and Industrial Research Organisation (CSIRO) has assessed the code and the Minister, upon reviewing the assessment, determines that the code satisfactorily protects environmental and heritage values or substantially protects these values with a commitment from the State to amend the code as necessary. Regulation 4C stipulates that the Minister may not revoke the approval of a State's code of practice without first considering a CSIRO assessment report and finding that the code no longer adequately protects environmental and heritage values. These amendments impose several obligations on the parties involved. The Minister is required to assess State codes of practice for plantation management and make decisions on their approval based on CSIRO's evaluations and the State's commitment to environmental protection. States must implement and adhere to approved codes of practice for plantation management, ensuring they sufficiently protect environmental and heritage values. The Minister must also consider environmental impacts when granting export licenses for unprocessed wood, as simplified in Regulation 5. The regulations establish consequences for non-compliance. While the specific penalties for breaches are not detailed in the explanatory statement, the Act typically provides for both civil and criminal penalties for breaches of export control regulations. These may include fines and, in more severe cases, imprisonment. The severity of the penalties would depend on the nature and extent of the breach, and would be determined in accordance with the general provisions of the Act. The Administrative Appeals Tribunal has the authority to review the Minister's decisions under Regulation 6, and Regulation 7 mandates that notices regarding these decisions must include information about the appeal process.

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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.