Northern Prawn Fishery (Closures) Direction No. 167

Administered by Department of Agriculture

Legislation au F2014L00254 Not in force Legislative Instrument

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EXPLANATORY STATEMENT

 

Issued by the Authority of the Australian Fisheries Management Authority

 

Fisheries Management Act 1991

 

Northern Prawn Fishery (Closures) Direction No. 167

Prohibition on Fishing (Prior to Seasons)

 

The Direction is a legislative instrument for the purposes of the Legislative Instruments Act 2003.

Subsection 41A(2) of the Fisheries Management Act 1991 (the Management Act) provides, inter alia, that the Australian Fisheries Management Authority (AFMA) may, after such consultation as set out in s41A(2), direct that fishing is not to be engaged in the fishery, or a particular part of the fishery, during a particular period or periods.

Subsection 41A(2) also provides that, before AFMA issues a Direction, it must consult with the management advisory committee for the fishery, the Northern Prawn Fishery Management Advisory Committee (NORMAC), about the content of the Direction unless the Direction is issued in circumstances of an emergency. Under co-management arrangements, AFMA must also consult with Northern Prawn Fishery Industry Pty Ltd (NPFI) on all operational matters for the fishery, including Directions. This is outlined in the co-management policy and memorandum of understanding between AFMA and NPFI and has been endorsed by NORMAC.

The Fishery

The Northern Prawn Fishery (the Fishery) extends from the northern coast of Western Australia, the coast of the Northern Territory and the coast of Queensland in the Gulf of Carpentaria, to the outer limit of the Australian Fishing Zone.  Fishing in the Fishery is for prawns and four major ecologically related species (namely squid, scampi, bugs and scallops).  There are two fishing seasons in the Fishery, bounded by closures.   The area of the Fishery overlaps the areas of a number of fisheries for other species that are managed by the States and the Territory.

The Fishery is managed by limiting the amount of fishing effort that is employed by the persons permitted by the Northern Prawn Fishery Management Plan 1995 (the Plan) to fish in the Fishery. These limitations are known generically as input controls and are used in the Fishery to address both the biological and economic objectives of the Fishery.   The specific types of inputs that are controlled in the Fishery are the amount of fishing time (limited by closures of all or parts of the Fishery), the amounts and types of fishing equipment, the number of boats in the fishery and the specifications of those boats.

The Direction

The Northern Prawn Fishery (Closures) Direction No. 167 (the Direction) imposes prohibitions on pre-season fishing in the area of the Fishery.  The definition of “fishing” in the Management Act includes searching for and attempting to search for fish. Prohibitions on fishing (searching) are implemented for several reasons.  Firstly, intensive boat activity and acoustic searching for banana prawn schools may disperse schools of prawns prior to the start of the season.  Secondly, prohibitions on fishing are a necessary compliance mechanism because there is some risk of illegal fishing when schools are located.  Thirdly, it is likely that pre-season searching would increase the overall costs associated with harvesting banana prawns.  Fourthly, preventing pre-season searching also provides a fairness and equity measure because; depending upon the home port of boats, differing periods of pre-season access for searching could confer differential advantage when the season opens.

The Direction provides for what is known as the “VMS Start” of the first fishing season.  Using the Vessel Monitoring System (VMS), boats will be allowed to enter the Gulf of Carpentaria early but will be excluded from navigating within approximately 30 nautical miles (nm) from the coast.  During the eight hours prior to the start of the season boats can either remain outside the 30 nm line specified in Schedule 3 or be in a designated assembly area as specified in Schedule 4 of the Direction.  Designated steaming tracks to access the assembly areas are specified in Schedule 5 of the Direction.  This way of managing the start of the season using VMS is cost effective and provides a mechanism to allow the fleet to disperse on the eastern side of the Gulf of Carpentaria, rather than having them congregate in two areas for the season start as was the arrangement in previous years before the “VMS Start” was introduced.

Schedule 6 of the Direction provides for an exemption for the areas described in Schedule 1 and/or Schedule 2 and exemptions will always be approved where navigation is required because of boat breakdown, distress, medical emergency, cyclone or weather warning, or to access an anchorage where no transit corridor has been provided. 

Regulation Impact Statement

The Office of Best Practice Regulation advised that a Regulation Impact Statement was not required for this instrument consistent with the agreement in place to cover all regulatory changes deemed to be of a minor or machinery nature. 

Statement of compatibility prepared in accordance with Part 3 of the Human Rights (Parliamentary Scrutiny) Act 2011

AFMA assesses under section 3 of the Human Rights (Parliamentary Scrutiny) Act 2011 that this legislative instrument is compatible with human rights. AFMA’s Statement of Compatibility is attached as a supporting document. 

Consultation

AFMA consulted with the NPFI and NORMAC prior to making the Direction. NPFI and NORMAC support the making of the Direction.

 

Details of the Direction are set out below:

Clause 1 Provides for the Direction to be cited as Northern Prawn Fishery (Closures) Direction No. 167.

Clause 2 Provides that the Direction commences on the day after registration on the Federal Register of Legislative Instruments.

Clause 3 Provides that the Direction ceases on 31 March 2015 unless earlier revoked.

Clause 4  Provides that a term used in the Direction and in the Plan has the same meaning in the Direction as in the Plan.

Clause 5 States to whom the Direction applies.

Clause 6  Prohibits fishing in the areas described in Schedule 1 and 2 and fishing and navigating in the areas described in Schedule 3.

Clause 7 Provides for an exemption to Clause 6 for 30 minutes leading up to the start of the first season and sets out the conditions for this exemption.

Clause 8 Provides conditions for the carriage of fishing equipment while in the assembly areas described in Schedule 4 or in the transit corridors described in Schedule 5.

Schedule 1 and 2 Describes the prohibited area prior to the seasons.

Schedule 3  Describes the prohibited area for the Vessel Monitoring System controlled start.

Schedule 4  Describes the exempt assembly areas where boats may navigate with fishing gear               stowed.

Schedule 5  Describes the designated steaming tracks referred to in clauses 6, 7, and 8.

Schedule 6 Provides for exemptions from the prohibitions on navigation contained in clause 6 to be made under certain circumstances and specifies that, in circumstances where an exemption is granted, navigation through a closed area must be in accordance with the navigation rules specified in Part 9A of the Fisheries Management Regulations 1992, or in accordance with any instructions given by AFMA.

Schedule 7  Provides for areas where gear trials may be undertaken.

 

 

 

 

Overview

The Fisheries Management Act 1991, enacted to manage and conserve fish resources within Australia's fishing zones, addresses the need for effective regulation and management of commercial fisheries, including the Northern Prawn Fishery. The Act empowers the Australian Fisheries Management Authority (AFMA) to implement management measures to ensure the sustainability of fisheries. The Northern Prawn Fishery (Closures) Direction No. 167, issued under the authority of the Fisheries Management Act 1991, aims to manage the Northern Prawn Fishery by prohibiting pre-season fishing to prevent the dispersion of prawn schools, reduce the risk of illegal fishing, and ensure fairness among fishers. This Direction was developed following consultations with relevant stakeholders, including the Northern Prawn Fishery Management Advisory Committee and Northern Prawn Fishery Industry Pty Ltd, to align with the objectives of the Fishery Management Plan 1995 and to maintain the ecological and economic balance of the fishery.

Scope and Application

The Northern Prawn Fishery (Closures) Direction No. 167 applies to all persons and entities permitted to fish in the Northern Prawn Fishery, as defined by the Northern Prawn Fishery Management Plan 1995. This encompasses individuals, companies, and other entities involved in prawn fishing within the fishery's geographical boundaries, which extend from the northern coast of Western Australia, the coast of the Northern Territory, and the coast of Queensland in the Gulf of Carpentaria, to the outer limit of the Australian Fishing Zone. The Direction is applicable to the Commonwealth jurisdiction, administered by the Australian Fisheries Management Authority (AFMA) under the Fisheries Management Act 1991. The Direction prohibits pre-season fishing in specific areas of the Northern Prawn Fishery to manage biological and economic objectives, including preventing the dispersion of prawn schools, ensuring compliance, and maintaining fairness among fishers. Exemptions from these prohibitions can be granted under specific circumstances such as boat breakdown or medical emergencies, as outlined in Schedule 6 of the Direction. The application and specifics of the Direction are further detailed in various schedules that outline prohibited areas, assembly areas, and designated steaming tracks, among other provisions.

Key Provisions

The Northern Prawn Fishery (Closures) Direction No. 167 primarily concerns prohibitions on fishing activities in the Northern Prawn Fishery prior to the designated fishing seasons. This Direction, issued under section 41A(2) of the Fisheries Management Act 1991, mandates that fishing activities are not to be engaged in specific areas of the Northern Prawn Fishery before the official start of the fishing seasons (Clause 6). The Direction is effective from the day after its registration on the Federal Register of Legislative Instruments until 31 March 2015, unless it is revoked earlier (Clauses 2 and 3). It applies to all persons permitted to fish in the Northern Prawn Fishery under the Northern Prawn Fishery Management Plan 1995 (Clause 5). The areas where fishing is prohibited are detailed in Schedules 1 and 2, while Schedule 3 outlines the area for the Vessel Monitoring System (VMS) controlled start. The Direction imposes several obligations on parties and entities it governs. It mandates that fishing activities cease in the specified areas prior to the fishing seasons, ensuring that no fishing or navigating is conducted in these areas (Clause 6). The Direction also regulates the carriage of fishing equipment within designated assembly areas and transit corridors, stipulating conditions for these activities (Clause 8). Additionally, it requires consultation with the Northern Prawn Fishery Industry Pty Ltd (NPFI) and the Northern Prawn Fishery Management Advisory Committee (NORMAC) before issuing the Direction, except in emergency circumstances. The Direction also provides for exemptions in certain situations, such as navigation due to boat breakdown, distress, medical emergency, cyclone, weather warnings, or accessing an anchorage (Schedule 6). Breaching the provisions of this Direction can result in significant consequences. The primary offence is engaging in prohibited fishing activities in the specified areas before the start of the fishing season, which is a direct violation of Clause 6. Penalties for such breaches are not explicitly stated in the Direction but are generally governed by the Fisheries Management Act 1991 and associated regulations. These penalties can include fines, confiscation of equipment, and potential criminal charges. Additionally, operating within the prohibited areas without the specified exemptions could lead to further civil or criminal liabilities as outlined in the Fisheries Management Regulations 1992 and other relevant legislation. Non-compliance with the VMS controlled start conditions, as detailed in Schedules 3 and 5, could also attract penalties and enforcement actions.

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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.