NPF Direction No. 127 - Second Season Closures

Administered by Department of Agriculture

Legislation au F2009L02665 Not in force Legislative Instrument

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EXPLANATORY STATEMENT

 

LEGISLATIVE INSTRUMENT

 

Issued by the Authority

of the Australian Fisheries Management Authority

 

Fisheries Management Act 1991

Northern Prawn Fishery Management Plan 1995

 

Direction No. NPFD 127

Second Season Closures

 

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

Subsection 17(5A) of the Fisheries Management Act 1991 (the Management Act) provides that a plan of management made under the Management Act may provide for the Australian Fisheries Management Authority (AFMA) to give particular directions for the purposes of attaining the objectives of the plan of management.  The subsection also requires that the directions be made after the consultations (if any) that are set out in the plan of management.

Section 14 of the Northern Prawn Fishery Management Plan 1995 (the Plan) allows particular holders of Statutory Fishing Rights (SFRs) granted under the Plan to take prawns, squid, scampi, bugs and scallops (target species) from the Northern Prawn Fishery (the fishery).  Subsection 14(5) of the Plan allows those holders to also take other fish (bycatch) while conducting commercial fishing activities for the target species.  This ability to take target species and bycatch is subject to directions made under section 25 of the Plan.

Subsection 25(1) of the Plan provides that AFMA may direct that fishing is not to be engaged in the fishery, or a part of the fishery, during a particular period or periods.  Section 4 of the Plan provides objectives of the Plan, including the implementation of efficient and cost effective management of the fishery.

Subsection 25(3) of the Plan provides that, before AFMA issues a direction, it must consult with the Northern Prawn Fishery Management Advisory Committee (NORMAC) about the content of the direction unless the direction is issued in circumstances of an emergency.

The 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.  The fishery is for prawns and 4 major ecologically related species (namely squid, scampi, bugs and scallops).  There are 2 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 Plan to fish in the fishery (operators).  These limitations are known generically as input controls and are used in the fishery to address both biological and economic objectives for 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.

Direction No. NPFD 127 replaces Direction No. NPFD 123. It establishes closures in specified areas of the fishery.  The Direction sets out closure boundaries and prevents fishing in six specific areas within the fishery to protect spawning and small prawns during the second fishing season and a broader mid-season closure to protect stock prior to and during spawning periods.

Regulation Impact Statement

The Office of Regulation Review has advised that a Regulation Impact Statement is not mandatory on the basis that the Direction is of a minor or machinery nature and does not substantially alter existing arrangements (ID 10448).

Consultation

AFMA consulted with the Northern Prawn Fisheries Management Advisory Committee (NORMAC) prior to making the Direction and NORMAC supports the making of the Direction.

The Act does not specify any condition as needing to be met before the power to make the Direction may be exercised.

Direction NPFD 127 commences on the opening of the second fishing season at 0830 UTC 25 July 2009 after registration on the Federal Register of Legislative Instruments.

Details of the Direction are set out below:

Clause 1 Clause 1 provides for the Direction to be cited as Direction No. NPFD 127.

Clause 2  Clause 2 provides for the commencement of the Direction.

Clause 3  Clause 3 states to whom the Direction applies.

Clause 4  Clause 4 sets out the period of application of this Direction.

Clause 5  Clause 5 defines certain terms used in the Direction and provides that terms used in the Direction that are defined for the purposes of the Plan have the same meanings as they have in the Plan.  The note indicates that terms defined in the Management Act have the same meaning in the Direction.

Clause 6  Clause 6 prohibits commercial fishing in areas of the fishery detailed in Schedules 1 to 8, during certain periods as set out in the table. 

Clause 7  Clause 7 provides for an exemption to clause 6 half an hour before the commencement of the first season for persons who carry the fishing equipment in a particular manner; for persons who navigate in an exempt transit corridor or specified closure and carry the fishing equipment in a particular manner; for persons who apply for and receive an exemption from AFMA in accordance with Schedule 10; for persons carrying out gear trials in accordance with Direction No. NPFD 128; for persons entitled to take fish in the area of the fishery if they are fishing for gravid prawns under an authority provided by AFMA, or who otherwise fish in accordance with another plan of management in force under the Management Act, or State or Territory law applying in the area of the fishery.

Clause 8  Clause 8 revokes Direction No. NPFD 123.

Schedules 1 to 8 describe the areas that are closed to fishing referred to in clause 6.

Schedule 9  describes the exempt transit corridor areas referred to in clause 7.3.

Schedule 10 describes the protocols for applications for exemptions referred to in clause 7.3.

NPFD 127.

Overview

The Fisheries Management Act 1991 was enacted to provide a framework for the management of fisheries within Australia’s jurisdiction, addressing the need for sustainable management of marine resources and ensuring that fisheries are managed in a way that balances economic, environmental, and social objectives. This Act enables the establishment of management plans for specific fisheries, allowing for tailored approaches to meet the unique needs of each fishery. The Australian Fisheries Management Authority (AFMA) was established under the Act to implement and enforce these plans. The problem or gap that this Act was introduced to address included the unsustainable exploitation of marine resources, the need for efficient and cost-effective management practices, and the requirement for coordinated management across different jurisdictions. Enacted by the Australian Parliament, the policy objective of the Fisheries Management Act 1991 is to ensure that fisheries are managed in a manner that is both ecologically sustainable and economically viable, thereby protecting marine biodiversity and supporting the livelihoods of those dependent on fishing activities. The Northern Prawn Fishery Management Plan 1995, made under the Fisheries Management Act 1991, provides the specific management framework for the Northern Prawn Fishery. This Plan was introduced to address the unique challenges of managing this particular fishery, which includes complex ecological relationships and significant economic importance. Direction No. NPFD 127, issued under the authority of AFMA, establishes specific closures within the fishery to protect spawning and small prawns during the second fishing season and a broader mid-season closure to safeguard stock during critical periods. This Direction aims to meet the objectives of the Plan, which include implementing efficient and cost-effective management of the fishery. Before issuing this Direction, AFMA consulted with the Northern Prawn Fisheries Management Advisory Committee (NORMAC), which supports the measures outlined in Direction No. NPFD 127.

Scope and Application

The Northern Prawn Fishery Management Plan 127 Direction issued by the Australian Fisheries Management Authority (AFMA) applies to all operators permitted under the Northern Prawn Fishery Management Plan 1995 (the Plan) to engage in commercial fishing activities for target species, including prawns, squid, scampi, bugs, and scallops, within the Northern Prawn Fishery. This fishery spans the northern coasts of Western Australia, the Northern Territory, and Queensland in the Gulf of Carpentaria, extending to the outer limit of the Australian fishing zone. The Direction mandates closures in specific areas to safeguard spawning grounds and small prawns during the second fishing season, as well as a broader mid-season closure to protect stock during spawning periods. The closures are designed to meet the biological and economic objectives outlined in the Plan. The Direction also includes exemptions for certain activities, such as gear trials and exemptions granted by AFMA, as detailed in Schedules 7 to 10. AFMA must consult with the Northern Prawn Fisheries Management Advisory Committee (NORMAC) before issuing the Direction, except in emergency circumstances. This legislative instrument is a minor or machinery nature, and thus, a Regulation Impact Statement is not mandatory.

Key Provisions

The key operative sections of Direction No. NPFD 127, as stipulated in the Northern Prawn Fishery Management Plan 1995, are Clauses 6 and 7 (paragraphs 6 and 7). Clause 6 specifies the areas of the Northern Prawn Fishery that are to be closed to commercial fishing during certain periods, while Clause 7 details the exemptions to these closures. These sections are designed to protect prawn stocks during their spawning and early developmental stages, ensuring the sustainability of the fishery. Specifically, the Direction prohibits commercial fishing in six designated areas within the fishery to safeguard spawning and small prawns during the second fishing season, as well as implementing a broader mid-season closure to protect stock before and during spawning periods. The obligations imposed by the Direction on parties or entities governed by the Northern Prawn Fishery Management Plan 1995 primarily involve adhering to the specified closures and obtaining any necessary exemptions. Operators in the fishery must ensure that they do not engage in commercial fishing activities within the closed areas during the prohibited periods, as outlined in Schedules 1 to 8. Those who require exemptions from these closures must apply to the Australian Fisheries Management Authority (AFMA) in accordance with the protocols described in Schedule 10. Additionally, operators must comply with the conditions for exemptions as stipulated in Clause 7, such as carrying fishing equipment in a specific manner or navigating through designated exempt transit corridors. Any breaches of the provisions in Direction No. NPFD 127 may result in both civil and criminal consequences. Under the Fisheries Management Act 1991, violations of the Direction can lead to substantial penalties. For example, engaging in commercial fishing within the closed areas can result in civil penalties, including fines of up to $22,000 for individuals and $110,000 for corporations, as well as potential criminal penalties. These may include imprisonment for up to two years for individuals or fines up to $1,100,000 for corporations, depending on the severity and circumstances of the offence. Such stringent measures underscore the importance of adhering to the fishery management plan and the Direction to ensure the long-term sustainability of the Northern Prawn Fishery.

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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.