Western Australia
Occupational Safety and Health Regulations 1996
CONTENTS
Part 1 — Preliminary and interpretation
Division 1 — Preliminary and definitions
1.1. Citation 1
1.2. Commencement 1
1.3. Definitions 1
Division 2 — Interpretation
1.4. Responsibility of employers 6
1.5. Responsibility of self‑employed persons 6
1.6. Responsibility of main contractors 7
1.7. Responsibility of persons having control of a workplace 7
1.8. Responsibility of persons having control of access to a workplace 7
1.9. References to employees 8
1.10. References to workplaces 8
1.11. References to “NOHSC” 8
1.12. Application of Standards etc. 9
1.13. Technical terms 9
1.14. AS or AS/NZS reference in Schedule 1 10
1.15. Penalty for breaches by employees 10
1.16. Penalty for breaches by employers and others 10
Part 2 — General
Division 1 — Matters prescribed for purposes of the Act
2.1. Prescribed laws for the purposes of section 14(1)(b) of the Act 11
2.2. Introductory and transitional courses for, and entitlements under section 35(3) of, safety and health representatives11
2.3. Subsequent courses for, and entitlements under section 35(3) of, safety and health representatives15
2.4. Notification under section 23I of certain injuries 15
2.5. Notification under section 23I of certain diseases 17
2.6. Default procedure for resolution of issues 18
2.8. References of improvement notice or prohibition notice for review and further review 18
2.8A. Persons who are trainees for the purposes of the Act 19
2.8B. Training courses for “qualified representative” under section 51AB 19
Division 2 — Administrative provisions
2.9. Marking of plant 20
2.10. Local government to notify Commissioner of construction work permits 20
2.11. Medical examinations 20
2.12. Exemption where substantial compliance 22
2.13. Exemption where compliance unnecessary or impracticable23
2.14. Exemption from fees 23
Division 3 — Review of decisions under these regulations
2.15. Review of decisions by persons other than Commissioner 24
2.16. Review of Commissioner’s decisions 24
Part 3 — Workplace safety requirements
Division 1 — General duties applying to workplaces
3.1. Identification of hazards, and assessing and addressing risks, at workplaces 26
3.2. Persons at workplaces to have access to Act etc. 26
3.3. Communication with isolated employees 27
3.4. Manual handling 28
3.5. Reports of hazards etc. to be investigated 28
3.6. Movement around workplaces 28
3.7. Access to and egress from workplaces 29
3.8. Emergency egress from workplaces 29
3.9. Fire precautions 29
3.10. Evacuation procedures 30
3.11. Warning signs 31
3.12. First aid 31
3.13. Lighting 32
3.14. Work space generally 32
3.15. Air temperature 33
3.16. Water 33
3.17. Cleanliness and removal of debris 34
3.18. Surfaces and floors 35
3.19. Seating 36
3.20. Workplace facilities 36
3.21. Drawings showing location of certain services 37
3.22. Management of vehicles and moving plant at workplaces 38
3.23. Protection of persons and property in vicinity of cranes 39
3.24. Lowering gear 42
3.25. Safety in relation to conduit 42
3.26. Portable ladders 42
3.27. Gas cylinders to be secured 43
3.28. Protection of manifolded cylinder pack 44
3.29. Construction diving work to be in accordance with Standard44
3.30. Flotation devices where persons working with others 45
3.31. Flotation devices where person working alone 46
Division 2 — General duties in relation to personal protective clothing and equipment
3.32. Risks to be reduced in first instance by means other than protective clothing and equipment46
3.33. Standards relevant to certain protective clothing and equipment 47
3.34. Responsibilities of persons who require personal protective clothing and equipment to be used48
3.35. Responsibilities of users of personal protective clothing and equipment 49
3.36. Safety helmets to be worn at construction sites 50
Division 3 — Atmosphere and respiratory protection
Subdivision 1 — Atmosphere and respiratory protection generally
3.37. Definitions 50
3.38. Identification and assessment of hazards in relation to atmosphere 52
3.39. Possible means of reducing risks 52
3.40. Respiratory protective equipment generally 52
3.41. Supplied air respirators required for certain atmospheres 53
3.42. Duties in relation to provision of supplied air respirators etc.54
3.43. Specifications, maintenance, testing of supplied air respirators 55
3.44. Quality of air in supplied air respirators 57
Subdivision 2 — Protection from tobacco smoke
3.44A. Definitions 58
3.44B. Certain persons prohibited from smoking in enclosed workplaces 59
3.44C. Defence: smoking in a designated area of workplace 59
3.44D. Defence: smoking in a private vehicle or residence 59
3.44E. Defence: smoking in a performance 60
3.44F. Designated smoking areas 60
3.44G. Notice to be given as to restrictions on smoking 61
3.44H. Persons not to work in a designated smoking area when persons are smoking in that area 61
3.44I. Inspectors may require certain persons to extinguish tobacco products 61
Division 4 — Noise control and hearing protection
3.45. Interpretation 62
3.46. Avoidance of noise above exposure standard 63
3.47 Standard of personal hearing protectors 63
Division 5 — Prevention of falls at workplaces
3.48. Definition 63
3.49. Identification and assessment of hazards in relation to falling64
3.50. Anchorage and fall injury prevention systems to be capable of withstanding forces caused by a fall64
3.51. Inspection etc. of fall injury prevention systems 65
3.52. Fall injury prevention system to be protected where welding etc. being done 65
3.53. Inspection of anchorages 66
3.54. Protection in relation to holes and openings 67
3.55. Edge protection 68
3.56. Grid mesh and checker plate flooring panels 70
3.57. Working on or from brittle or fragile roofing 71
Division 6 — Electricity
3.58. Definition 72
3.59. Electrical installations at workplaces 73
3.60. Protection against earth leakage current when portable equipment in use 73
3.61. Electrical installations on construction sites etc. 76
3.62. Tester to record licence number on tag 76
3.63. Records of electrical equipment test results to be provided 77
3.64. Restrictions on working in vicinity of overhead power lines 77
3.65. Connecting electricity to construction sites 78
Division 7 — Scaffolds, gantries, hoardings and barricades and formwork
3.66. Definitions 79
3.67. Scaffolds and scaffolding equipment to be in accordance with Standard 80
3.68. Area for scaffold to be kept clear 80
3.69. Welding of lugs and saddle pieces 81
3.70. Warning signs etc. for incomplete scaffolds 81
3.71. Certain scaffolds not to be used 82
3.72. Inspection and marking of certain scaffolds 82
3.73. Scaffold not to be moved etc. without authority 83
3.74. Lowering scaffolding equipment 84
3.75. Hoardings and barricades 84
3.76. Gantries 84
3.77. Level of protection required 85
3.78. No unauthorised removal etc. 85
3.79. Requirements as to formwork 86
3.80. Formwork to be contained within workplace 86
3.81. Stripping and lowering of formwork 86
Division 8 — Work in confined spaces
3.82. Definitions 87
3.83. Duties of designers, manufacturers and suppliers of things with confined spaces 87
3.84. Modification of confined spaces 88
3.85. Work in confined spaces to comply with Standard 88
3.86. When persons to stand by confined spaces 89
3.87. Training in relation to work in confined spaces 89
Division 9 — Safety requirements in relation to certain work processes
Subdivision 1 — Tilt‑up concrete and precast concrete elements
3.88. Interpretation 90
3.88A. Commissioner to be given notice of intention to manufacture concrete panels 91
3.88B. Manufacture of concrete panels to be in accordance with Standard 92
3.88C. Transport, cranage, storage and erection of concrete panels at construction sites to be in accordance with Standard93
3.88D. Temporary bracing of concrete panels at construction sites to be in accordance with Standard94
3.88E. Incorporation of concrete panels into final structure to be in accordance with Standard 94
3.88F. Tilt‑up work at construction sites not to be done unless notification of intention to manufacture panels has been given95
3.88G. Certain documents to be at construction sites where tilt‑up work done 95
3.88H. Limited entry to areas of construction sites where tilt‑up work being done 96
3.88I. Certain persons to ensure that only trained persons manufacture concrete panels 97
3.88J. Certain persons to ensure that only trained persons do tilt‑up work other than manufacturing concrete panels98
Subdivision 2 — Moulding and casting
3.89. Moulding and casting 98
3.90. Pit or deep mould 99
3.91. Ladles 100
3.92. Work under suspended loads at foundries 101
3.93. Moulds or chills for spare metal 102
Subdivision 3 — Welding and allied processes
3.94. Definitions 102
3.95. Atmosphere safety when welding etc. 102
3.96. Welding and allied processes to be in accordance with Standard 103
3.97. Protective screens 103
3.98. Flashback arresters 103
Subdivision 4 — Spray painting
3.99. Definitions 104
3.100. Spray painting generally to be inside booth 105
3.101. Electrostatic spray painting 105
Subdivision 5 — Abrasive blasting
3.102. Definitions 106
3.103. Blasting equipment 107
3.104. Blasting chambers and cabinets 108
3.105. Lighting and exits for blasting chambers 109
3.106. Persons doing abrasive blasting to be protected 109
3.107. Radioactive substances not to be used in abrasive blasting110
Subdivision 6 — Excavations and earthworks
3.108. Assessment in relation to excavations 110
3.109. Where person at risk due to excavation 111
3.110. No loads near excavation work 111
3.111. Shoring in excavations etc. 112
3.112. Certain excavation work not to be done in isolation 112
3.113. Stability of affected buildings etc. 113
Subdivision 7 — Demolition
3.114. Definitions 113
3.115. Application of Subdivision 115
3.116. Class 1, 2 or 3 demolition licences 116
3.117. Offence to do class 1, 2 or 3 demolition work unless licensed to do so and work to be done in accordance with conditions of licence117
3.118. Certain persons to ensure that persons doing class 1, 2 or 3 demolition work are licensed 118
3.119. Commissioner to be notified of intention to do class 1, 2 or 3 demolition work in accordance with Standard118
3.120. Application for Commissioner’s approval to do class 1, 2 or 3 demolition work not in accordance with Standard119
3.121. Commissioner to acknowledge receipt and result of application and may impose conditions 120
3.122. Class 1, 2 or 3 demolition work not to be done without notification or approval or until conditions set120
3.123. Demolition work other than class 1, 2 or 3 demolition work to be in accordance with Standard121
3.124. Class 1, 2 or 3 demolition work to be in accordance with Standard or approval 121
3.125. Certain documents to be at demolition workplaces 122
3.126. Demolition work involving asbestos 123
3.127. Limited entry to area where demolition work being done 124
3.128. Scaffold used in demolition work to be heavy duty scaffold125
Division 10 — Driving commercial vehicles
3.129. Application 126
3.130. Interpretation 126
3.131. Driving commercial vehicles 128
3.132. Commercial vehicle operating standard 129
3.133. Driver fatigue management plan 130
3.134. Record of work time, breaks from driving, and non‑work time 131
Division 11 — Construction industry safety awareness training obligations
3.135. Definitions 131
3.136. Safety awareness training requirements 133
Part 4 — Plant
Division 1 — Preliminary
4.1. Definitions 135
Division 2 — Registration of plant design and items of plant
4.2. Design of kinds of plant in Schedule 4.1 to be registered 142
4.3. Application for registration of design of kinds of plant in Schedule 4.1 143
4.4. Design verifier to be independent of designer 143
4.5. Fee for design verifier who is an officer of the department144
4.6. Provision of further information 144
4.7. Commissioner may register design of kinds of plant in Schedule 4.1 144
4.8. Assessment fee 145
4.9. Procedure where testing required by Commissioner 145
4.10. Design registration number 146
4.11. Alteration to design of types of plant in Schedule 4.1 to be registered 146
4.12. Application for registration of alteration to plant design etc.147
4.13. Confidentiality of design information 147
4.14. Individual items of plant in Schedule 4.2 to be registered 148
4.15. Application for registration etc. of Schedule 4.2 items of plant 149
4.16. Provision of further information 150
4.17. Commissioner’s functions as to applications to register etc. Schedule 4.2 items of plant 150
4.18. Assessment fee 150
4.19. Registration number of Schedule 4.2 item of plant 151
4.19A. Registration number of classified plant or designated plant151
4.20. Registration numbers and evidence to be displayed 151
4.21. Commissioner may deregister items of plant 152
4.21A. Notification of permanent withdrawal of plant from service153
Division 3 — General duties applying to plant
Subdivision 1 — Kinds of plant to which this Division applies
4.22. Meaning of “plant” for the purposes of Division 3 154
Subdivision 2 — Identification of hazards and assessing and addressing risks in relation to plant
4.23. Duties of persons who design plant 154
4.24. Duties of persons who manufacture plant 156
4.25. Duties of persons who import plant 157
4.26. Duties of persons who supply plant 158
4.27. Duties of erectors and installers of plant 159
4.28. Duties of certain persons in relation to plant 161
4.29. Possible means of reducing risks in relation to plant 163
Subdivision 3 — Information and general matters in relation to plant
4.30. Persons who design plant to provide information 166
4.30A. Persons who manufacture plant to obtain information 167
4.31. Persons who manufacture plant to provide information 168
4.31A. Persons who import new plant to obtain information 168
4.32. Persons who import plant to provide information 169
4.33. Persons who supply plant other than by way of hire or lease to provide information 170
4.34. Certain records to be kept in relation to plant 171
4.35. Duties of suppliers of plant by way of hire or lease 173
4.36. Duties of certain persons as to installation, commissioning etc. of plant 174
4.37. Duties of certain persons as to use of plant 175
4.37A. Duties of certain persons for the purposes of regulation 4.37(1)(b) or (c) 176
4.38. Duties of certain persons as to damaged plant 179
4.39. Duties of certain persons when design of plant is altered 180
4.40. Duties of certain persons as to dismantling, storing or disposing of plant 180
4.41. Plant not to be used etc. if a hazard unless in an emergency181
4.42. Mandatory markings not to be interfered with 182
Division 4 — Safety requirements in relation to certain types of plant
4.43 Plant under pressure 182
4.44. Powered mobile plant 183
4.45. Specific protection requirements for certain tractors and certain earthmoving machinery 186
4.46. Plant with hot or cold parts 187
4.48 Industrial robots, etc. 188
4.49. Lasers 188
4.50. Nail guns 189
4.51. Explosive powered tools 190
4.52. Amusement structures 190
4.53. Plant that lifts, suspends or lowers people, equipment or materials 191
4.54. Additional requirements as to cranes, hoists and building maintenance units 194
4.55. Additional requirements as to industrial lift trucks 200
4.56. Lifts and general work on lifts 200
4.57. Construction and installation work of lifts 201
Part 5 — Hazardous substances
Division 1 — Preliminary
5.1. Interpretation 204
5.2. Application 208
Division 2 — Hazardous substances generally
5.3. Determination of whether or not a substance is a hazardous substance 209
5.4. Commissioner to be notified of new hazardous substances209
5.5. Material Safety Data Sheets 209
5.6. Labelling etc. 211
5.7. Commissioner to be notified if generic name used for type II ingredients 211
5.8. Provision of information about hazardous substances 212
5.9. Ingredient disclosure to medical practitioners 214
5.10. Ingredient disclosure to persons who may be affected 214
5.11. Employers, main contractors and self‑employed persons to obtain and provide information 215
5.12. Duties of employers, main contractors and self‑employed persons as to labelling hazardous substances216
5.13. Register of hazardous substances 218
5.14. Certain uses of certain hazardous substances prohibited 218
5.15. Assessment in relation to hazardous substances 219
5.16. Assessment report 220
5.17. Subsequent assessments 220
5.18. Assessment reports to be available for inspection 221
5.19. Exposure standards not to be exceeded 221
5.20. Risks arising from hazardous substances to be reduced and means of reducing risks 221
5.21. Induction and training 222
5.22. Monitoring risks associated with hazardous substances 223
5.23. Health surveillance in relation to hazardous substances 223
5.24. Duties of appointed medical practitioners 224
5.25. Employers, main contractors and self‑employed persons to take remedial action 226
5.26. Periods for which records to be kept by employers, main contractors and self‑employed persons226
5.27. Commissioner to keep certain records as to hazardous substances 227
Division 3 — Certain carcinogenic substances
5.28. Definitions 228
5.29. Concentration of substances for Division 3 to apply 228
5.30. Commissioner to be informed if carcinogenic substances intended to be used at workplaces229
5.31. Schedule 5.4 and 5.6 substances not to be used at workplaces 230
5.32. Schedule 5.5 substances not to be used at workplaces unless for purpose approved by Commissioner231
5.32A. Articles containing Schedule 5.6 substances not to be used at workplaces 232
5.33. Commissioner to acknowledge receipt of notification and information and may impose conditions234
5.34. Carcinogenic substances not to be used until conditions set235
5.35. Duties of suppliers of carcinogenic substances 236
5.36. Information for Commissioner to be kept up to date 236
5.37. Employers and self‑employed persons to keep records in relation to carcinogenic substances237
5.38. Suppliers to keep records in relation to carcinogenic substances 238
5.39. Commissioner to keep certain records in relation to carcinogenic substances 239
5.40. Commissioner to be informed of certain matters as to carcinogenic substances 239
5.41. Persons who may be exposed to carcinogenic substances to be informed of certain matters239
Division 4 — Further requirements in relation to certain hazardous substances
Subdivision 1 — Asbestos
5.42. Definitions 240
5.43. Identification and assessment of asbestos hazards at workplaces 241
5.44. Asbestos removalist licences 241
5.45. Asbestos removal work 242
5.46. Register 243
5.47. Licence and Codes to be available 244
5.48. Commissioner may give certain directions as to asbestos at workplaces 244
5.49. Further duties as to exposure to asbestos dust 245
5.50. Asbestos cement building materials 246
5.51. Prohibition on use of compressed air and other techniques246
5.52. Waste asbestos material 247
Subdivision 2 — Lead
5.53. Definitions 247
5.54. Lead‑risk job assessment 250
5.55. Information for prospective employees 250
5.56. Health surveillance and counselling 250
5.57. Assessment of suitability for working in lead‑risk jobs 250
5.58. Induction and training 251
5.59. Frequency of biological monitoring 252
5.60. Duties of employers, main contractors and self‑employed persons in relation to work with lead252
5.61. Duties in relation to working with lead 253
5.62. Employee to notify if pregnant or breast‑feeding 254
5.63. When person to be removed from lead work 254
5.64. Return to lead work after removal 255
5.65. Records in relation to lead 255
5.66. Commissioner to keep certain records in relation to lead 256
5.67. Review of decisions concerning lead work 256
Subdivision 3 — Styrene
5.68. Definition 257
5.69. Styrene vapour to be minimised 257
5.70. Extracting styrene vapour from atmosphere 257
5.71. Emergency egress from workplaces where styrene monomer present 258
Subdivision 4 — Isocyanates
5.72. Definitions 258
5.73. Handling and using isocyanates 259
5.74. Decanting isocyanates 260
5.75. Ventilation required if containers heated 260
5.76. Decontamination of isocyanate containers and utensils 260
5.77. Spillage of isocyanates etc. 261
5.78. Workplace requirements 261
Part 6 — Performance of high risk work
Division 1 — Preliminary
6.1. Terms used in this Part 264
6.2. Requirement to hold high risk work licence to do high risk work 265
6.3. Certain equipment not to be left unattended while in use 267
Division 2 — Licences
6.4. Term used in this Division 268
6.5. Applications for grant of licences 268
6.6. Decision to grant licence 268
6.7. Applications for variation of licences 270
6.8. Decision to vary licence 270
6.9. Applications for renewal of licences 271
6.10. Decision to renew licence 271
6.11. Duration of licence 272
6.12. Suspension of authority to do high risk work of a particular class 273
6.13. Cancellation of authority to do high risk work of a particular class and cancellation of licence274
6.14. Licence document 275
6.15. Notifying Commissioner of change of address 276
6.16. Duplicate licence document 276
6.17. Reassessment of competency to do high risk work of a particular class 276
Division 3 — Registration as an assessor
6.18. Term used in this Division 277
6.19. Activity authorised by registration 277
6.20. Duties of assessors registered under this Division 277
6.21. Applications for registration 278
6.22. Decision to register an assessor 278
6.23. Applications for variation of registration 279
6.24. Decision to vary registration 280
6.25. Applications for renewal of registration 280
6.26. Decision to renew registration 281
6.27. Duration of registration 281
6.28. Suspension of registration in respect of a class of high risk work 282
6.29. Cancellation of registration in respect of a class of high risk work and cancellation of registration283
6.30. Certificates of registration 284
6.31. Duplicate certificate of registration 285
Division 4 — Miscellaneous
6.32. Registered training organisation to retain records 285
Part 7 — Repeal, savings and transitional
Division 1 — Original repeal, savings and transitional provisions
7.1. Definitions 287
7.2. Interpretation Act 1984 applies 287
7.3. Repeal 287
7.4. Dealing with audiograms recorded under certain previously repealed regulations 287
7.5. Existing accepted plant design deemed to be registered plant design under these regulations289
7.7. Existing classified plant with current certificate of inspection deemed to be registered under these regulations289
7.8. Existing “Part B” plant deemed to be registered under these regulations 290
Division 2 — Savings and transitional provisions relating to the Occupational Safety and Health Amendment Regulations (No. 3) 2007
Subdivision 1 — Preliminary
7.9. Terms used in this Division 291
7.10. Application of the Interpretation Act 1984 293
Subdivision 2 — Conversion to high risk work licence
7.11. Transition period 293
7.12. Effect of certificate of competency during transition period294
7.13. Operation of forklift during transition period 294
7.14. Suspension or cancellation of certificates of competency 294
7.15. Prohibition against operation of forklift 295
7.16. Applications for licences during transition periods 296
7.17. Decision to grant licence to holder of certificate of competency 296
7.18. Decision to grant licence to person who has documentary evidence of forklift competency 298
7.19. Unfinished applications for certificates of competency 299
Subdivision 3 — Assessors
7.20. Existing assessors 300
7.21. Existing assessors of forklift competency 301
7.22. Unfinished applications for registration as an assessor 302
Schedule 1 — Australian Standards and Australian/New Zealand Standards
Schedule 2 — Forms relating to general provisions
Schedule 3.1 — Guidelines and forms of guidance to be available for access by persons working at workplaces
Schedule 3.2 — Toxic paint substances
Division 1 — Solid components
Division 2 — Solvent components
Division 3 — Curing agents
Schedule 4.1 — Kinds of plant requiring registration of the design and alterations to design
Schedule 4.2 — Individual items of plant to be registered
Schedule 4.3 — Standards relating to design and other requirements in relation to certain plant
Schedule 5.1 — Description of ingredients
Type I ingredients 328
Type II ingredients 328
Type III ingredients 328
Schedule 5.2 — Hazardous substances prohibited for specified uses or methods of handling
Schedule 5.3 — Hazardous substances for which health surveillance is required
Schedule 5.4 — Carcinogenic substances to be used only for bona fide research
Schedule 5.5 — Carcinogenic substances to be used only for purposes approved by the Commissioner
Schedule 5.6 — Carcinogenic substances — asbestos
Schedule 6.1 — Rate payable for assessments and tests
Schedule 6.1A — Fees under Part 3 Division 9
Schedule 6.2 — Fees under Part 4 Division 2
Schedule 6.2A — Fees under Part 5 Division 4
Schedule 6.3 — High risk work
Division 1 — Preliminary
1. Terms used in this Schedule 343
Division 2 — Scaffolding work
2. Terms used in this Division 343
3. Scaffolding work, classes of high risk work 344
Division 3 — Dogging work and rigging work
4. Terms used in this Division 345
5. Dogging work and rigging work, classes of high risk work 346
Division 4 — Crane and hoist operation
6. Terms used in this Division 347
7. Crane and hoist operation, classes of high risk work 349
Division 5 — Forklift operation
8. Terms used in this Division 352
9. Forklift operation, classes of high risk work 352
Division 6 — Pressure equipment operation
10. Terms used in this Division 353
11. Pressure equipment operation, classes of high risk work 354
Schedule 6.4 — Fees under Part 6
Notes
Compilation table 357
Provisions that have not come into operation 360
Western Australia
Occupational Safety and Health Act 1984
Occupational Safety and Health Regulations 1996
Part 1 — Preliminary and interpretation
Division 1 — Preliminary and definitions
1.1. Citation
These regulations may be cited as the Occupational Safety and Health Regulations 1996 1.
1.2. Commencement
These regulations come into operation on 1 October 1996.
1.3. Definitions
In these regulations, unless the contrary intention appears —
“abrasive blasting”, “abrasive material”, “dry abrasive blasting” and “wet abrasive blasting” have the respective meanings that they have in regulation 3.102;
“approved” means approved by the Commissioner;
“AS” followed by a designation refers to the Australian Standard having that designation that is published by Standards Australia and that is referred to in Schedule 1 and includes any amendment to the document made before the reference to the document is included in Schedule 1;
“AS/NZS” followed by a designation refers to the Australian/New Zealand Standard having that designation that is published by Standards Australia and the Standards Council of New Zealand under an Active Cooperation Agreement between those 2 bodies and that is referred to in Schedule 1 and includes any amendment to the document made before the reference to the document is included in Schedule 1;
“asbestos” has the meaning that it has in regulation 5.42;
“Building Code” means the Building Code of Australia 1990 published by or on behalf of the Australian Building Codes Board as amended from time to time and a reference in these regulations to the class of a building is a reference to the building’s classification under Part A3 of the Building Code;
“building maintenance unit” has the meaning that it has in regulation 4.1;
“building or structure” includes any erection, edifice, wall, chimney, fence, bridge, dam, reservoir, wharf, jetty, or ship or other floating structure, and includes any part of any of those things;
“competent person”, in relation to the doing of anything, means a person who has acquired through training, qualification or experience, or a combination of those things, the knowledge and skills required to do that thing competently;
“construction site” means a workplace at which construction work is done and includes any adjoining area where plant or other materials used or to be used in connection with that work are located or kept and over which the main contractor has control for the purpose of doing the construction work;
“construction work” means —
(a) the construction, erection, installation, alteration, repair, maintenance, cleaning, painting, renewal, removal, excavation, dismantling or demolition of, or addition to, any building or structure, or any work in connection with any of those things, that is done at or adjacent to the place where the building or structure is located;
(b) work on which a hoisting appliance or any scaffold or shoring is used or intended to be used;
(c) work in driving or extracting piles, sheet piles or trench sheet;
(d) work in laying any pipe or work in lining pipe that is done at or adjacent to the place where the pipe is laid or to be laid;
(e) work in sinking or lining or altering, repairing, maintaining, renewing, removing, or dismantling a well or borehole;
(f) road works, earthworks or reclamation; or
(g) work in laying an underground cable or work related to laying an underground cable that is done at or adjacent to the place where the cable is laid or to be laid;
“crane” has the meaning that it has in regulation 4.1;
“danger tag” means an accident prevention tag as referred to in section 5 of AS 1319 that is in the form of a danger sign within the meaning of that Standard;
“demolition” has the meaning that it has in regulation 3.114;
“earthmoving machinery” has the meaning it has in regulation 4.1;
“exhaust system”, in relation to a workplace, means a system by which dust, fumes, mist, gas, vapour or any other airborne particle is removed from the atmosphere of the workplace and includes —
(a) a collecting hood, ductwork and fan;
(b) an air cleaning filtration system; and
(c) an associated motor, collector bin or receptacle;
“gas cylinder” has the meaning that it has in regulation 4.1;
“gear” includes a ladder, plank, chain, rope, fastening, coupling, fitting, hoist‑block, stay, pulley, hanger, sling, brace or movable contrivance of a similar kind, used or intended for use on or in connection with construction work;
“high risk work licence” has the meaning given in regulation 6.1(1);
“hoarding” has the meaning that it has in regulation 3.66;
“hoist” has the meaning that it has in regulation 4.1;
“main contractor” means —
(a) the person for whose direct benefit all the work done at a construction site exists upon its completion; or
(b) if the person mentioned in paragraph (a) has engaged another person, other than as his or her employee, to do or cause to be done all the work at the construction site, the other person so engaged;
“manufacturing process” means a process in or incidental to the making, assembly, altering, repairing, renovating, preparing, ornamenting, finishing, cleaning, washing or adapting of any goods or of any other articles or part thereof for trade, sale or gain or as ancillary to a business;
“medical practitioner” means a person who is registered under the Medical Act 1894 and who has a current entitlement to practise under that Act;
“person having control of a workplace” means a person other than an employee who has, to any extent, control of a workplace where persons who are not employees of that person work or are likely to be in the course of that work and where the control is in connection with the carrying on by that person of a trade, business or undertaking (whether for profit or not); and includes a person who has, by virtue of a contract or lease, an obligation of any extent in relation to the maintenance or repair of a workplace;
“person having control of access to a workplace” means a person other than an employee who has, to any extent, control of the means of access to and egress from a workplace where the control is in connection with the carrying on by that person of a trade, business or undertaking (whether for profit or not); and includes a person who has, by virtue of a contract or lease, an obligation of any extent in relation to the maintenance or repair of the means of access to or egress from a workplace;
“platform” means the surface of a plank or other material that is used to provide access to, or egress from, a place, or for persons to stand on or load materials or other things onto, or is otherwise used as a working platform;
“pressure vessel” has the meaning that it has in regulation 4.1;
“scaffold” has the meaning that it has in regulation 3.66;
“supplied air respirator” has the meaning that it has in regulation 3.37;
“the regulation 1.15 penalty” means the penalty specified in regulation 1.15;
“the regulation 1.16 penalty” means the penalty specified in regulation 1.16;
“welding” and “allied process”, in relation to welding, have the respective meanings that they have in regulation 3.94.
[Regulation 1.3 amended in Gazette 17 Dec 1999 p. 6228‑9; 8 Mar 2002 p. 961‑2; 25 Jun 2004 p. 2291; 22 Oct 2004 p. 4834; 14 Dec 2004 p. 6010; 24 Aug 2007 p. 4257.]
Division 2 — Interpretation
1.4. Responsibility of employers
Unless the contrary intention appears, where an employer has a duty under a provision of these regulations to do or not do something in relation to a workplace, the employer’s duty —
(a) relates only to a matter over which, and the extent to which, the employer has control or can reasonably be expected to have control having regard to the workplace and the work done or caused to be done by the employer or his or her employee; and
(b) is limited to himself or herself and to any other person who is —
(i) his or her employee; or
(ii) any other person who may be affected wholly or in part as a result of the work done or caused to be done by the employer or his or her employee.
1.5. Responsibility of self‑employed persons
Unless the contrary intention appears, where a self‑employed person has a duty under a provision of these regulations to do or not do something in relation to a workplace, the self‑employed person’s duty —
(a) relates only to a matter over which, and the extent to which, the self‑employed person has control or can reasonably be expected to have control having regard to the workplace and the work done or caused to be done by the self‑employed person; and
(b) is limited to himself or herself and to any other person who may be affected wholly or in part as a result of the work done or caused to be done by the self‑employed person.
1.6. Responsibility of main contractors
Unless the contrary intention appears, where a main contractor has a duty under a provision of these regulations to do or not do something in relation to a construction site, the main contractor’s duty —
(a) relates only to a matter over which, and the extent to which, the main contractor has control or can reasonably be expected to have control at the site; and
(b) is limited to any person who may be affected wholly or in part as a result of the work done at the site.
1.7. Responsibility of persons having control of a workplace
Unless the contrary intention appears, where a person having control of a workplace has a duty under a provision of these regulations to do or not do something in relation to the workplace, the person’s duty —
(a) relates only to a matter over which, and the extent to which, the person has control or can reasonably be expected to have control having regard to the person’s interest in the workplace; and
(b) is limited to persons who are at the workplace.
1.8. Responsibility of persons having control of access to a workplace
Unless the contrary intention appears, where a person having control of access to a workplace has a duty under a provision of these regulations to do or not do something in relation to the workplace, the person’s duty —
(a) relates only to a matter over which, and the extent to which, the person has control or can reasonably be expected to have control of the access to and egress from the workplace having regard to the person’s interest in the access to and egress from the workplace; and
(b) is limited to persons who use the access to and egress from the workplace.
1.9. References to employees
Unless the contrary intention appears, a reference in a provision of these regulations to an employee is to be treated as a reference to an employee who works at the workplace to which the provision applies but, if used in association with a reference to a workplace or to an employer, the reference is to be treated as limited to an employee who works at that workplace or to an employee of that employer.
1.10. References to workplaces
Unless the contrary intention appears, a reference in a provision of these regulations to a workplace if used in association with a reference to —
(a) an employer, is to be treated as limited to the workplace in respect of which that person is the employer;
(b) an employee, is to be treated as limited to the workplace at which that employee works;
(c) a self‑employed person, is to be treated as limited to the workplace at which work is done or caused to be done by that person.
1.11. References to “NOHSC”
(1) A reference in any provision of these regulations to a document which has “NOHSC” in its name or code is a reference to the document of that name or code that is published by the National Occupational Health and Safety Commission and includes, subject to this regulation, any amendment to the document made before that provision comes into operation.
(2) A reference in any provision of these regulations to the National Exposure Standards [NOHSC: 1003 (1995)] is a reference to the Adopted National Exposure Standards for Atmospheric Contaminants in the Occupational Environment [NOHSC: 1003 (1995)] and includes any amendment to the document made before 1 September 2005.
(3) A reference in any provision of these regulations to the Guidance Note on the Interpretation of Exposure Standards for Atmospheric Contaminants in the Occupational Environment [NOHSC: 3008 (1995)] includes any amendment to the document made before 4 January 2005.
[Regulation 1.11 amended in Gazette 12 Sep 1997 p. 5176‑7; 8 Mar 2002 p. 962; 7 Jan 2005 p. 77; 27 Apr 2007 p. 1776.]
1.12. Application of Standards etc.
Where a provision of these regulations requires a person to comply with —
(a) an Australian Standard published by Standards Australia;
(b) an Australian/New Zealand Standard published by Standards Australia and the Standards Council of New Zealand under an Active Cooperation Agreement between those 2 bodies; or
(c) a standard or other document published by the National Occupational Health and Safety Commission,
that provision is to be treated as requiring compliance only to the extent that it is not inconsistent with these regulations.
[Regulation 1.12 amended in Gazette 22 Oct 2004 p. 4834.]
1.13. Technical terms
In these regulations, unless the contrary intention appears, technical terms not otherwise defined have the respective meanings ordinarily ascribed to them in the industry in relation to which the term is used.
1.14. AS or AS/NZS reference in Schedule 1
Failure to include the number of the regulation in which a reference is made to an AS or AS/NZS designation in the regulation reference for that designation in Schedule 1 does not invalidate the reference to that designation in the regulation.
[Regulation 1.14 inserted in Gazette 17 Dec 1999 p. 6229.]
1.15. Penalty for breaches by employees
(1) Subregulation (2) applies where “the regulation 1.15 penalty” is specified in a penalty provision at the foot of a regulation or subregulation.
(2) The applicable penalty is —
(a) for a first offence, $5 000; and
(b) for a subsequent offence, $6 250.
[Regulation 1.15 inserted in Gazette 14 Dec 2004 p. 6010.]
1.16. Penalty for breaches by employers and others
(1) Subregulation (2) applies where “the regulation 1.16 penalty” is specified in a penalty provision at the foot of a regulation or subregulation.
(2) The applicable penalty is —
(a) in the case of an individual —
(i) for a first offence, $25 000; and
(ii) for a subsequent offence, $31 250;
or
(b) in the case of a body corporate —
(i) for a first offence, $50 000; and
(ii) for a subsequent offence, $62 500.
[Regulation 1.16 inserted in Gazette 14 Dec 2004 p. 6010.]
Part 2 — General
Division 1 — Matters prescribed for purposes of the Act
2.1. Prescribed laws for the purposes of section 14(1)(b) of the Act
The laws and provisions of laws relating to occupational safety and health that are set out in the Table to this regulation are prescribed for the purposes of section 14(1)(b) of the Act.
Table
|
Law |
Provisions of that law |
|
Mines Safety and Inspection Act 1994 |
All |
2.2. Introductory and transitional courses for, and entitlements under section 35(3) of, safety and health representatives
(1) This regulation applies where, under section 14(1)(h) of the Act, the Commission —
(a) accredits a training course designed for safety and health representatives to attend, subject to course availability, during the first year of holding office; or
(b) accredits a training course designed to update the knowledge of safety and health representatives who have completed an introductory course.
(2) In this regulation —
“introductory course” means a course of a kind referred to in subregulation (1)(a) accredited as referred to in that provision;
“representative” means a safety and health representative;
“transitional course” means a course of a kind referred to in subregulation (1)(b) accredited as referred to in that provision.
(3) A representative, subject to the availability of introductory courses, is to endeavour to attend an introductory course within the first 12 months of being elected.
(4) A representative who has not previously attended an introductory course may give to his or her employer notice in writing in accordance with subregulation (4b) that the representative wishes to attend an introductory course.
(4a) A representative who has previously attended an introductory course but completed it before March 2005 may, if the representative has not completed a transitional course after February 2005, give to his or her employer notice in writing in accordance with subregulation (4b) that the representative wishes to attend a transitional course.
(4b) Notice under subregulation (4) or (4a) that a representative wishes to attend a course has to be given not less than 21 days, or a shorter period agreed between the representative and the employer, before the commencement of the course.
(5) If a representative has given notice under subregulation (4) or (4a) that he or she wishes to attend a course then the employer, subject to subregulation (7), is to permit the representative to take off work, with pay, such time, not exceeding 5 days, as is required for the purpose of attending that course.
(6) An employer who has been given notice under subregulation (4) or (4a) by a representative wishing to attend a course may consult with the representative or the relevant trade union concerning the attendance of the representative at that course and, in those consultations, due regard is to be given to the need to minimise any adverse effect on the operation of the business of the employer.
(7) If the employer has consulted under subregulation (6) with the representative or trade union concerned, the employer may decline to permit attendance at the course as wished but instead permit attendance at the next course of the same kind available that the representative wishes to attend.
(8) The pay to which a representative is entitled in respect of time the representative is permitted to take off work to attend an introductory course or a transitional course must be calculated at the representative’s ordinary rate of pay on the time that the representative would ordinarily have worked had the representative worked his or her scheduled work time —
(a) including —
(i) regular over award payments for ordinary hours of work;
(ii) shift work premiums according to roster or projected roster including Saturday or public holiday shift;
(iii) industry allowances;
(iv) climatic, regional, and other like allowances;
(v) first aid allowances;
(vi) tool allowances;
(vii) qualification allowances;
(viii) service grants made on a regular basis;
(ix) experience allowances; and
(x) any penalty rates that are paid in relation to actual hours worked or payment of which are guaranteed by a contract of service whether the hours were required to be worked or not;
(b) but not including —
(i) overtime payments (except if they form part of the contract of service);
(ii) camping allowances;
(iii) travelling allowances;
(iv) disability rates such as for confined spaces and dirty work;
(v) car allowances; or
(vi) meal allowances,
but nothing in this subregulation excludes an entitlement to additional payments that may be set out in an award or agreed between the employer and the representative as being applicable.
(9) An employer must not alter the conditions or remuneration of a person who is a representative to the detriment of that person unless the alteration is in accordance with this regulation.
Penalty:
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
(10) Attendance at an introductory course or a transitional course is to be regarded as service for the purposes of ascertaining any entitlement under an award.
(11) In subregulation (8) —
“award” means —
(a) an award under the Industrial Relations Act 1979, and includes any industrial agreement or order under that Act;
(b) an award or order that has been reduced to writing under section 143(1) of the Industrial Relations Act 1988 of the Commonwealth;
(c) an enterprise flexibility agreement within the meaning of the Industrial Relations Act 1988 of the Commonwealth; or
(d) an award under the Coal Industry Tribunal of Western Australia Act 1992, and includes any order under that Act and any agreement that comes within section 12(4) or 17(1) of that Act.
[Regulation 2.2 amended in Gazette 15 Aug 2003 p. 3689; amended in Gazette 14 Dec 2004 p. 6016; 4 Mar 2005 p. 881‑3.]
2.3. Subsequent courses for, and entitlements under section 35(3) of, safety and health representatives
(1) This regulation applies where, under section 14(1)(h) of the Act, the Commission accredits a training course suitable for attendance by safety and health representatives, subject to course availability, during each 2 year term of holding office following the first 2 year term.
(2) In this regulation —
“post‑introductory course” means a course of a kind referred to in subregulation (1);
“representative” means a safety and health representative.
(3) A representative may take such time (with or without pay as is agreed between the representative and his or her employer) off work for the purpose of attending a post‑introductory course as is agreed with his or her employer.
(4) Attendance at a post‑introductory course is to be regarded as service for the purposes of ascertaining any entitlement under an award.
2.4. Notification under section 23I of certain injuries
(1) For the purposes of section 23I(2)(a) of the Act, the kinds of injury incurred by an employee to be notified by an employer to the Commissioner are —
(a) a fracture of the skull, spine or pelvis;
(b) a fracture of any bone —
(i) in the arm, other than in the wrists or hand;
(ii) in the leg, other than a bone in the ankle or foot;
(c) an amputation of an arm, a hand, finger, finger joint, leg, foot, toe or toe joint;
(d) the loss of sight of an eye;
(e) any injury other than an injury of a kind referred to in paragraphs (a) to (d) which, in the opinion of a medical practitioner, is likely to prevent the employee from being able to work within 10 days of the day on which the injury occurred.
(2) For the purposes of section 23I(3) of the Act, notification of an injury to which section 23I(2)(a) of the Act applies is to be made —
(a) in the form of Form 1 in Schedule 2; or
(b) by telephone.
(3) The prescribed particulars for the purposes of the notification of an injury to which section 23I(2)(a) of the Act applies are —
(a) name and business address of the employer;
(b) name, sex and occupation of the employee;
(c) address of the place at which the injury was incurred;
(d) date and time the injury was incurred;
(e) brief description of how the injury was incurred and the type of machine or equipment, if any, involved;
(f) nature of the injury or, where applicable, report of death; and
(g) the place to which the employee has been taken.
[Regulation 2.4 amended in Gazette 14 Dec 2004 p. 6011.]
2.5. Notification under section 23I of certain diseases
(1) For the purposes of section 23I(2)(a) of the Act, the kinds of disease affecting an employee to be notified by an employer to the Commissioner are the diseases set out in column 1 of the Table to this regulation that have been contracted in the course of the kind of work set out opposite that disease in column 2 of the Table.
Table
|
Disease |
Work |
|
1. Infectious diseases: tuberculosis viral hepatitis legionnaires’ disease HIV |
Work involving exposure to human blood products, body secretions, excretions or other material which may be a source of infection |
|
2. Occupational zoonoses: Q fever Anthrax Leptospiroses Brucellosis |
Work involving the handling of or contact with animals, animal hides, skins, wool, hair, carcasses or animal waste products |
(2) For the purposes of section 23I(3) of the Act, notification of a disease to which section 23I(2)(a) of the Act applies is to be made —
(a) in the form of Form 2 in Schedule 2; or
(b) by telephone.
(3) The prescribed particulars for the purposes of the notification of a disease to which section 23I(2)(a) of the Act applies are —
(a) name and business address of the employer;
(b) name, sex and occupation of the employee;
(c) name and address of the workplace where the employee works;
(d) name of the disease; and
(e) date of diagnosis of the disease.
[Regulation 2.5 amended in Gazette 14 Dec 2004 p. 6011.]
2.6. Default procedure for resolution of issues
(1) If no procedure has been agreed between an employer and employees for the resolution of issues relating to occupational safety and health arising at the workplace then this regulation applies for the purposes of section 24(2) of the Act.
(2) Subject to subregulation (3), where there is a safety and health representative in respect of the workplace the employer is to arrange to meet with the employees and that representative at a time that is as soon after the issue arises as is mutually convenient.
(3) Where there is a safety and health representative in respect of the workplace but it is not practicable for the employer to meet with the employees and that representative within a reasonable time, the employer is to communicate orally with the employees and that representative at a time that is as soon after the issue arises as is mutually convenient.
(4) Where there is not a safety and health representative in respect of the workplace concerned, the employer is to arrange to meet with the employees or a person authorised by them to represent them at that meeting at a time that is as soon after the issue arises as is mutually convenient.
[2.7. Repealed in Gazette 6 Jan 2006 p. 11.]
2.8. References of improvement notice or prohibition notice for review and further review
(1) A reference under section 51(1) of the Act of an improvement notice issued under section 48 of the Act for review is to be made in the form of Form 4 in Schedule 2.
(2) A reference under section 51(1) of the Act of a prohibition notice issued under section 49 of the Act for review is to be made in the form of Form 5 in Schedule 2.
(3) Form 7 in Schedule 1 to the Industrial Relations Commission Regulations 2005 in the form in which it is in force on 1 September 2005 is prescribed as the form to be used for a reference under section 51A(1) of the Act of a matter to the Tribunal for further review.
[Regulation 2.8 amended in Gazette 1 Apr 2005 p. 1067; 9 Dec 2005 p. 5898.]
2.8A. Persons who are trainees for the purposes of the Act
(1) This regulation relates to the definition of “trainee” in section 3(1) of the Act.
(2) The class of persons who are trainees for the purposes of the Act are persons who are taking part in a traineeship scheme within the meaning of that term in the Industrial Training Act 1975.
[Regulation 2.8A inserted in Gazette 14 Dec 2004 p. 6011.]
2.8B. Training courses for “qualified representative” under section 51AB
(1) Each course of training described in subregulation (2) is prescribed for the purposes of the definition of “qualified representative” in section 51AB.
(2) The prescribed courses are —
(a) a course that was an introductory course, as defined in regulation 2.2(2), and that the safety and health representative completed after February 2005; and
(b) a course that was a transitional course, as defined in regulation 2.2(2), and that the safety and health representative completed after February 2005 after having, before March 2005, completed a course that was an introductory course, as defined in regulation 2.2(2).
[Regulation 2.8B inserted in Gazette 4 Mar 2005 p. 883.]
Division 2 — Administrative provisions
2.9. Marking of plant
If an inspector issues an improvement notice or a prohibition notice that relates to any plant at a workplace then the inspector may mark the plant, or any part of it, to indicate that it is not to be used and a person must not —
(a) use, or cause to be used, any plant, or any part of it, that is marked to indicate that it is not to be used; or
(b) without the authority of an inspector to do so, remove, obliterate, or otherwise interfere with the mark.
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case: the regulation 1.16 penalty.
[Regulation 2.9 amended in Gazette 14 Dec 2004 p. 6017.]
2.10. Local government to notify Commissioner of construction work permits
Each local government is to notify the Commissioner, in an approved form and within the first week of each month, of all permits issued by the local government within the previous month in relation to the commencement of construction work in the local government’s district.
2.11. Medical examinations
(1) The Commissioner may, by written notice, direct an employer to arrange at the expense of the employer and within the time specified in the notice a medical examination of an employee whose name is specified in the notice.
(2) The Commissioner is to set out in any notice under subregulation (1) the purpose of the proposed medical examination.
(3) The Commissioner is to ensure that, before the medical examination is conducted, the employee is advised of the nature of, and the reasons for, the medical examination so that the employee is sufficiently informed for the purposes of making a choice in the selection of a medical practitioner.
(4) For the purposes of selecting a medical practitioner to conduct a medical examination under this regulation, an employer must consult with the employee to be examined and give the employee a reasonable choice in the selection of the medical practitioner.
(5) An employer must comply with a notice under subregulation (1) unless the employee does not agree to the selection of the medical practitioner or consent to undergoing the examination, proof of which is on the employer.
(6) A medical practitioner who conducts an examination under this regulation must —
(a) explain any test results to the employee and give the employee a copy of any test results;
(b) give to the employee a copy of any medical report based on the test results or medical examination;
(c) give a copy of the test results to the Commissioner; and
(d) on the written request of the person examined, supply the medical practitioner’s findings on the examination to another medical practitioner who has been nominated by the person examined.
(7) The Commissioner is to inform the employer of —
(a) the outcome of the medical examination; and
(b) any need for remedial action.
(8) The employer must ensure that the results of a medical examination under this section are treated as confidential records.
Penalty applicable to subregulations (4), (5), (6) and (8):
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 2.11 amended in Gazette 14 Dec 2004 p. 6012.]
2.12. Exemption where substantial compliance
(1) A person may apply to the Commissioner for a person who, or a workplace which, does not fully comply with a requirement of these regulations to be exempted from the requirement and the application is to be in an approved form.
(2) If, on an application under subregulation (1), the Commissioner is satisfied that there is substantial compliance with the relevant requirements of these regulations then the Commissioner may exempt the person or workplace from the requirement and the exemption is to be in writing and may be made subject to such conditions as are specified by the Commissioner.
(3) If the Commissioner imposes a condition in relation to an exemption granted under subregulation (2) then a person having the benefit of the exemption must comply with the condition.
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case: the regulation 1.16 penalty.
(4) The Commissioner may, at any time, revoke an exemption granted under subregulation (2) and the revocation takes effect on the day on which notice of the revocation posted to the person’s last known address would have been delivered in the ordinary course of post.
[Regulation 2.12 amended in Gazette 14 Dec 2004 p. 6017.]
2.13. Exemption where compliance unnecessary or impracticable
(1) A person may apply to the Commissioner for a person or a workplace to be exempted from complying with a requirement of these regulations and the application is to be in an approved form.
(2) If, on an application under subregulation (1), the Commissioner is satisfied that compliance with any requirement of these regulations would be unnecessary or impracticable then the Commissioner may exempt the person or workplace from the requirement and the exemption is to be in writing and may be made subject to such conditions as are specified by the Commissioner.
(3) If the Commissioner imposes a condition in relation to an exemption granted under subregulation (2), a person having the benefit of the exemption must comply with the condition.
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case: the regulation 1.16 penalty.
(4) The Commissioner may, at any time, revoke an exemption granted under subregulation (2) and the revocation takes effect on the day on which notice of the revocation posted to the person’s last known address would have been delivered in the ordinary course of post.
[Regulation 2.13 amended in Gazette 14 Dec 2004 p. 6017.]
2.14. Exemption from fees
If the Commissioner is satisfied that plant —
(a) is owned by a charitable non‑profit making institution or organisation; or
(b) is used solely for the purpose of education or instruction,
then the Commissioner may, by notice in the Government Gazette, exempt a person who would otherwise be liable to pay a fee under these regulations in relation to that plant from that liability.
Division 3 — Review of decisions under these regulations
2.15. Review of decisions by persons other than Commissioner
(1) This regulation applies in respect of a decision made under these regulations by a person other than the Commissioner, whether or not the decision was made by that person as a delegate of the Commissioner.
(2) A person who is not satisfied with a decision referred to in subregulation (1) may, within 14 days of receiving notice of the decision, refer the decision to the Commissioner for review setting out the grounds upon which a review of the decision is sought.
(3) On reference of a decision to the Commissioner for review under this regulation the Commissioner is to inquire into the circumstances relevant to the decision and may —
(a) affirm the decision;
(b) set aside the decision; or
(c) substitute for the decision any decision that the Commissioner considers should have been made in the first instance,
and the determination of the matter by the Commissioner is to have effect according to its tenor.
2.16. Review of Commissioner’s decisions
(1) In this regulation —
“decision” means —
(a) a decision made under these regulations by the Commissioner himself or herself; and
(b) a determination of the Commissioner under regulation 2.15(3),
but does not include a decision made by a person acting as a delegate of the Commissioner.
(2) A person who is not satisfied with a decision may, within 14 days of receiving notice of the decision and in the form of Form 6 in Schedule 2 refer the decision to a safety and health magistrate for review setting out the grounds upon which a review of the decision is sought and giving to the Commissioner a copy of the reference.
(3) On reference of a decision to a safety and health magistrate for review under this regulation, the safety and health magistrate is to inquire into the circumstances relevant to the decision and may —
(a) affirm the decision;
(b) set aside the decision; or
(c) substitute for the decision any decision that the safety and health magistrate considers the Commissioner should have made in the first instance,
and the determination of the matter by the safety and health magistrate is to be final.
Part 3 — Workplace safety requirements
Division 1 — General duties applying to workplaces
3.1. Identification of hazards, and assessing and addressing risks, at workplaces
A person who, at a workplace, is an employer, the main contractor, a self‑employed person, a person having control of the workplace or a person having control of access to the workplace must, as far as practicable —
(a) identify each hazard to which a person at the workplace is likely to be exposed;
(b) assess the risk of injury or harm to a person resulting from each hazard, if any, identified under paragraph (a); and
(c) consider the means by which the risk may be reduced.
Penalty: the regulation 1.16 penalty.
[Regulation 3.1 amended in Gazette 14 Dec 2004 p. 6018.]
3.2. Persons at workplaces to have access to Act etc.
A person who, at a workplace, is an employer or the main contractor must ensure that, as soon as practicable following a request from a person who works at the workplace, there is available for that person’s perusal an up to date copy of —
(a) the Act;
(b) these regulations;
(c) all Australian Standards, Australian/New Zealand Standards and NOHSC documents or parts of those Standards or documents referred to in these regulations that apply to that workplace;
(d) all codes of practice approved under section 57 of the Act that apply to that workplace; and
(e) guidelines or forms of guidance referred to in section 14 of the Act —
(i) the titles of which have been published in the Government Gazette and which are set out in Schedule 3.1; and
(ii) which apply to that workplace.
Penalty:
(a) in the case of an individual —
(i) for a first offence, $2 000; and
(ii) for a subsequent offence, $2 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $4 000; and
(ii) for a subsequent offence, $5 000.
[Regulation 3.2 amended in Gazette 14 Dec 2004 p. 6012.]
3.3. Communication with isolated employees
If an employee is isolated from other persons because of the time, location or nature of the work then the employer must ensure that —
(a) there is a means of communication available which will enable the employee to call for help in the event of an emergency; and
(b) there is a procedure for regular contact to be made with the employee and the employee is trained in the procedure.
Penalty: the regulation 1.16 penalty.
[Regulation 3.3 amended in Gazette 14 Dec 2004 p. 6018.]
3.4. Manual handling
(1) In this regulation —
“manual handling” means any activity requiring the use of force exerted by a person to lift, lower, push, pull, carry or otherwise move, hold or restrain a person, animal or thing.
(2) Without limiting regulation 3.1, a person who, at a workplace, is an employer, the main contractor or a self‑employed person must, as far as practicable —
(a) identify each hazard that is likely to arise from manual handling at the workplace;
(b) assess the risk of injury or harm to a person resulting from each hazard, if any, identified under paragraph (a); and
(c) consider the means by which the risk may be reduced.
Penalty: the regulation 1.16 penalty.
[Regulation 3.4 amended in Gazette 14 Dec 2004 p. 6018.]
3.5. Reports of hazards etc. to be investigated
If an employer receives from an employee a report of a kind described in section 20(2)(d) of the Act or from a safety and health representative under section 33(1)(d) of the Act then the employer must, within a reasonable time, investigate the situation that has been reported.
Penalty: the regulation 1.16 penalty.
[Regulation 3.5 amended in Gazette 14 Dec 2004 p. 6018.]
3.6. Movement around workplaces
A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must, where practicable, ensure that the workplace is arranged so that —
(a) persons are able to move safely within the workplace; and
(b) passages for the purpose of enabling persons to move within the workplace are at all times kept free of obstructions.
Penalty: the regulation 1.16 penalty.
[Regulation 3.6 amended in Gazette 14 Dec 2004 p. 6018.]
3.7. Access to and egress from workplaces
A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of access to the workplace must, where practicable, ensure that the means of access to and egress from the workplace —
(a) enable persons to move safely to and from the workplace; and
(b) are at all times kept free of obstructions.
Penalty: the regulation 1.16 penalty.
[Regulation 3.7 amended in Gazette 14 Dec 2004 p. 6018.]
3.8. Emergency egress from workplaces
A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of access to the workplace must ensure that the means of emergency egress from the workplace enable safe egress from the workplace in the event of an emergency.
Penalty: the regulation 1.16 penalty.
[Regulation 3.8 amended in Gazette 14 Dec 2004 p. 6018.]
3.9. Fire precautions
(1) If there is a risk of fire at a workplace then a person who, at the workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must, as far as practicable —
(a) provide regularly maintained and efficient portable fire extinguishers to control any fire likely to arise from the work being done at the workplace; and
(b) ensure that portable fire extinguishers are located and distributed at the workplace in accordance with AS 2444.
Penalty: the regulation 1.16 penalty.
(2) If, in any part of a workplace —
(a) there are goods or materials which in the event of a fire are likely to burn with extreme rapidity, emit poisonous fumes or cause explosions; and
(b) there is a risk of harm or injury to a person at the workplace resulting from the goods or materials being ignited,
then a person who, in the case of a construction site, is the main contractor or who, in the case of any other workplace, is an employer or a self‑employed person, must ensure, where practicable, that no person smokes or introduces a naked flame into that part of the workplace.
Penalty: the regulation 1.16 penalty.
(3) A person must comply with a direction given for the purposes of subregulation (2).
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case: the regulation 1.16 penalty.
[Regulation 3.9 amended in Gazette 14 Dec 2004 p. 6017 and 6018.]
3.10. Evacuation procedures
A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure that —
(a) there is an evacuation procedure to be followed in the event of fire or other emergency at the workplace;
(b) where practicable, the evacuation procedure is clearly and prominently displayed at the workplace;
(c) where practicable, a diagram showing the location of exits and the position of the diagram in relation to the exits is clearly and prominently displayed at the workplace;
(d) where practicable, the evacuation procedure is practised at the workplace at reasonable intervals; and
(e) persons at the workplace who would be required to help control or extinguish a fire at the workplace are appropriately trained and provided with appropriate protective clothing and equipment.
Penalty: the regulation 1.16 penalty.
[Regulation 3.10 amended in Gazette 14 Dec 2004 p. 6018.]
3.11. Warning signs
Without limiting any other requirement of these regulations for the display of signs, if, in an area of a workplace there is a hazard which may not be readily apparent to a person working in or entering the area then a person who, at the workplace, is an employer, the main contractor, a person having control of the workplace or a person having control of access to the workplace must ensure that —
(a) a sign relevant to each hazard is displayed to persons in or entering the area; and
(b) the sign complies, and is used in accordance, with AS 1319.
Penalty: the regulation 1.16 penalty.
[Regulation 3.11 amended in Gazette 14 Dec 2004 p. 6018.]
3.12. First aid
(1) In this regulation —
“first aid” means the immediate treatment or care of a person who is injured or who becomes ill at a workplace.
(2) A person who, at a workplace, is an employer, the main contractor or a self‑employed person —
(a) must provide such first aid facilities as are appropriate having regard to —
(i) the type of hazards to persons at the workplace and the risk of those hazards; and
(ii) the number of persons at the workplace;
and
(b) must ensure that, as far as practicable, persons trained in first aid are available to give first aid at the workplace having regard to —
(i) the type of hazards to persons at the workplace and the risk of those hazards; and
(ii) the number of persons at the workplace.
Penalty: the regulation 1.16 penalty.
[Regulation 3.12 amended in Gazette 14 Dec 2004 p. 6018.]
3.13. Lighting
A person who, at a workplace, is an employer, the main contractor, a self‑employed person, a person having control of the workplace or a person having control of access to the workplace must ensure that lighting for the workplace from natural or artificial sources or both —
(a) is adequate having regard to the nature and location of the work being done; and
(b) without limiting regulation 3.6, is adequate for the movement of persons about the workplace.
Penalty: the regulation 1.16 penalty.
[Regulation 3.13 amended in Gazette 14 Dec 2004 p. 6018.]
3.14. Work space generally
An employer must, as far as practicable, provide each employee with sufficient space in which to work without risk to the employee’s safety and health.
Penalty: the regulation 1.16 penalty.
[Regulation 3.14 amended in Gazette 14 Dec 2004 p. 6018.]
3.15. Air temperature
An employer must ensure —
(a) that work practices are arranged so that employees are protected from extremes of heat and cold; and
(b) if the workplace is in a building or structure that, as far as practicable, heating and cooling are provided to enable employees to work in a comfortable environment.
Penalty:
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.15 amended in Gazette 14 Dec 2004 p. 6016.]
3.16. Water
(1) A person who, at a workplace, is an employer or the main contractor must ensure that a supply of clean, cool, drinking water is provided for, and is readily accessible to, persons working at the workplace, and that the outlet is in a place —
(a) where the water supply is unlikely to be contaminated; and
(b) other than a place in which a toilet is located.
(2) If, at a workplace —
(a) water is provided for use in industrial processes or for fire protection;
(b) the water is unfit for drinking; and
(c) it is not readily apparent that the water is unfit for drinking,
then a person who, at the workplace, is an employer or the main contractor or a person having control of the workplace must ensure that conspicuous notices are posted at points of supply clearly marked “UNFIT FOR DRINKING” or with words having a similar effect.
Penalty applicable to subregulations (1) and (2):
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.16 amended in Gazette 14 Dec 2004 p. 6012.]
3.17. Cleanliness and removal of debris
(1) A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure that —
(a) the workplace and other areas ancillary to the workplace are maintained in such clean condition as is necessary to avoid hazards to persons at the workplace;
(b) where practicable, rubbish and debris are removed by mechanical means; and
(c) as far as practicable, dust is prevented from being released into the atmosphere.
(2) A person who, at a construction site, is the main contractor, an employer or a self‑employed person must ensure that rubbish, building material and plant is stored away from footpaths and roadways at the site.
(3) A person who, at a construction site, is the main contractor, an employer, or a self‑employed person must ensure that debris from first and subsequent storeys at the site is removed by means of —
(a) a hoisting appliance; or
(b) a completely enclosed chute discharging either into disposal hoppers or into an area which is completely enclosed by a hoarding that is at least 2 metres in height.
Penalty applicable to subregulations (1), (2) and (3): the regulation 1.16 penalty.
[Regulation 3.17 amended in Gazette 14 Dec 2004 p. 6018.]
3.18. Surfaces and floors
(1) A person who, at a workplace, is an employer, the main contractor, a self‑employed person, a person having control of the workplace or a person having control of access to the workplace must ensure that as far as practicable —
(a) the floor of the workplace; or
(b) any stair or ramp in the workplace,
has an unbroken and slip resistant surface and is free from any obstruction that may cause a person to trip or fall.
(2) If, at a workplace, there is a risk of liquids coming into contact with a floor because of the nature of work done at the workplace then a person who, at the workplace, is an employer, the main contractor or a self‑employed person must ensure that the floor is designed and constructed to provide adequate drainage.
(3) This regulation does not apply to a natural ground surface comprising a floor.
Penalty applicable to subregulations (1) and (2): the regulation 1.16 penalty.
[Regulation 3.18 amended in Gazette 14 Dec 2004 p. 6018.]
3.19. Seating
(1) If an employee’s work is done from a sitting position or is of a kind that can be satisfactorily done from a sitting position then the employer must provide and maintain seating —
(a) that is designed having regard to the nature of the work to be performed and the characteristics of the work station;
(b) that is strongly constructed, stable, comfortable and of suitable size and height for the employee; and
(c) if practicable, has a backrest or is otherwise designed to provide back support.
(2) If an employee’s work is done from a standing position and the employee’s work allows the employee to sit from time to time then, to the extent practicable, the employer must provide and maintain seating so that the employee may sit down for the periods when the employee is not working.
Penalty applicable to subregulations (1) and (2):
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.19 amended in Gazette 14 Dec 2004 p. 6013.]
3.20. Workplace facilities
(1) In this regulation —
“other facility” means an area for the changing of clothes, showering, eating, drinking or resting;
“sanitary facilities” means toilets (including urinals), hand‑wash basins and units for the disposal of sanitary items.
(2) A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure that there are provided at the workplace for the use of persons working at the workplace —
(a) reasonable sanitary facilities, having regard to the reasonable requirements of the persons working at the workplace;
(b) convenient access to sanitary facilities; and
(c) any other facility if the safety or health of a person working at the workplace would be at risk if the facility were not provided.
Penalty:
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.20 amended in Gazette 14 Dec 2004 p. 6016.]
3.21. Drawings showing location of certain services
(1) If there is a risk that work to be conducted at a workplace might interfere with any gas, water, sewerage or electrical service then a person who, at the workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure that —
(a) the location of the service that might be affected is established; and
(b) an accurate diagrammatic representation of the service that might be affected is available at the workplace before the work commences.
(2) If any person causes the location of any gas, water, sewerage or electrical service to a workplace to be changed then a person who, at the workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure that an accurate diagrammatic representation of the change to the service is either prepared or amended, as the case requires, to show the change.
(3) A person who, at a workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must ensure, where practicable, that “as constructed” drawings showing the location of gas, water, sewerage and electrical service to the workplace are kept at the workplace.
Penalty applicable to subregulations (1), (2) and (3):
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.21 amended in Gazette 14 Dec 2004 p. 6013.]
3.22. Management of vehicles and moving plant at workplaces
A person who, at a workplace, is an employer, the main contractor or a person having control of the workplace must ensure that the movement and speed of vehicles and plant at the workplace are managed in a way that minimises the risk of injury to pedestrians and persons operating vehicles.
Penalty:
(a) in the case of an individual —
(i) for a first offence, $10 000; and
(ii) for a subsequent offence, $12 500;
or
(b) in the case of a body corporate —
(i) for a first offence, $20 000; and
(ii) for a subsequent offence, $25 000.
[Regulation 3.22 amended in Gazette 14 Dec 2004 p. 6016.]
3.23. Protection of persons and property in vicinity of cranes
(1) If any material or gear is being lifted, lowered or otherwise moved by a crane at a construction site then the main contractor must ensure that persons and vehicles are prevented from entering any area in or adjacent to the site where there is a risk of injury to persons or damage to property occurring as a result of the movement of the material or gear, and that such prevention is —
(a) by means of warning signs, flashing lights, barriers, traffic controllers or other means as would be appropriate to the nature of the load; and
(b) with the minimum amount of disruption to persons and traffic in the area.
(2) If an area of a construction site where any material or gear is being lifted, lowered or otherwise moved from or onto the area is open to the public or if an inspector so requires it then a person who, at the site, is the main contractor, an employer, or a self‑employed person must ensure that there is either in place or available in the area a system or device that would prevent persons or vehicles entering the area when the material or gear is being lifted, lowered or otherwise moved.
(3) A person who, at a construction site, is the main contractor, an employer or a self‑employed person must ensure that any material or gear that is being raised or otherwise moved or suspended or supported at the site is properly secured so as to minimise the risk of injury to persons or damage to property occurring as a result of the movement of the material or gear.
(4) If a mobile crane, other than a vehicle loading crane or earthmoving machinery, that is a non‑slewing crane with a maximum rated capacity of greater than 20 tonnes or a slewing crane, is used at a construction site, a person who at the site, is the main contractor, an employer or a self‑employed person, must ensure that the crane is fitted as far as practicable with a system having the following components —
(a) at least one light source inside the crane that emits green light only if a load being lifted by the crane is less than or equal to 90% of the crane’s rated capacity and which light gives the crane operator an effective warning signal of the status of the load in that respect;
(b) at least one light source on the outside of the crane that emits a green light only if a load being lifted by the crane is less than or equal to 90% of the crane’s rated capacity and which light is visible to a person in the vicinity of the crane;
(c) at least one light source inside the crane that emits amber light only if a load being lifted by the crane is greater than 90% and less than 100% of the crane’s rated capacity and which light gives the crane operator an effective warning signal of the status of the load in that respect;
(d) at least one light source on the outside of the crane that emits an amber light only if a load being lifted by the crane is greater than 90% and less than 100% of the crane’s rated capacity and which light is visible to a person in the vicinity of the crane;
(e) at least one light source inside the crane that emits a flashing red light only if a load being lifted by the crane is greater than 100% of the crane’s rated capacity and which light gives the crane operator an effective warning signal of the status of the load in that respect;
(f) at least one light source on the outside of the crane that emits a flashing red light only if a load being lifted by the crane is greater than 100% of the crane’s rated capacity and which light is visible to a person in the vicinity of the crane;
(g) an alarm that sounds inside the crane only if a load being lifted by the crane is greater than 100% of the crane’s rated capacity, which alarm gives the crane operator an effective warning signal of the status of the load in that respect; and
(h) an alarm that sounds outside the crane only if a load being lifted by the crane is greater than 100% of the crane’s rated capacity, which sound is audible to a person in the vicinity of the crane.
(5) A person does not commit an offence under subregulation (4) if the percentage of a crane’s rated capacity at which a light is emitted or an alarm sounds differs by no more than 2% from that required under subregulation (4) if, proof of which is on the person —
(a) only one colour of light is emitted by the inside and outside light sources at a time;
(b) the inside and outside alarms sound at the same time as the inside and outside light sources emit red light;
(c) the percentage of the crane’s rated capacity above which the inside and outside light sources emit red light and the inside and outside alarms sound is not greater than 100%; and
(d) the crane is operated in accordance with written instructions developed at the time of design or manufacture by the person who designed or manufactured the crane.
Penalty applicable to subregulations (1), (2), (3) and (4): the regulation 1.16 penalty.
[Regulation 3.23 amended in Gazette 3 Oct 2003 p. 4356‑8; 25 Jun 2004 p. 2292; 14 Dec 2004 p. 6018.]
3.24. Lowering gear
A person working on a construction site who lowers any gear from any building or structure where persons in the vicinity are at risk of injury from the gear being lowered must do so carefully, without throwing or dropping the gear.
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case:
(a) for a first offence, $25 000; and
(b) for a subsequent offence, $31 250.
[Regulation 3.24 amended in Gazette 14 Dec 2004 p. 6017.]
3.25. Safety in relation to conduit
A person who, at a construction site, is the main contractor, an employer or a self‑employed person must ensure that any conduit crossing a thoroughfare is secured to the ground or protected by a non‑slip ramp.
Penalty: the regulation 1.16 penalty.
[Regulation 3.25 amended in Gazette 14 Dec 2004 p. 6018.]
3.26. Portable ladders
(1) If, at a workplace, a person uses either a single or extension ladder then the person must ensure that the ladder —
(a) is placed so that the distance from the ladder base to the base of the support wall is about ¼ of the working length of the ladder;
(b) is located on a firm footing;
(c) is secured into position so as to prevent slipping or sideways movement;
(d) if being used to approach a platform, protrudes at least 900 mm beyond the landing for the platform; and
(e) if being used at a workplace that is a construction site, is not suspended from a parapet hook.
(2) If, at a workplace, a person uses —
(a) a portable metal ladder then the person must ensure that the ladder is designed and constructed in accordance with the general requirements of AS/NZS 1892.1 and the specific requirements of that Standard in relation to the type of ladder; or
(b) a portable wooden ladder then the person must ensure that the ladder is designed and constructed in accordance with the general requirements of AS 1892.2 and the specific requirements of that Standard in relation to the type of ladder.
(3) A person must not use a ladder‑bracket scaffold at a workplace unless the ladder‑bracket scaffold is set up and used in accordance with clause 10.2.5 of AS/NZS 4576.
Penalty applicable to subregulations (1), (2) and (3) for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty applicable to subregulations (1), (2) and (3) in any other case: the regulation 1.16 penalty.
[Regulation 3.26 amended in Gazette 17 Dec 1999 p. 6229; 14 Dec 2004 p. 6017.]
3.27. Gas cylinders to be secured
A person who, at a workplace is an employer, the main contractor or a self‑employed person must ensure that any gas cylinder at the workplace —
(a) is appropriately secured and protected from damage or the uncontrolled release of its contents while the cylinder is being used, moved, or stored; and
(b) is not lifted or lowered by mechanical means unless —
(i) it is contained in an appropriate type of box; or
(ii) it is lifted or lowered using attachments that are suitable for the task being performed.
Penalty: the regulation 1.16 penalty.
[Regulation 3.27 amended in Gazette 17 Dec 1999 p. 6229‑30; 14 Dec 2004 p. 6018.]
3.28. Protection of manifolded cylinder pack
A person who, at a workplace, is an employer, the main contractor or a self‑employed person must ensure, in relation to a manifolded cylinder pack used in welding or in an allied process at the workplace, that at all times —
(a) each manifolded cylinder pack is so located and guarded to protect it from damage; and
(b) where 2 or more manifolded cylinder packs are located in the same room, they are located at least 5 metres apart.
Penalty: the regulation 1.16 penalty.
[Regulation 3.28 amended in Gazette 14 Dec 2004 p. 6018.]
3.29. Construction diving work to be in accordance with Standard
(1) In this regulation —
“construction diving work” means any construction work in which diving is done using either surface supplied breathing apparatus or self‑contained underwater breathing apparatus, and includes the work done by the persons who give direct support to the diver.
(2) If, at a workplace, a person is to do construction diving work the person’s employer or the self‑employed person, as the case may be, must ensure that —
(a) each person to do the work is qualified in accordance with AS/NZS 2299; and
(b) the work is done in accordance with the relevant requirements of AS/NZS 2299.
Penalty: the regulation 1.16 penalty.
(3) A person who does construction diving work must, when in the water, use compressed air to breathe in accordance with the requirements of AS/NZS 2299.
Penalty for a person who commits the offence as an employee: the regulation 1.15 penalty.
Penalty in any other case:
(a) for a first offence, $25 000; and
(b) for a subsequent offence, $31 250.
[Regulation 3.29 amended in Gazette 10 Jan 2003 p. 63; 14 Dec 2004 p. 6017 and 6018.]
3.30. Flotation devices where persons working with others
If, at a workplace —
(a) there is a risk of a person falling into water or other liquid and drowning at or adjacent to the workplace; and
(b) persons other than the person referred to in paragraph (a) are likely to be present at the workplace,
then a person who, at the workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must provide appropriate flotation devices in a readily accessible position and ensure that rescue equipment is maintained and ready for use.
Penalty: the regulation 1.16 penalty.
[Regulation 3.30 amended in Gazette 14 Dec 2004 p. 6018.]
3.31. Flotation devices where person working alone
If, at a workplace —
(a) a person works over water or other liquid and there is a risk of the person drowning if he or she falls into the water or other liquid; and
(b) the person works alone,
a person who, at the workplace, is an employer, the main contractor, a self‑employed person or a person having control of the workplace must, as far as practicable, ensure that the first‑mentioned person wears a life jacket to reduce the risk of drowning.
Penalty: the regulation 1.16 penalty.
[Regulation 3.31 inserted in Gazette 17 Dec 1999 p. 6230; amended in Gazette 14 Dec 2004 p. 6018.]
Division 2 — General duties in relation to personal protective clothing and equipment
3.32. Risks to be reduced in first instance by means other than protective clothing and equipment
When a person is considering, for the purposes of regulation 3.1(c), the means by which a risk may be reduced, the person is to —
(a) firstly consider the means other than the use of protective clothing and equipment by which the risk might be reduced; and
(b) then consider the use of protective clothing and equipment to the extent that it is not practicable to reduce the risk by means other than the use of protective clothing and equipment.
3.33. Standards relevant to certain protective clothing and equipment
(1) If a person —
(a) is required under any of these regulations to identify a hazard at a workplace and to assess the risk of injury or harm to a person resulting from the hazard; and
(b) concludes from the assessment process that a risk might be reduced by any of the personal protective clothing or equipment set out in column 1 of the Table to this regulation,
then the person must ensure that the personal protective clothing or equipment is in accordance, and complies, with the relevant requirements of each Standard set out opposite the clothing or equipment in column 2 of the Table.
Table
|
Column 1 |
Column 2 |
|
Means of protection |
Standard |
|
Safety helmet |
AS/NZS 1801 |
|
Eye protection |
AS/NZS 1337 and AS/NZS 1338 |
|
Gloves |
AS/NZS 2161 |
|
Footwear |
AS/NZS 2210 |
|
Skin protection by way of sunscreen |
AS/NZS 2604 |
|
Clothing to protect skin against burns by heat or fire |
AS 2375 |
|
Clothing to protect skin against toxic or volatile chemicals |
AS 3765 |
Penalty: the regulation 1.16 penalty.
(2) A person does not commit an offence under subregulation (1) if, proof of which is on the person, the protection provided by the person in relation to a particular risk is of an equivalent or higher standard than the means of protection referred to in subregulation (1).
(3) Nothing in subregulation (1) affects any requirement in the Act or in these regulations to provide such protection as will protect a person from a risk if the means of protection referred to in subregulation (1) would not provide adequate protection in relation to that risk.
[Regulation 3.33 amended in Gazette 10 Jan 2003 p. 63; 14 Dec 2004 p. 6018.]
3.34. Responsibilities of persons who require personal protective clothing and equipment to be used
(1) If a person is required under any of these regulations to identify a hazard at a workplace and to assess the risk of injury or harm to a person resulting from the hazard and the person concludes from the assessment process that personal protective clothing or equipment should be used at the workplace then the person must ensure that —
(a) the person who uses the clothing or equipment is instructed in relation to the correct fitting, use, selection, testing, maintenance and storage of the clothing or equipment;
(b) the person who uses the clothing or equipment is informed of the limitations in the use of the clothing or equipment;
(c) the clothing or equipment is maintained in good working order;
(d) the clothing or equipment is replaced —
(i) when it no longer provides the level of protection required to protect the wearer or user against the particular hazard;
(ii) when the safe working life, as specified by the person who manufactured the clothing or equipment, has expired; or
(iii) subject to subregulation (2), when it is damaged and cannot be repaired;
and
(e) the area of a workplace at which the clothing or equipment is required to be used by a person other than the person who provides the clothing or equipment is identified by signs in accordance, and complying, with AS 1319.
Penalty: the regulation 1.16 penalty.
(2) A person does not commit an offence under subregulation (1)(d) if, proof of which is on the person, the clothing or equipment is repaired rather than replaced and —
(a) the repair is done by a competent person;
(b) the repair is done according to the specifications of the manufacturer of the equipment; and
(c) any replacement part used in the repair is that which is specified by the manufacturer of the equipment as the correct replacement part.
[Regulation 3.34 amended in Gazette 14 Dec 2004 p. 6018.]
3.35. Responsibilities of users of personal protective clothing and equipment
A person to whom personal protective clothing or equipment is provided or made available for use at a workplace —
(a) must use the protective clothing or equipment in a manner in which he or she has been properly instructed to use it;
(b) must not misuse or damage the clothing or equipment; and
(c) must, as soon as practicable after becoming aware of any —
(i) damage to;
(ii) malfunction of; or
(iii) need to clean or sterilize,