An Act to protect and promote the health of the Queensland public, and for other purposes
This Act may be cited as the Public Health Act 2005.
This Act commences on a day to be fixed by proclamation.
(1)Subject to subsection (2), this Act binds all persons, including the State and, so far as the legislative power of the Parliament permits, the Commonwealth and all the other States.(2)The following provisions do not bind the State for local government public health risks—(a)chapter 2, part 3;(b)section 386;(c)sections 394 and 395.(3)Nothing in this Act makes the Commonwealth or a State liable to be prosecuted for an offence.
4Contravention of this Act does not create civil cause of action
No provision of this Act creates a civil cause of action based on a contravention of the provision.
5Act does not affect other rights or remedies
(1)This Act does not affect or limit a civil right or remedy that exists apart from this Act, whether at common law or otherwise.(2)Without limiting subsection (1), compliance with this Act does not necessarily show that a civil obligation that exists apart from this Act has been satisfied or has not been breached.
The object of this Act is to protect and promote the health of the Queensland public.
7How object is mainly achieved
The object is to be mainly achieved by—(a)preventing, controlling and reducing risks to public health; and(b)providing for the identification of, and response to, notifiable conditions; and(c)imposing obligations on persons and particular health care facilities involved in the provision of declared health services to minimise infection risks; and(d)providing for persons who have a major disturbance in mental capacity to be transported to a treatment or care place; and(e)protecting children who have been harmed or are at risk of harm when the children present at health service facilities; and(f)restricting the performance of cosmetic procedures on children; and(g)collecting and managing particular health information, and establishing mechanisms for health information held by a health agency to be accessed for appropriate research; and(h)inquiring into serious public health matters; and(i)responding to public health emergencies; and(j)providing for compliance with this Act to be monitored and enforced.s 7 amd 2008 No. 57 s 4; 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47); 2014 No. 28 s 101; 2016 No. 5 s 920
The dictionary in schedule 2 defines particular words used in this Act.
A note in the text of this Act is part of the Act.
In this chapter—local government public health risk means a public health risk—(a)mentioned in section 11(1)(a) or (b)(i), (iv), (v), (vi), (vii) or (viii); or(b)prescribed under section 18 as a public health risk that is to be administered and enforced only by local governments.s 10 def local government public health risk amd 2008 No. 34 s 649 (1)
public health risk see section 11.State public health risk means a public health risk—(a)mentioned in section 11(1)(b)(ii), (iii), (ix) or (x); or(b)prescribed under section 18 as a public health risk that is to be administered and enforced only by the State.s 10 def State public health risk amd 2008 No. 34 s 649 (2)
11Meaning of public health risk
(1)Public health risk means—(a)an animal, structure, substance or other thing that—(i)is, or is likely to become, a breeding ground or source of food for designated pests; or(ii)harbours, or is likely to become something that harbours, designated pests; or(b)any of the following that is, or is likely to be, hazardous to human health, or that contributes to, or is likely to contribute to, disease in humans or the transmission of an infectious condition to humans—(i)a designated pest;(ii)drinking water supplied by a drinking water service provider;(iii)recycled water produced or supplied under a recycled water scheme within the meaning of the Water Supply (Safety and Reliability) Act 2008;(iv)water, other than water mentioned in subparagraph (ii) or (iii);(v)waste;(vi)a dead or living animal, structure, substance or other thing that has been, or is likely to have been, exposed to an infectious condition;(vii)a dispersal or release of a pesticide, herbicide, solvent or other chemical at a place other than a workplace;(viii)a dispersal or release of a by-product of manufacturing, construction, repair, alteration, cleaning or demolition work at a place other than a workplace;(ix)lead used, or being used, in a way that contravenes section 58 or 59;(x)paint used, or being used, in a way that contravenes the standard mentioned in section 60;(xi)any other activity, animal, substance or other thing prescribed under a regulation.Examples for subparagraph (viii)—
1drifting fibreglass dust resulting from building a fibreglass boat2propulsion into the environment of lead particles as a result of sandblasting lead-based paint3the release of asbestos fibres through the renovation of a house containing asbestos-cement sheeting or insulation material comprising or containing asbestos(2)The Minister must not recommend to the Governor in Council the making of a regulation under subsection (1)(b)(xi) unless the Minister is satisfied the activity, animal, substance or other thing—(a)is, or is likely to be, hazardous to human health; or(b)contributes, or is likely to contribute, to disease in humans or to the transmission of an infectious condition to humans.(3)In this section—animal does not include a human.disease includes a non-infectious condition.waste includes an accumulation or deposit of a substance or a thing.water includes drinking water, water used for recreational purposes, recycled water, waste water and sewage.workplace has the meaning given in the Work Health and Safety Act 2011.s 11 amd 2008 No. 34 s 650; 2009 No. 44 s 158; 2011 No. 18 s 404 sch 4 pt 2 div 1
12When Act administered only by the State
(1)This Act is to be administered and enforced by the State and not by local governments for—(a)State public health risks; and(b)a regulation made under section 61 that states that the regulation is to be administered and enforced by the State only.(2)This section is subject to section 14.
13When Act administered only by local governments
(1)This Act is to be administered and enforced by local governments and not by the State for—(a)local government public health risks; and(b)a regulation made under section 61 that states that the regulation is to be administered and enforced by local governments only.(2)This section is subject to section 14.
14When State and local governments administer this Act in partnership
(1)The chief executive and the chief executive officer of a local government may agree that—(a)the State do a thing in the administration or enforcement of this Act for a matter mentioned in section 13(1); or(b)the local government do a thing in the administration or enforcement of this Act for a matter mentioned in section 12(1).(2)For subsection (1)(a), the chief executive may perform functions and exercise powers for this Act for a matter mentioned in section 13(1), including appointing authorised persons.(3)For subsection (1)(b), a chief executive officer may perform functions and exercise powers for this Act for a matter mentioned in section 12(1), including appointing authorised persons.(4)An appointment under subsection (2) or (3) may be made before or after an agreement under this section.
15Action by the State if local government does not administer and enforce this Act
(1)Subsection (3) applies if the chief executive—(a)is reasonably of the opinion there is a significant risk to public health from a public health risk in a local government’s area for a matter mentioned in section 13(1); and(b)is satisfied a local government has not done, or sufficiently done, a thing in the administration or enforcement of this Act for the matter; and(c)is reasonably of the opinion that doing the thing is necessary to remove or reduce the risk to public health from a public health risk, or prevent a risk to public health from recurring.(2)For subsection (1)(a), the chief executive must have regard to the following in forming an opinion about whether there is a significant risk to public health from the public health risk—(a)the potential consequences for the health of individuals;(b)the number of persons likely to be exposed to the risk.(3)The chief executive may do the thing and the reasonable costs and expenses incurred by the chief executive are a debt payable by the local government to the State.(4)For subsections (1), (2) and (3), the chief executive may perform functions and exercise powers for this Act for a matter mentioned in section 13(1), including appointing authorised persons.(5)An appointment under subsection (4) may be made before or after a local government has not done a thing mentioned in subsection (1)(b).
16Procedure before taking action under s 15
Before the chief executive does a thing under section 15(3), the chief executive must—(a)consult with the chief executive officer of the local government; and(b)give the chief executive officer a reasonable opportunity to do the thing.
17State may require report from local government
(1)This section applies to a matter under this chapter administered and enforced—(a)by both the State and local governments in partnership under section 14; or(b)by local governments only.(2)The chief executive, by notice, may ask a local government to give the chief executive information about the local government’s administration and enforcement of the matter within a stated reasonable time.(3)The local government must comply with the request.(4)However, before giving notice under this section, the chief executive must consult with the chief executive officer of the local government.
18Regulation to prescribe who is to administer this Act for particular public health risks
If a regulation is made under section 11(1)(b)(xi) prescribing a public health risk, the regulation must state whether this Act is to be administered and enforced for the public health risk by—(a)the State only; or(b)local governments only.s 18 amd 2008 No. 34 s 651
(1)This Act does not prevent a local government from making local laws about public health risks.(2)For this Act, local laws about public health risks have effect despite the Local Government Act 2009, section 27.(3)However, subsection (2) does not apply to a local law that is inconsistent with a regulation made under section 61.s 19 amd 2009 No. 17 s 331 sch 1
20Application of Local Government Act 2009
The Local Government Act 2009, chapter 5, part 2, does not apply to the administration and enforcement of this Act by a local government.s 20 sub 2009 No. 17 s 331 sch 1
21What public health order may require
(1)A public health order may require a person to do something at a place that is—(a)reasonably necessary to remove or reduce the risk to public health from a public health risk, or prevent a risk to public health from recurring; and(b)appropriate in the circumstances having regard to the nature and seriousness of the risk to public health at the time the order is made.(2)Without limiting subsection (1), a public health order may require a person to do any of the following at the place—(a)clean or disinfect the place, or part of the place, or a structure or other thing at the place, in the way stated in the order;(b)carry out insect or pest control at the place in the way stated in the order;(c)demolish stated structures or other property at the place in the way stated in the order;(d)remove stated material or items from the place to another place stated in the order in the way stated in the order;(e)dispose of stated material or items at the place in the way stated in the order, for example, by burying the material or items;(f)destroy animals at the place or remove animals from the place for destruction at another place in the way stated in the order;(g)stop using the place, or part of the place, for a stated purpose, within a stated period or until stated steps are taken.(3)A public health order must—(a)be in writing; and(b)state a period within which the person to whom it is given must comply with the order.(4)The period stated under subsection (3)(b) must be reasonable having regard to the risk to public health from the public health risk.
22Public health orders about animals
(1)This section applies if an authorised person reasonably believes there is a public health risk at a place involving an animal that is, or is likely to be, a carrier of—(a)prohibited matter or restricted matter under the Biosecurity Act 2014; or1See the Biosecurity Act 2014, schedule 1 or schedule 22See also the note to the Biosecurity Act 2014, schedules 1 and 2.(b)controlled biosecurity matter or regulated biosecurity matter under the Biosecurity Act 2014.(2)Before an authorised person issues a public health order relating to the animal, the chief executive or chief executive officer must consult the chief executive administering the Biosecurity Act 2014.(3)In this section—carrier means a carrier under the Biosecurity Act 2014.s 22 amd 2014 No. 7 s 578 sch 4 pt 2
(1)If an authorised person reasonably believes that a person is responsible for a public health risk at a place, the authorised person may give a public health order to the person (the recipient).(2)The public health order must state—(a)the name and address of the recipient; and(b)the nature of the public health risk; and(c)the address of the place of the public health risk; and(d)the steps the recipient must take, or action the recipient must stop, at the place to remove or reduce the risk to public health from the public health risk, or prevent the risk to public health from recurring; and(e)the period within which the steps must be taken or the action must be stopped; and(f)the name of the authorised person; and(g)the name, address and contact details of the issuing authority; and(h)that it is an offence for the recipient not to comply with the order, unless the recipient has a reasonable excuse; and(i)that if the order is not complied with an application may be made to a magistrates court for an enforcement order.(3)The public health order must also set out, or state the effect of, sections 387 and 388.(4)The recipient must comply with the public health order, unless the recipient has a reasonable excuse.Maximum penalty—200 penalty units.
If a recipient fails to comply with a public health order, the issuing authority may take action under chapter 9, for example under section 388. Other action may be taken under this Act, for example, under division 3 of this part.
24Issuing authority may apply for enforcement order
(1)This section applies if the issuing authority considers a person has contravened a public health order.(2)The issuing authority may apply to a magistrate for an order enforcing the public health order (an enforcement order).(3)The application must—(a)be sworn; and(b)state the grounds on which the application is made; and(c)state the nature of the enforcement order sought; and(d)be accompanied by a copy of the public health order.(4)The magistrate may refuse to consider the application until the applicant gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.
25Notice of hearing must be given
(1)The person to whom the application relates must be given a notice at least 14 days before the day the application is to be heard.(2)The notice—(a)must be accompanied by a copy of the application; and(b)must state—(i)the time when and the place where the application is to be heard; and(ii)that the person may appear at the hearing and be heard on the application; and(iii)that, if the person does not appear, the application may be decided in the person’s absence.(3)If the person appears at the time and place stated in the notice, the person is entitled to be heard on the application.(4)If the person does not appear at the time and place stated in the notice, the application may be decided in the person’s absence.
26When magistrate may order enforcement
The magistrate may make an enforcement order against the person only if the magistrate is satisfied—(a)a public health order was given to the person; and(b)the public health order was appropriate in the circumstances having regard to the nature and seriousness of the risk to public health from the public health risk at the time the order was given; and(c)the person has contravened the public health order; and(d)notice under section 25 has been given to the person.
27What enforcement order may require
(1)The magistrate may make an enforcement order in the same terms as the public health order, or in other terms the magistrate considers appropriate.(2)Without limiting subsection (1), the magistrate may order either—(a)that—(i)the person against whom the order is made take steps to remove or reduce the risk to public health from the public health risk, or prevent the risk to public health from recurring; and(ii)if the person fails to take the steps, the issuing authority may enter the place and take the steps; or(b)that the issuing authority may enter a place by its employees or agents to take steps to remove or reduce the risk to public health from the public health risk, or prevent the risk to public health from recurring.(3)If the magistrate makes an order under subsection (2)(a), the order must state—(a)the address of the place the steps are to be taken; and(b)the steps the person must take; and(c)the period within which the steps must be taken; and(d)that an authorised person—(i)may enter the place to check whether the steps under the order are being, or have been, taken; and(ii)may use necessary and reasonable help and force to enter; and(e)the times and intervals for entry under paragraph (d); and(f)that if the steps required to be taken under the enforcement order have not been taken within the required period, the issuing authority may take the steps; and(g)that for paragraph (f), an employee or agent of the issuing authority—(i)may enter the place to take the steps under the order; and(ii)may use necessary and reasonable help and force to enter, if the employee or agent is an authorised person or is accompanied by an authorised person; and(h)the times and intervals for entry under paragraph (g); and(i)who must pay the costs of taking the steps; and(j)that it is an offence not to comply with the enforcement order unless the person has a reasonable excuse.(4)If the magistrate makes an order under subsection (2)(b), the order must state—(a)the address of the place where the steps are to be taken; and(b)the steps that may be taken at the place by the issuing authority; and(c)that an employee or agent of the issuing authority—(i)may enter the place to take the steps under the order; and(ii)may use necessary and reasonable help and force to enter, if the employee or agent is an authorised person or is accompanied by an authorised person; and(d)the times and intervals for entry under paragraph (c); and(e)the day when the order ends; and(f)that an authorised person—(i)may enter the place to check whether the steps under the order are being, or have been, taken; and(ii)may use necessary and reasonable help and force to enter; and(g)the times and intervals for entry under paragraph (f); and(h)who must pay the cost of taking the steps.
28Person must comply with enforcement order
(1)A person must comply with an enforcement order unless the person has a reasonable excuse.Maximum penalty—400 penalty units.
(2)Subsection (1) does not limit any other liability a person may incur for a contravention of the order.
29Application may be dealt with in proceeding for offence
(1)This section applies if a person to whom an application for an enforcement order relates is being prosecuted for an offence against section 23(4).(2)The application may be dealt with in the prosecution proceedings.
30Procedure before entry under enforcement order
(1)This section applies if—(a)an enforcement order allows—(i)an issuing authority to enter a place by its employees or its agents to take steps under the order; or(ii)an authorised person to enter a place to check whether the steps under the order are being, or have been, taken; and(b)the employees, agents or authorised person intends to enter the place under the order.(2)Before entering the place, the employee, agent or authorised person must do or make a reasonable attempt to do the following—(a)identify himself or herself to a person present at the place who is an occupier of the place;(b)give the person a copy of the order;(c)tell the person that the employee, agent or authorised person is permitted by the order to enter the place;(d)give the person an opportunity to allow the employee, agent or authorised person immediate entry to the place without using force.(3)However, the employee, agent or authorised person need not comply with subsection (2) if the employee, agent or authorised person believes on reasonable grounds that immediate entry to the place is required to ensure the effective execution of the order is not frustrated.
31Costs under enforcement order recoverable as a debt
(1)The issuing authority may recover the amount payable by a person ordered to pay the costs under an enforcement order as a debt due to the issuing authority.(2)For subsection (1), the amount becomes payable 30 days after the issuing authority gives the person details of the amount of the costs.(3)If the issuing authority is a local government—(a)the amount payable to the local government bears interest as if it were an amount of an overdue rate payable to a local government under the Local Government Act 2009; and(b)the amount payable plus interest may be recovered by the local government as if the total amount were an amount of an overdue rate payable to a local government under the Local Government Act 2009.s 31 amd 2009 No. 17 s 331 sch 1
32Cost under enforcement order a charge over land
(1)This section applies if an amount (including any interest on the amount) (the unpaid amount) is payable to a local government by a person under an enforcement order that relates to a public health risk on land owned by the person.(2)The unpaid amount is a charge on the land.(3)The local government may lodge a request to register the charge in the appropriate form over the land with the registrar of titles.(4)The request must be accompanied by a certificate signed by the local government’s chief executive officer stating there is a charge over the land under this section.(5)A registered charge has priority over all other encumbrances over the land other than—(a)encumbrances in favour of the State or a government entity; and(b)rates payable to the local government.(6)The charge is in addition to any other remedy the local government has for recovery of the unpaid amount.
33Recipient may apply for contribution
(1)This section applies if the recipient of a public health order has complied with the order and considers another person (the third party) is wholly or partly responsible for the public health risk the subject of the order.(2)The recipient may apply to a magistrates court for an order that the third party pay part or all of the costs of removing or reducing the risk to public health from the public health risk, or of preventing the risk to public health from recurring (the cost recovery order).(3)The application must—(a)be sworn; and(b)state the grounds on which the application is made; and(c)state the name of the third party; and(d)state the amount sought from the third party; and(e)be accompanied by a copy of the public health order.(4)The magistrate may refuse to consider the application until the applicant gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.
34Notice of hearing of cost recovery order must be given
(1)The third party to whom the application relates must be given a notice at least 14 days before the day the application is to be heard.(2)The notice—(a)must be accompanied by a copy of the application; and(b)must state—(i)the time when and the place where the application is to be heard; and(ii)that the third party may appear at the hearing and be heard on the application; and(iii)that, if the third party does not appear, the application may be decided in the absence of the third party.(3)If the third party appears at the time and place stated in the notice, the third party is entitled to be heard on the application.(4)If the third party does not appear at the time and place stated in the notice, the application may be decided in the absence of the third party.
35When magistrates court may make cost recovery order
(1)A magistrates court may make a cost recovery order against the third party if it is satisfied—(a)a public health order was given to a person; and(b)the person has complied with the order and has paid, or is liable to pay, an amount for the cost of complying with the order; and(c)the third party is responsible for part or all of the public health risk the subject of the order; and(d)a copy of the application for the cost recovery order has been given to the third party.(2)An order made by the court is a judgment in the court’s civil jurisdiction.
36Chief executive may authorise prevention and control program
(1)This section applies if the chief executive is satisfied there is, or is likely to be, in an area—(a)an outbreak of a disease capable of transmission to humans by designated pests; or(b)a plague or infestation of designated pests.(2)The chief executive may authorise, in writing, a prevention and control program for the area (the chief executive’s authorisation).(3)However, subsection (4) applies if a prevention and control program relates to 1 of the following that affects animals—(a)prohibited matter or restricted matter under the Biosecurity Act 2014;1See the Biosecurity Act 2014, schedule 1 or schedule 2.2See also the note to the Biosecurity Act 2014, schedules 1 and 2.(b)controlled biosecurity matter or regulated biosecurity matter under the Biosecurity Act 2014.(4)Before authorising the prevention and control program, the chief executive must consult the chief executive administering the Biosecurity Act 2014.(5)Also, before authorising a prevention and control program the chief executive must consult with the local government for the area to which the program relates.s 36 amd 2014 No. 7 s 578 sch 4 pt 2
37What chief executive’s authorisation must state
The chief executive’s authorisation must state the following—(a)the reasons for the prevention and control program;(b)the designated pests to which the program relates;(c)the area to which the program relates;(d)the types of places within the area to which the program relates;(e)the measures to be taken under the program;(f)the duration of the program;(g)who is to undertake the program;(h)any conditions about the way the program is to be undertaken.
38Publication of authorisation
(1)The chief executive must publish the chief executive’s authorisation at least 7 days before the start of the program, in the area to which the program relates, by newspaper, radio or television.(2)Failure to publish the authorisation does not affect the authorisation.
39Who may undertake prevention and control program
(1)For section 37(g) the chief executive may authorise—(a)1 or more local governments, if the chief executive officer of each local government agrees; or(b)the State; or(c)the State and 1 or more local governments, if the chief executive officer of each local government agrees.(2)A prevention and control program must be undertaken by authorised persons.
40Powers available for prevention and control program
(1)For undertaking a prevention and control program, an authorised person may exercise only the powers under this part and must not exercise the powers under chapter 9.(2)Subsection (1) does not apply to the investigation by an authorised person of the contravention of a provision of this part.
41Power of authorised persons to enter place for prevention and control program
(1)For undertaking a prevention and control program, an authorised person may enter a place in the area to which the program relates at any reasonable time of the day or night, to search for—(a)the designated pests to which the program relates; and(b)an animal, structure, substance or other thing that—(i)is, or is likely to become, a breeding ground or source of food for designated pests; or(ii)harbours, or is likely to become something that harbours, designated pests.(2)An authorised person may not enter a dwelling under subsection (1) without the occupier’s consent.(3)For subsection (2), the following do not form part of a dwelling—(a)a carport, other than a carport to which access is restricted;(b)the area of a verandah or deck to which access is not restricted and no provision is made to restrict access;(c)the area underneath the dwelling to which access is not restricted and no provision is made to restrict access;(d)any other external part of the dwelling, including, for example, the dwelling’s gutters;(e)land around the dwelling.
(1)This section applies if an authorised person enters a place under section 41 and an occupier is present at the place.(2)The authorised person must immediately after entering the place—(a)produce the authorised person’s identity card for the occupier’s inspection; and(b)inform the occupier about the prevention and control program.
43Powers of authorised persons after entry
(1)This section applies if an authorised person enters a place under section 41.(2)The authorised person may exercise the following powers—(a)take reasonable steps to eradicate or prevent the occurrence or recurrence of the designated pests, including by the use of pesticides;(b)take a thing, or a sample of or from a thing, at the place for analysis or testing;(c)take into or onto the place any persons, equipment and materials the authorised person reasonably requires for exercising a power under this section;(d)require a person at the place to give the authorised person reasonable help to exercise the authorised person’s powers under paragraphs (a) to (c).(3)When making a requirement mentioned in subsection (2)(d), the authorised person must warn the person it is an offence to fail to comply with the requirement, unless the person has a reasonable excuse.(4)Also, the authorised person may, under part 3, give a person a public health order if—(a)the authorised person is appointed for part 3; and(b)the public health order is for the prevention or control of the designated pests to which the prevention and control program relates.
44Failure to help authorised person
A person required to give reasonable help under section 43(2)(d) must comply with the requirement, unless the person has a reasonable excuse.Maximum penalty—50 penalty units.
45Person must not interfere with steps taken
A person must not do anything that interferes with a step taken by an authorised person under a prevention and control program, unless the person has a reasonable excuse.Maximum penalty—100 penalty units.
46Notification of prevention and control program
An authorised person must, after exercising the authorised person’s powers under a prevention and control program at a place—(a)if an occupier is present at the place, inform the occupier—(i)of any steps taken, or to be taken, under the program to eradicate or prevent the occurrence or recurrence of the designated pests; and(ii)if steps have been taken, or are to be taken—that it is an offence to do anything that interferes with a step taken; or(b)if an occupier is not present at the place, leave a notice at the place in a reasonably secure way and in a conspicuous position stating—(i)the purpose of the prevention and control program; and(ii)any steps taken, or to be taken, under the program to eradicate or prevent the occurrence or recurrence of designated pests; and(iii)if steps have been taken, or are to be taken—that it is an offence to do anything that interferes with a step taken; and(iv)the name and contact details of the authorised person.
47Meaning of environmental health event
(1)An environmental health event is an event involving human exposure to a substance or other thing that is known to have, or is reasonably suspected of having, an adverse effect on human health.(2)Exposure may happen in connection with—(a)a single identifiable event; orExample of a single identifiable event—
an outbreak in a hospital of a new strain of a previously controlled bacterial infection(b)a situation that happens over a period of time.Example of a situation that happens over a period of time—
the exposure to industrial fumes, over a period of years, of persons in a populated area
48Environmental health event register
(1)The chief executive may establish and keep a register (an environmental health event register) for an environmental health event if the chief executive considers the event has or may have significant direct or indirect adverse effects on human health.(2)The chief executive may keep the register in a form the chief executive considers appropriate, including an electronic form.(3)Before establishing the register, the chief executive must obtain and consider the views of a human research ethics committee about the register.
The purposes for establishing an environmental health event register for an environmental health event are the following—(a)to help monitor and analyse any adverse effects on human health resulting from the event;(b)to provide information that may help in the prevention, minimisation or treatment of any adverse effects on human health resulting from the event or a similar future event.
An environmental health event register must contain—(a)the information that is necessary or convenient for giving effect to the purposes of the register; and(b)any information prescribed under a regulation.
51Notification of establishment of register
(1)As a soon as practicable after establishing an environmental health event register the chief executive must notify the register’s establishment in the gazette.(2)The notification must include the following—(a)a description of the environmental health event;(b)a description of the substance or other thing relevant to the event known to have, or suspected of having, an adverse effect on human health;(c)the type of human exposure to the substance or thing as a result of the event;(d)the geographic area of human exposure to the substance or thing as a result of the event;(e)contact details within the department where further details about the register may be obtained.
52Notification inviting inclusion in register
(1)As soon as practicable after notifying the establishment of an environmental health event register for an environmental health event the chief executive must—(a)notify all persons the chief executive considers may have been exposed to a substance or thing because of the event; and(b)if satisfied a person may have been exposed to a substance or thing as a result of the event, offer the person the opportunity of having the person’s details included on the register.(2)Notification under subsection (1)(a) may be made in the way the chief executive considers appropriate, including, for example, by personal notification or by way of newspaper, radio or television.
53Definitions for div 4
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions for this part.information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration or enforcement of this part, including, for example, a health service employee or a public service employee.
54Restriction on inconsistent use of information
A relevant person must not use confidential information for a purpose inconsistent with the purposes of the relevant environmental health event register.Maximum penalty—50 penalty units.
55Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)However, subsection (1) does not apply if—(a)the confidential information is disclosed—(i)in the performance of functions under this Act; or(ii)with the written consent of the person to whom the information relates; or(iii)to the person to whom the information relates; or(iv)in a form that could not identify any person; or(b)the disclosure of the confidential information is authorised under an Act or another law.(3)The Hospital and Health Boards Act 2011, section 142 does not apply to a relevant person in relation to confidential information.As a specific offence is created under subsection (1), subsection (3) provides that the more general provision in the Hospital and Health Boards Act 2011, section 142 (Confidential information must not be disclosed) does not apply.s 55 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
56Release of information for an investigation under the Coroners Act
(1)This section applies if a coroner is investigating the death of a person.(2)The chief executive may give to the coroner, or to a police officer helping the coroner to investigate the death, information from the environmental health event register that is relevant to the person’s death.(3)The coroner or police officer to whom the information is given and anyone else to whom the information is subsequently given under this subsection must not use or disclose the information other than—(a)for a purpose of the investigation; or(b)as otherwise required or permitted under this or another Act.
57Use of environmental health event register
(1)The Minister may, by gazette notice, declare that information contained in an environmental health event register is protected information.(2)The Minister may make a declaration under subsection (1) only if the Minister reasonably believes it is in the public interest to do so.(3)If the Minister makes a declaration under subsection (1), the protected information—(a)can not be accessed under any order, whether of a judicial or administrative nature, other than an order for the purpose of this Act; and(b)is not admissible in any proceeding, other than a proceeding under this Act.(4)A person can not be compelled to produce the protected information, or to give evidence relating to the protected information, in any proceeding, other than a proceeding under this Act.(5)Subsections (3)(b) and (4) do not apply if the protected information is admitted or produced, or evidence relating to the information is given, with the consent of the person to whom the information relates.(6)Nothing in this section limits—(a)the giving, use or disclosure of information under section 56; or(b)access to protected information by the chief executive or a person authorised by the chief executive.(7)In this section—order includes a direction or other process.
ch 2 pt 5A hdg ins 2008 No. 34 s 652
ch 2 pt 5A div 1 hdg ins 2008 No. 34 s 652
(1)This section applies if an authorised person appointed by the chief executive reasonably believes—(a)a water service provider—(i)is contravening section 57E or 57F; or(ii)has contravened section 57E or 57F in circumstances that make it likely the contravention will continue or be repeated; and(b)a matter relating to the contravention can be remedied; and(c)it is appropriate to give the water service provider an opportunity to remedy the matter.(2)The authorised person may give the water service provider a notice (an improvement notice) requiring the water service provider to remedy the contravention or have the contravention remedied.(3)The improvement notice must state the following—(a)the provision the authorised person believes is being, or has been, contravened (the relevant provision);(b)that the authorised person reasonably believes the water service provider—(i)is contravening the relevant provision; or(ii)has contravened the relevant provision in circumstances that make it likely the contravention will continue or be repeated;(c)briefly, how it is believed the relevant provision is being, or has been, contravened;(d)the period within which the water service provider must remedy the contravention or have the contravention remedied;(e)that it is an offence to fail to comply with the improvement notice unless the water service provider has a reasonable excuse.(4)The period stated under subsection (3)(d) must be reasonable having regard to the risk to public health or safety posed by the contravention.(5)The improvement notice may also state the reasonable steps that the authorised person considers necessary to remedy the contravention, or avoid further contravention, of the relevant provision.a requirement to issue notices about the need to boil water to remove contaminants from the water(6)The authorised person must keep a copy of the improvement notice.(7)The water service provider must comply with the improvement notice unless the provider has a reasonable excuse.Maximum penalty—the maximum penalty for contravening the relevant provision.
(8)The water service provider can not be prosecuted for the offence for which the improvement notice is given unless the provider fails to comply with the improvement notice and does not have a reasonable excuse for the noncompliance.(9)A water service provider may be prosecuted for the contravention of a relevant provision without an authorised person first giving an improvement notice for the contravention.s 57A ins 2008 No. 34 s 652
57BRecord of compliance with improvement notice
(1)If a water service provider who is given an improvement notice by an authorised person under this division reasonably believes the provider has complied with the notice, the provider may inform the authorised person of the belief.(2)If the authorised person is satisfied the water service provider has complied with the improvement notice, the authorised person must—(a)record the date of the compliance on the authorised person’s copy of the notice; and(b)if asked, give a copy of the notice to the water service provider.s 57B ins 2008 No. 34 s 652
ch 2 pt 5A div 2 hdg ins 2008 No. 34 s 652
ch 2 pt 5A div 2 hdg ins 2008 No. 34 s 652
57CWhen drinking water is unsafe
Drinking water is unsafe at a particular time if it would be likely to cause physical harm to a person who might later consume it, assuming nothing happened to it after that particular time and before being consumed by the person that would prevent its being used for its intended use.s 57C ins 2008 No. 34 s 652
57DWhen recycled water is fit for use
Recycled water is fit for use at a particular time if it would not be likely to cause physical harm to a person who might later be exposed to it, assuming—(a)nothing happened to it after that particular time and before the person was exposed to it that would prevent its being used for its intended use; and(b)it was used according to its intended use.s 57D ins 2008 No. 34 s 652
ch 2 pt 5A div 2 sdiv 2 hdg ins 2008 No. 34 s 652
57ESupply of unsafe drinking water
A drinking water service provider must not supply drinking water that the provider knows, or reasonably ought to know, is unsafe.Maximum penalty—3,000 penalty units or 2 years imprisonment.
This provision is an executive liability provision—see section 448.s 57E ins 2008 No. 34 s 652
amd 2013 No. 51 s 229 sch 1
57FSupply of recycled water that is not fit for use
(1)This section applies to a recycled water provider that supplies recycled water for use other than as drinking water.(2)The recycled water provider must not supply the recycled water if the provider knows, or reasonably ought to know, the recycled water is not fit for use.Maximum penalty—1,350 penalty units or 2 years imprisonment.
This provision is an executive liability provision—see section 448.s 57F ins 2008 No. 34 s 652
amd 2013 No. 51 s 229 sch 1
ch 2 pt 5A div 3 hdg ins 2008 No. 34 s 652
57GPower to require information
(1)This section applies if—(a)an authorised person appointed by the chief executive reasonably believes—(i)there is a risk to public health or safety because of the production or supply of drinking water or recycled water; and(ii)a person may be able to give information about the circumstances giving rise to the risk; and(b)the authorised person has explained to the person that information is needed to attempt to prevent or minimise the risk or potential risk to public health.(2)The authorised person may ask the person to give the authorised person the following information (the required information) within a stated reasonable period—(a)the person’s name and address where the person can be contacted;(b)information about the circumstances giving rise to the risk.(3)The authorised person may ask the person to give the authorised person evidence of the correctness of the required information, within a stated reasonable period, if the authorised person reasonably suspects the information to be false.(4)If the person does not comply with a request under subsection (2) or (3), the authorised person may give the person a notice that—(a)states the required information the person is required to give; and(b)states the information is needed to attempt to prevent or minimise a risk or potential risk to public health; and(c)requires the person to give the authorised person the required information within a stated reasonable period; and(d)warns the person it is an offence to not give the required information, unless the person has a reasonable excuse.s 57G ins 2008 No. 34 s 652
57HFailure to give information
(1)A person who is given a notice under section 57G(4) must comply with the notice, unless the person has a reasonable excuse.Maximum penalty—50 penalty units.
(2)If the person is an individual, it is a reasonable excuse for the person to fail to comply with the notice that complying with the notice might tend to incriminate the person.s 57H ins 2008 No. 34 s 652
58Lead in buildings must not be accessible to children
(1)A person must not use or permit the use of lead in, or for the purposes of, constructing, erecting, altering, extending, improving, renovating or repairing a building or part of a building if the lead is, or may be, easily accessible to children.Maximum penalty—100 penalty units.
(2)The owner of a building, or part of a building, must not knowingly allow lead to remain in or on the building or part of the building if the lead is, or may be, easily accessible to children.Maximum penalty—100 penalty units.
59Lead must not be used in water collection
(1)A person must not use, or permit the use of, in a building any of the following things if the thing has in or on it a substance that contains lead—(a)a roof, guttering, downpipe or other thing for carrying water to a tank or other receptacle for potable water;(b)a tank or other receptacle for potable water.Maximum penalty—100 penalty units.
(2)The owner of a building must not knowingly allow any of the following to remain in the building if they have in or on them a substance that contains lead—(a)a roof, guttering, downpipe or other thing for carrying water to a tank or other receptacle for potable water;(b)a tank or other receptacle for potable water.Maximum penalty—100 penalty units.
(3)In this section—potable water means water that is intended to be, or is likely to be, used for human consumption.s 59 amd 2008 No. 34 s 653
60Person must comply with standard
A person manufacturing, selling, supplying or using paint must comply with a provision of a standard prescribed by regulation.Maximum penalty—100 penalty units.
s 60 sub 2019 No. 13 s 16
61Regulations about public health risks
(1)A regulation may be made for this chapter about public health risks including—(a)standards for water quality in residential and non-residential swimming pools, spas, hydrotherapy pools, water slides and recreational water parks, for human use; and(b)measures to control designated pests, including—(i)standards for the proofing of any building against designated pests; and(ii)procedures to be followed to prevent the breeding of, to eliminate any refuge or food source for, or to eradicate, designated pests; and(iii)the imposition of a permit system for keeping designated pests; and(c)measures to prevent and control public health risks.(2)A regulation made under this section must state whether the regulation is to be administered and enforced by—(a)the State only; or(b)local governments only.(3)A regulation made under this section does not bind the State except to the extent prescribed by the regulation.
ch 2A hdg ins 2016 No. 33 s 4
ch 2A pt 1 hdg ins 2016 No. 33 s 4
In this chapter—approved provider means an entity for which an approval is in force under the Aged Care Act 1997 (Cwlth).cooling tower see the Work Health and Safety Act 2011, schedule 1, part 1, section 1(6).hazard means—(a)Legionella; or(b)microorganisms, substances or physical properties of water that are reasonably expected to cause injury or illness to an individual; or(c)microorganisms or substances prescribed by regulation.hazardous event, for a prescribed facility, means—(a)an event, or series of events, that causes or has the potential to cause the presence of a hazard in water within a prescribed facility’s water distribution system; or(b)an interruption of the supply of water to the prescribed facility.hazard source means a location or condition that establishes or increases the presence of a hazard.health service chief executive ...s 61A def health service chief executive om 2017 No. 16 s 4
Legionella means bacteria belonging to the genus Legionella.prescribed facility means—(a)a public sector hospital that provides treatment or care to inpatients; or(b)a private health facility licensed under the Private Health Facilities Act 1999; or(c)a State aged care facility; or(d)a residential aged care facility, other than a State aged care facility, prescribed by regulation.prescribed test means a test for Legionella prescribed by regulation for this chapter.residential aged care facility means a facility at which an approved provider provides residential care under the Aged Care Act 1997 (Cwlth).residential care has the meaning given by the Aged Care Act 1997 (Cwlth), section 41–3.responsible person, for a prescribed facility, means—(a)for a prescribed facility that is a public sector hospital—the health service chief executive for the public sector hospital; or(b)for a prescribed facility that is a private health facility licensed under the Private Health Facilities Act 1999—the licensee for the private health facility under that Act; or(c)for a prescribed facility that is a State aged care facility—the health service chief executive for the State aged care facility; or(d)for a prescribed facility that is a residential aged care facility, other than a State aged care facility—the approved provider that provides residential care at the residential aged care facility.State aged care facility means a residential aged care facility at which the State provides residential care.water distribution system, of a prescribed facility—(a)means the infrastructure within the prescribed facility from every point where water enters the facility through the infrastructure to every point where the water is used; but(b)does not include a cooling tower.water risk management plan, for a prescribed facility, means a written plan to prevent or minimise the risks posed by hazards, hazard sources or hazardous events to individuals at the prescribed facility.s 61A ins 2016 No. 33 s 4
Nothing in this chapter is intended to affect the operation of chapter 2.
s 61B ins 2016 No. 33 s 4
ch 2A pt 2 hdg ins 2016 No. 33 s 4
61CRequirement for water risk management plans
The responsible person for a prescribed facility must ensure there is a water risk management plan for the prescribed facility that complies with section 61D, unless the person has a reasonable excuse.
Maximum penalty—500 penalty units.
s 61C ins 2016 No. 33 s 4
61DContent of water risk management plans
The water risk management plan for a prescribed facility must—(a)describe the prescribed facility’s water distribution system; and(b)identify hazards, hazard sources and hazardous events relevant to water within the prescribed facility’s water distribution system; and(c)assess the risks associated with hazards, hazard sources and hazardous events identified under paragraph (b); and(d)state the following—(i)measures to be taken to control the risks assessed under paragraph (c);(ii)the procedures that must be implemented for monitoring the effectiveness of the measures;(iii)a schedule that must be complied with for testing water for Legionella and other identified hazards at a frequency informed by the risks, measures and procedures;(iv)the way records of results obtained under subparagraphs (ii) and (iii) will be kept; and(e)state procedures for responding to—(i)the results of monitoring that indicate the failure of measures taken to control risks assessed under paragraph (c); and(ii)the results of testing that indicate the presence of a hazard in water within the prescribed facility’s water distribution system; and(f)include a requirement for the water risk management plan to be reviewed and when that review is to be carried out; and(g)include any other requirement prescribed by regulation.s 61D ins 2016 No. 33 s 4
amd 2020 No. 31 s 27
61EAmending water risk management plans
(1)This section applies if the chief executive is satisfied a water risk management plan for a prescribed facility requires amendment to comply with section 61D.(2)The chief executive may give the responsible person for the prescribed facility a notice requiring the responsible person to amend the water risk management plan.(3)The notice must state the following—(a)that the responsible person must amend the water risk management plan;(b)the way the water risk management plan must be amended;(c)the day by which the water risk management plan must be amended;(d)the day by which the responsible person must give the chief executive a copy of the amended water risk management plan.(4)The responsible person must comply with the notice, unless the responsible person has a reasonable excuse.Maximum penalty—500 penalty units.
s 61E ins 2016 No. 33 s 4
ch 2A pt 3 hdg ins 2016 No. 33 s 4
61FObligation to give chief executive copy of water risk management plans
(1)The chief executive may, by notice, ask the responsible person for a prescribed facility to give the chief executive a copy of the water risk management plan for the prescribed facility by the day stated in the notice.(2)The responsible person must comply with the notice, unless the person has a reasonable excuse.Maximum penalty—200 penalty units.
s 61F ins 2016 No. 33 s 4
61GComplying with water risk management plans
(1)The responsible person for a prescribed facility must ensure the facility operates in a way that complies with the facility’s water risk management plan, unless the responsible person has a reasonable excuse.Maximum penalty—500 penalty units.
(2)The responsible person for a prescribed facility must take all reasonable steps to ensure each person who has an obligation to comply with the plan, while the facility is operating, complies with the plan, unless the responsible person has a reasonable excuse.Maximum penalty—200 penalty units.
s 61G ins 2016 No. 33 s 4
61HObligation to notify chief executive of Legionella
(1)This section applies if the result of a prescribed test confirms the presence of Legionella in water used by a prescribed facility.(2)A person in charge of the prescribed facility must, under subsection (3), give the chief executive a notice about the result of the test, unless the person has a reasonable excuse.Maximum penalty—
(a)if the offence is committed intentionally—1,000 penalty units; or(b)otherwise—200 penalty units.(3)The notice must—(a)be in the approved form; and(b)be given to the chief executive within 1 business day after the person in charge is notified of the result of the test; and(c)comply with any other requirements prescribed by regulation.s 61H ins 2016 No. 33 s 4
61IObligation to give chief executive reports
(1)A person in charge of a prescribed facility must, under subsection (2), give the chief executive a report for each reporting period about the results of prescribed tests carried out under the water risk management plan for the prescribed facility, unless the person has a reasonable excuse.Maximum penalty—200 penalty units.
(2)The report must—(a)be in the approved form; and(b)be given to the chief executive within 30 business days after the end of the reporting period; and(c)comply with any other requirements prescribed by regulation.(3)In this section—reporting period means a period prescribed by regulation.s 61I ins 2016 No. 33 s 4
61JFalse or misleading reports
(1)A person must not give the chief executive a report under section 61I containing information the person knows is false or misleading in a material particular.Maximum penalty—1,000 penalty units.
(2)Subsection (1) does not apply to a person if the person, when giving the report—(a)tells the chief executive, to the best of the person’s ability, how it is false or misleading; and(b)if the person has, or can reasonably obtain, the correct information—gives the correct information.s 61J ins 2016 No. 33 s 4
61KChief executive may publish reports
(1)The chief executive may publish in a report—(a)notices about the presence of Legionella given to the chief executive under section 61H; or(b)reports about prescribed tests given to the chief executive under section 61I.(2)The report may also include any other information the chief executive considers relevant to the notices or reports.(3)However, information may not be included in the report under subsection (2) if the information is adverse to a person unless—(a)before the report is prepared, the chief executive gives the person an opportunity to make submissions about the information; and(b)any submissions made by the person are fairly stated in the report.s 61K ins 2016 No. 33 s 4
In this chapter—anonymity code means a code of letters, numbers, or letters and numbers used to designate a particular person.clinical diagnosis notifiable condition means a notifiable condition—(a)a diagnosis of which can be made on the basis of clinical evidence, including clinical history, signs and symptoms; and(b)prescribed under a regulation as a clinical diagnosis notifiable condition.controlled notifiable condition see section 63.s 62 def controlled notifiable condition ins 2022 No. 25 s 15 sch 1
controlled notifiable conditions order see section 116(1).notifiable condition see section 64.s 62 def notifiable condition ins 2022 No. 25 s 15 sch 1
Notifiable Conditions Register see section 67.pathological diagnosis notifiable condition means a notifiable condition—(a)a diagnosis of which can be made on the basis of a pathological examination of a specimen of human origin; and(b)prescribed under a regulation as a pathological diagnosis notifiable condition.pathology request notifiable condition means a notifiable condition prescribed under a regulation as a pathology request notifiable condition.provisional diagnosis notifiable condition means a notifiable condition—(a)a provisional diagnosis of which can be made on the basis of clinical evidence, including clinical history, signs and symptoms; and(b)prescribed under a regulation as a provisional diagnosis notifiable condition.register means the Notifiable Conditions Register.
63Meaning of controlled notifiable condition
(1)A controlled notifiable condition is a notifiable condition prescribed under a regulation as a controlled notifiable condition.(2)However, the Minister must not recommend to the Governor in Council the making of a regulation under subsection (1) unless the Minister is satisfied—(a)the condition may have a substantial impact on public health; and(b)the ordinary conduct of a person with the condition is likely to result in the transmission of the condition to someone else; and(c)the transmission of the condition will result in, or is likely to result in, long term or serious deleterious consequences for the health of the person to whom the condition is transmitted.
64Meaning of notifiable condition
(1)A notifiable condition is a medical condition prescribed under a regulation as a notifiable condition.(2)However, the Minister must not recommend to the Governor in Council the making of a regulation under subsection (1) unless the Minister is satisfied the condition is a significant risk to public health.
The purpose of this chapter is to protect persons from notifiable conditions through mechanisms that provide an appropriate balance between the health of the public and the right of individuals to liberty and privacy.
(1)The principles intended to guide the achievement of this chapter’s purpose are the following—(a)the spread of notifiable conditions should be prevented or minimised without unnecessarily infringing the liberty or privacy of individuals;(b)a person at risk of contracting a notifiable condition should take all reasonable precautions to avoid contracting or being infected with the condition;(c)a person who suspects he or she may have a notifiable condition should ascertain—(i)whether he or she has the condition; and(ii)what precautions should be taken to prevent others from contracting the condition.(2)For subsection (1), a person at risk of contracting, who suspects he or she may have, or who has, a notifiable condition has a right—(a)to be protected from unlawful discrimination; and(b)to have his or her privacy respected; and(c)to make informed decisions about his or her medical treatment.(3)Nothing in this section limits the Anti-Discrimination Act 1991, section 107.
(1)The chief executive must establish and keep a register of the persons for whom notifications have been given to the chief executive under this part.(2)The register must include details of deceased persons for whom notifications have been given.(3)The chief executive must keep the register in a form the chief executive considers appropriate, including an electronic form.(4)The register is to be known as the Notifiable Conditions Register.
The purposes for establishing the register are as follows—(a)to supply data to help in—(i)monitoring and analysing the incidence and patterns of notifiable conditions; or(ii)studying the efficacy of the management and treatment of notifiable conditions; or(iii)increasing public awareness of notifiable conditions;(b)to identify outbreaks of notifiable conditions so the Commonwealth, the State or a local government can take steps to protect public health;(c)to help in the identification of persons who have, or may have, contracted a notifiable condition so that—(i)the Commonwealth, the State or a local government can take action to prevent or minimise transmission of the notifiable condition; or(ii)the persons may be medically examined and undergo treatment for the notifiable condition;(d)to help in the planning of services and strategies to prevent or minimise the transmission of notifiable conditions.
69Application of div 2
The requirement to notify or give information under this division relating to a person applies also in relation to a deceased person.
(1)A doctor must, under subsection (2), notify the chief executive if an examination of a person by the doctor indicates that the person—(a)has or had a clinical diagnosis notifiable condition; or(b)has or had a provisional diagnosis notifiable condition.Maximum penalty—20 penalty units.
(2)The notice must—(a)comply with the requirements prescribed under a regulation; and(b)be in the approved form.(3)Subsection (1) does not apply if the examination was carried out in a hospital.
71When the person in charge of hospital must notify
(1)A person in charge of a hospital must, under subsection (2), unless the person in charge has a reasonable excuse, notify the chief executive if an examination of a person by a doctor in the hospital indicates the person—(a)has or had a clinical diagnosis notifiable condition; or(b)has or had a provisional diagnosis notifiable condition.Maximum penalty—20 penalty units.
(2)A notice under subsection (1) must—(a)comply with the requirements prescribed under a regulation; and(b)be in the approved form.
72When the director of a pathology laboratory must notify a pathological diagnosis notifiable condition
(1)The director of a pathology laboratory must, under subsection (2), unless the director has a reasonable excuse, notify the chief executive if a pathological examination of a specimen of human origin in the laboratory indicates that the person from whom the specimen was taken has or had a pathological diagnosis notifiable condition.Maximum penalty—20 penalty units.
(2)The notice must—(a)comply with the requirements prescribed under a regulation; and(b)include the name of the doctor who referred the person’s specimen for pathological examination; and(c)be in the approved form.
73When the director of a pathology laboratory must notify pathology request notifiable condition
(1)The director of a pathology laboratory must, under subsection (2), unless the director has a reasonable excuse, notify the chief executive if the laboratory receives a request for a pathological examination of a specimen of human origin for a pathology request notifiable condition.Maximum penalty—20 penalty units.
(2)The notice must—(a)comply with the requirements prescribed under a regulation; and(b)include the name of the doctor who referred the person’s specimen for pathological examination; and(c)be in the approved form.
A person required to notify the chief executive under this division may give the notice using an anonymity code.
75Further information may be required
(1)This section applies if the chief executive considers further information is required in relation to a notice given under this division—(a)to ensure the accuracy, completeness or integrity of the register; or(b)to prevent or minimise the spread of a notifiable condition.(2)The chief executive may ask the following persons to give stated information within a stated time to the chief executive—(a)the person who gave the notice;(b)the doctor mentioned in a notice under section 72 or 73 as the doctor who referred the specimen for pathological examination;(c)another doctor or person who is involved in the treatment of the person for whom a notice was given under this division.(3)If a person refuses or fails to comply with a requirement under subsection (2), the chief executive may give the person a notice requiring the person to give the information stated in the notice to the chief executive within the reasonable time stated in the notice.(4)A notice under subsection (3) may require a person to give the full name of, and other identifying information about, a person for whom an anonymity code has been used.(5)The notice must warn the person that failure to comply with the notice is an offence under this Act.(6)A person given a notice under subsection (3) must comply with the notice, unless the person has a reasonable excuse.Maximum penalty—20 penalty units.
(7)A person who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.See for example the Hospital and Health Boards Act 2011, section 142.(8)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 75 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
Division 3 Confidentiality of information and use of information supplied for Notifiable Conditions Register
76Definitions for div 3
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part or the repealed provisions.entity of the State ...s 76 def entity of the State om 2019 No. 13 s 17
information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration or enforcement of this part, including, for example, a health service employee or a public service employee;(c)a person who was involved in the administration or enforcement of the repealed provisions.repealed provisions means the Health Act 1937, part 3, division 2.
77Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142, does not apply to a relevant person in relation to confidential information.s 77 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
78Disclosure under an Act or another law
Section 77(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.
79Disclosure under Act or with written consent etc.
Section 77(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)with the written consent of the person to whom the information relates; or(c)to the person to whom the information relates; or(d)in a form that could not identify any person.
80Disclosure about notifiable conditions and contact tracing
Section 77(1) does not apply if the disclosure of the confidential information by a relevant person is authorised by the chief executive for the purposes of—(a)monitoring the incidence and patterns of notifiable conditions; or(b)identifying the source of outbreaks of notifiable conditions; or(c)identifying persons who may transmit a notifiable condition to others, to prevent or minimise the transmission of the condition; or(d)identifying persons who may have contracted, or may be at risk of contracting, a notifiable condition, to prevent or minimise the transmission of the condition; or(e)contact tracing by a contact tracing officer.
81Disclosure of confidential information in the public interest
(1)Section 77(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the chief executive believes, on reasonable grounds, the disclosure is in the public interest; and(b)the chief executive has, in writing, authorised the disclosure.(2)The department’s annual report for a financial year under the Financial Accountability Act 2009 must include details of—(a)the nature of any confidential information disclosed under subsection (1) during the financial year; and(b)the purpose for which the confidential information was disclosed.(3)However, the details mentioned in subsection (2)(a) must not identify, directly or indirectly, the person to whom the confidential information relates.(4)Despite section 455, the chief executive may delegate the chief executive’s powers under this section only to—(a)the chief health officer; or(b)another person who—(i)is a public service officer or public service employee, or a health service employee; and(ii)the chief executive is satisfied has the expertise or experience in public health issues necessary to exercise the powers.s 81 amd 2009 No. 9 s 136 sch 1; 2009 No. 25 s 83 sch; 2011 No. 41 s 51; 2022 No. 34 s 365 sch 3
82Disclosure for data collection and public health monitoring
Section 77(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to analyse, monitor or evaluate public health; and(b)the disclosure and receipt of the confidential information is for analysing, monitoring or evaluating public health; and(c)the employee of the department or other person is authorised in writing by the chief executive to receive the confidential information.
83Disclosure for purposes relating to health services
Section 77(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to evaluate, manage, monitor or plan health services; or(b)the disclosure is to an entity prescribed under a regulation for this paragraph for evaluating, managing, monitoring or planning health services as stated in the regulation.
84Disclosure to Commonwealth, another State or Commonwealth or State entity
(1)Section 77(1) does not apply to the disclosure of confidential information by the chief executive if—(a)the disclosure is to the Commonwealth or another State, or an entity of the Commonwealth or another State and the disclosure—(i)is required or allowed under an agreement—(A)between Queensland and the Commonwealth, State or entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest; or(b)the disclosure is to an entity of the State and the disclosure—(i)is required or allowed under an agreement—(A)between the chief executive and the entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest.(2)The Commonwealth, a State or entity that receives confidential information under an agreement under subsection (1)—(a)must not give it to anyone else unless allowed to do so by the agreement or in writing by the chief executive; and(b)must ensure the confidential information is used only for the purpose for which it was given under the agreement.
85Disclosure to allow chief executive to act
Section 77(1) does not apply if the disclosure of the confidential information by a relevant person is to the chief executive to allow the chief executive to act under this division.
86Release of information for an investigation under the Coroners Act
(1)This section applies if a coroner is investigating the death of a person.(2)The chief executive may give to the coroner, or to a police officer helping the coroner to investigate the death, information from the register that is relevant to the person’s death.(3)The coroner or police officer to whom the information is given and anyone else to whom the information is subsequently given under this subsection must not use or disclose the information other than—(a)for a purpose of the investigation; or(b)as otherwise required or permitted under this or another Act.
87Use of Notifiable Conditions Register
(1)Information in the register—(a)can not be accessed under any order, whether of a judicial or administrative nature, other than an order for the purpose of this Act; and(b)is not admissible in any proceeding, other than a proceeding under this Act.(2)A person can not be compelled to produce the information, or to give evidence relating to the information, in any proceeding, other than a proceeding under this Act.(3)Subsections (1)(b) and (2) do not apply if the information is admitted or produced, or evidence relating to the information is given, with the consent of the person to whom the information relates.(4)Nothing in this section limits—(a)the giving, use or disclosure of information under section 86; or(b)the release of information by the chief executive under section 88 or the use of that information in a proceeding for a serious offence under that section; or(c)access to information by the chief executive or a person authorised to have access by the chief executive.(5)In this section—order includes a direction or other process.
88Access to information in register for serious offence
(1)This section applies if information in the register is required by an entity of the State to investigate a serious offence.(2)The chief executive may release the information to the entity under an agreement under section 84(1)(b) between the chief executive and the entity.(3)In this section—serious offence means an offence under the Criminal Code, section 317.s 88 amd 2024 No. 23 s 36 sch 1
89Functions of contact tracing officer
(1)A contact tracing officer has the following functions—(a)identifying persons who may have contracted a notifiable condition;(b)identifying persons who may transmit a notifiable condition to others;(c)informing persons who may have contracted a notifiable condition so that they may seek medical examination and treatment;(d)providing information to persons who may have contracted a notifiable condition to prevent or minimise transmission of the notifiable condition;(e)obtaining information about the following to prevent or minimise transmission of a notifiable condition—(i)how a person has, or may have, been exposed to the notifiable condition;(ii)how a person has, or may have, exposed other persons to the notifiable condition.(2)A contact tracing officer’s functions may be exercised within or outside Queensland or in relation to persons within or outside Queensland.(3)Without limiting subsection (2), if the chief health officer has made an arrangement under subsection (4) with the corresponding officer for a jurisdiction, a contact tracing officer’s functions may be exercised under the arrangement in relation to the jurisdiction or persons connected with the jurisdiction.(4)For subsection (3), the chief health officer may make an arrangement with a corresponding officer for a jurisdiction for contact tracing officers to exercise functions in relation to the jurisdiction or persons connected with the jurisdiction.(5)In this section—corresponding officer, for a jurisdiction, means a person who has functions under a law of the jurisdiction that correspond with the chief health officer’s functions.jurisdiction means the Commonwealth or another State.s 89 amd 2020 No. 23 s 55V
90Appointment of contact tracing officer by chief executive
(1)The chief executive may appoint any of the following persons as a contact tracing officer for a notifiable condition—(a)a public service officer or public service employee;(b)a health service employee;(c)a person prescribed under a regulation.(2)Also, the chief executive may appoint, as a contact tracing officer for a notifiable condition, a person employed by a local government.(3)An appointment under subsection (2) is for the local government’s area and any other local government area stated in the appointment.(4)For an appointment under subsection (2), the chief executive—(a)must, before appointing a person, obtain agreement to the appointment from the chief executive officer of the local government that employs the person; and(b)must state, in the instrument by which the appointment is made, every notifiable condition to which the appointment applies.(5)For exercising his or her powers under this part, a contact tracing officer appointed under subsection (1) or (2) is subject to the directions of the chief executive.s 90 amd 2022 No. 34 s 365 sch 3
91Qualifications for appointment
The chief executive may appoint a person as a contact tracing officer only if—(a)the chief executive is satisfied the person is qualified for appointment because the person has the necessary expertise or experience; and(b)the person has the competencies, if any, prescribed under a regulation for this paragraph.
92Appointment conditions and limit on powers
(1)A contact tracing officer holds office on the conditions stated in—(a)the instrument under which the contact tracing officer is appointed; or(b)a signed notice given to the contact tracing officer; or(c)a regulation.(2)The instrument of appointment or a signed notice given to a contact tracing officer or a regulation may limit the contact tracing officer’s powers under this part.(3)In this section—signed notice means a notice signed by the chief executive.
(1)The chief executive must issue an identity card to each contact tracing officer.(2)The identity card must—(a)contain a recent photo of the contact tracing officer; and(b)contain a copy of the contact tracing officer’s signature; and(c)identify the person as a contact tracing officer under this Act; and(d)state an expiry date for the card.(3)This section does not prevent the issue of a single identity card to a person for this Act and for other purposes.
94Production or display of identity card
(1)In exercising a power under this part in relation to a person, a contact tracing officer must—(a)produce the contact tracing officer’s identity card for the person’s inspection before exercising the power; or(b)have the identity card displayed so it is clearly visible to the person when exercising the power.(2)However, if it is not practicable to comply with subsection (1), the contact tracing officer must produce the identity card for the person’s inspection at the first reasonable opportunity.
95When contact tracing officer ceases to hold office
(1)A contact tracing officer ceases to hold office if any of the following happens—(a)the term of office stated in a condition of office ends;(b)under another condition of office, the contact tracing officer ceases to hold office;(c)the contact tracing officer’s resignation under section 96 takes effect.(2)Subsection (1) does not limit the ways a contact tracing officer may cease to hold office.(3)In this section—condition of office means a condition on which the contact tracing officer holds office.
A contact tracing officer may resign by signed notice given to the chief executive.
A person who ceases to be a contact tracing officer must, unless the person has a reasonable excuse, return the contact tracing officer’s identity card to the chief executive within 21 days after ceasing to be a contact tracing officer.Maximum penalty—20 penalty units.
98Definitions for div 2
In this division—business contact information see section 101(2).business contact information requirement see section 101(5).contact information see sections 99(2) and 103(2).contact information requirement see section 99(5).
99Power to require contact information
(1)This section applies if a contact tracing officer—(a)reasonably suspects that a person—(i)has a notifiable condition; or(ii)has been in contact with a person who has, or may have, a notifiable condition; and(b)has explained to the person that information is needed to attempt to prevent or minimise the spread of the notifiable condition.(2)The contact tracing officer may ask the person to give the contact tracing officer all or any of the following information (the contact information) within a stated time—(a)the person’s name and residential address or another address where the person may be contacted;(b)the name, address, whereabouts and telephone number of any other person—(i)who may have transmitted the notifiable condition to the person; or(ii)to whom the person may have transmitted the notifiable condition;(c)information about the circumstances in which the person may have been exposed to the notifiable condition or may have exposed another person to the notifiable condition.(3)The contact tracing officer may ask the person to give the contact tracing officer evidence of the correctness of the contact information, within a stated reasonable time, if the contact tracing officer reasonably suspects the stated contact information to be false.(4)If the person fails to comply with a request under subsection (2) or (3), the contact tracing officer may give the person a notice that—(a)states the contact information the person is required to provide; and(b)states the information is needed to attempt to prevent or minimise the spread of the notifiable condition; and(c)requires the person to give the contact tracing officer the contact information within a stated reasonable time; and(d)warns the person it is an offence to fail to give the contact information, unless the person has a reasonable excuse; and(e)tells the person the effect of section 100(2).(5)A requirement under subsection (4) is a contact information requirement.(6)A person asked or required by a contact tracing officer to give contact information or evidence of the correctness of contact information must not state anything to the officer that the person knows is false or misleading in a material particular.Maximum penalty for subsection (6)—50 penalty units.
100Failure to give contact information
(1)A person of whom a contact information requirement is made must comply with the requirement, unless the person has a reasonable excuse.Maximum penalty—50 penalty units.
(2)It is not a reasonable excuse to fail to comply with the contact information requirement that complying with the requirement might tend to incriminate the person.(3)However, the following is not admissible in evidence against an individual in any civil or criminal proceeding—(a)any information given by the individual in complying with the contact information requirement or a requirement under section 99(2) or (3) (primary evidence);(b)any information, or document or other thing, obtained as a direct or indirect result of primary evidence (derived evidence).(4)Subsection (3) does not prevent primary evidence or derived evidence being admitted in evidence in—(a)criminal proceedings about the falsity or misleading nature of the primary evidence; or(b)proceedings for obtaining a controlled notifiable conditions order under part 5.(5)Also, subsection (3) does not prevent derived evidence being admitted in evidence in criminal proceedings about a controlled notifiable condition.
101Power to require business contact information
(1)This section applies if a contact tracing officer—(a)reasonably suspects that a person may have contracted a notifiable condition while receiving or providing goods or services from or to a business; and(b)has explained to an owner of the business, or the person apparently in charge of the business, that information is needed to prevent or minimise the spread of the notifiable condition.(2)The contact tracing officer may ask the owner or person apparently in charge to give the contact tracing officer all or any of the following information (the business contact information) within a stated reasonable time—(a)the owner’s or person’s name and residential address or another address where the owner or person may be contacted;(b)the name, address, whereabouts and telephone number of any person who received or provided goods or services from or to the business within a stated period;(c)information about the circumstances in which a person who received or provided goods or services from or to the business may have been exposed to the notifiable condition or may have exposed another person to the notifiable condition.(3)The contact tracing officer may ask the owner or person apparently in charge to give the contact tracing officer evidence of the correctness of the business contact information within a stated reasonable time if the contact tracing officer reasonably suspects the stated business contact information to be false.(4)If a person fails to comply with a request under subsection (2) or (3), the contact tracing officer may give the person a notice that—(a)states the business contact information the person is required to provide; and(b)states the business contact information is needed to attempt to prevent or minimise the spread of the notifiable condition; and(c)requires the person to give the contact tracing officer the business contact information within a stated reasonable time; and(d)warns the person it is an offence to fail to give the business contact information, unless the owner or person has a reasonable excuse; and(e)tells the person the effect of section 102(2).(5)A requirement under subsection (4) is a business contact information requirement.(6)A person asked or required by a contact tracing officer to give business contact information or evidence of the correctness of business contact information must not state anything to the officer that the person knows is false or misleading in a material particular.Maximum penalty—50 penalty units.
(7)In this section—business includes any organisation whether or not the organisation operates to make a profit.a sporting club or charitable organisation
102Failure to give business contact information
(1)A person of whom a business contact information requirement is made must comply with the requirement, unless the person has a reasonable excuse.Maximum penalty—50 penalty units.
(2)It is not a reasonable excuse to fail to comply with the requirement that complying with the requirement might tend to incriminate the person.(3)However, the following is not admissible in evidence against an individual in any civil or criminal proceeding—(a)any information given by the individual in complying with the business contact information requirement or a requirement under section 101(2) or (3) (primary evidence);(b)any information, or document or other thing, obtained as a direct or indirect result of primary evidence (derived evidence).(4)Subsection (3) does not prevent primary evidence or derived evidence being admitted in evidence in—(a)criminal proceedings about the falsity or misleading nature of the primary evidence; or(b)proceedings for obtaining a controlled notifiable conditions order under part 5.(5)Also, subsection (3) does not prevent derived evidence being admitted in evidence in criminal proceedings about a controlled notifiable condition.
103Obtaining contact information from health information held by a health agency
(1)Subsection (2) applies if a contact tracing officer—(a)reasonably suspects that a person has a notifiable condition; and(b)has been unable to locate and question the person despite reasonable attempts to do so.(2)The contact tracing officer may inspect health information held by a health agency to obtain the following information (also the contact information)—(a)the person’s name and residential address or another address where the person may be contacted;(b)the name and address, whereabouts and telephone number of another person—(i)who may have transmitted the notifiable condition to the person; or(ii)to whom the person may have transmitted the notifiable condition;(c)information about the circumstances in which the person may have been exposed to the notifiable condition or may have exposed others to the notifiable condition.See also section 99(2).(3)This section applies despite any other provision of this Act or any provision of another law that deals with confidentiality, including, for example, the Hospital and Health Boards Act 2011, section 142.s 103 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
104Definitions for div 3
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part or the repealed provisions.information includes a document.relevant person means the following—(a)a person who is, or was, a contact tracing officer or other person involved in the administration or enforcement of this part;(b)a person who was involved in the administration or enforcement of the repealed provisions.repealed provisions means the Health Act 1937, part 3, division 2.
104A Extraterritorial operation
It is the intention of the Parliament that this division have effect outside Queensland and in relation to persons outside Queensland.s 104A ins 2020 No. 23 s 55W
105Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142, does not apply to a relevant person in relation to confidential information.s 105 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
106Disclosure under an Act or another law
Section 105(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.
107Disclosure under Act or with written consent etc.
Section 105(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)with the written or oral consent of the person to whom the information relates; or(c)to the person to whom the information relates; or(d)in a form that could not identify any person.s 107 amd 2009 No. 44 s 159
108Disclosure to protect health of person
Section 105(1) does not apply if the disclosure of the confidential information by a relevant person to another person is authorised by the chief executive to protect the health of that person or another person.
108ADisclosure for contact tracing purposes
(1)Section 105(1) does not apply if the disclosure of the confidential information by a relevant person is to a provider for the purpose of contacting another person (the traced person) who has, or may have, contracted a notifiable condition, to—(a)provide the traced person with information to prevent or minimise transmission of the notifiable condition; or(b)enable the traced person to seek medical examination or treatment.(2)In this section—health practitioner means a person who carries on, and is entitled to carry on, an occupation involving the provision of care for another person’s physical or mental health or wellbeing.Examples of a health practitioner—
•a doctor•a psychologist•a social worker•a registered nurseprovider, in relation to a person, means any of the following—(a)a health practitioner involved in the treatment or care of the person or a health practitioner nominated by the person;(b)if the person is a child—the person’s parent or a person exercising parental responsibility for the child, including a person who, under Aboriginal tradition or Island custom, is regarded as the parent of the child;(c)the person’s legal guardian;(d)an entity from another jurisdiction that is responsible for preventing or controlling the spread of communicable diseases in that jurisdiction;(e)another entity prescribed under a regulation.s 108A ins 2009 No. 44 s 160
109Disclosure of confidential information in the public interest
(1)Section 105(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the chief executive believes, on reasonable grounds, the disclosure is in the public interest; and(b)the chief executive has, in writing, authorised the disclosure.(2)The department’s annual report for a financial year under the Financial Accountability Act 2009 must include details of—(a)the nature of any confidential information disclosed under subsection (1) during the financial year; and(b)the purpose for which the confidential information was disclosed.(3)However, the details mentioned in subsection (2)(a) must not identify, directly or indirectly, the person to whom the confidential information relates.(4)Despite the Public Sector Act 2022, section 282, the chief executive may not delegate the chief executive’s power under subsection (1).s 109 amd 2009 No. 9 s 136 sch 1; 2009 No. 25 s 83 sch; 2022 No. 34 s 365 sch 3
110Disclosure to allow chief executive to act
Section 105(1) does not apply if the disclosure of the confidential information by a relevant person is to the chief executive to allow the chief executive to act under this division.
111Use of contact information and business contact information
(1)Contact information or business contact information (the information)—(a)can not be accessed under any order, whether of a judicial or administrative nature, other than an order for the purpose of this Act; and(b)is not admissible in any proceeding, other than a proceeding under this Act or a proceeding mentioned in section 100(4)(a) or (5) or section 102(4)(a) or (5).(2)A person can not be compelled to produce the information, or to give evidence relating to the information, in any proceeding, other than a proceeding under this Act.(3)Subsections (1)(b) and (2) do not apply if the information is admitted or produced, or evidence relating to the information is given, with the consent of the person to whom the information relates.(4)Nothing in this section limits access to information by the chief executive or a person authorised by the chief executive.(5)In this section—order includes a direction or other process.
112Definition for pt 4
In this part—chief executive’s order see section 113(4).
113Chief executive may order detention
(1)This section applies if the chief executive—(a)reasonably suspects that a person who has presented to a public sector health service has, or may have, a controlled notifiable condition; and(b)reasonably suspects the person’s condition, or the person’s condition and likely behaviour, constitutes an immediate risk to public health; and(c)is satisfied the person has been counselled, or reasonable attempts have been made to counsel the person, about the condition and its possible effect on the person’s health and on public health.(2)However, subsection (1)(c) does not apply if it is not practicable to counsel the person.(3)The chief executive may order the detention of the person at a public sector health service.(4)The order (a chief executive’s order) must be in writing and must state the following—(a)the controlled notifiable condition the person has or is suspected of having;(b)the reasons for the order;(c)the name of the public sector health service where the person is to be detained;(d)that the person must—(i)if the person is at the public sector health service where the person is to be detained—remain at the service; or(ii)if the person is not at the public sector health service where the person is to be detained—go immediately with the person enforcing the order to the public sector health service and remain at the service;(e)that the person, while being detained at a public sector health service, must comply with the reasonable requirements of the person in charge of the service;(f)when the chief executive’s order ends under section 115.
114Enforcement of chief executive’s order
(1)A chief executive’s order may be enforced by the person in charge of the public sector health service where the person to whom the order relates is to be detained.(2)The person in charge must before enforcing the order—(a)give the person to whom the order relates a copy of the chief executive’s order; and(b)explain to the person, in general terms, the purpose and effect of the chief executive’s order including that it is an offence not to comply with the order.(3)The person in charge must note on the copy and original of the chief executive’s order when the copy was given to the person.(4)The person given a copy of the chief executive’s order under subsection (2)(a) must comply with the order.Maximum penalty—200 penalty units.
(5)The person in charge of a public sector health service may enforce a chief executive’s order with the help, and using the force, that is reasonable in the circumstances.(6)However, the person in charge of a public sector health service must give the person detained an opportunity to voluntarily comply with the order.(7)A person authorised by the person in charge of a public sector health service may help the person in charge to enforce a chief executive’s order.
115Duration of chief executive’s order
A chief executive’s order ends at the earlier of—(a)24 hours from the time a copy is given to the person who is the subject of the order unless the chief executive orders the earlier release of the person; or(b)the time a magistrate decides an application for a controlled notifiable conditions order relating to the person.
116Applying for controlled notifiable conditions order
(1)The chief executive may apply to a magistrate for any of the following orders for a person (each a controlled notifiable conditions order)—(a)an initial examination order;(b)a behavioural order;(c)a detention order.(2)The application must be sworn and state the following—(a)the controlled notifiable condition the person has or is suspected of having;(b)the grounds on which it is made;(c)the nature of the order sought;(d)if an order taking the person into, or keeping the person in, detention is sought—the proposed arrangements for the person’s detention and care.(3)The magistrate may refuse to consider the application until the applicant gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.
117Deciding application in person’s absence
(1)A magistrate may decide an application for a controlled notifiable conditions order in the absence of the person for whom the order is sought if the magistrate—(a)considers the person’s presence may be an immediate risk to public health; or(b)is satisfied the person can not be located; or(c)is satisfied there is another reason that makes this necessary.(2)Without limiting subsection (1), a magistrate may decide that representations, if any, for the person must be made through someone acting for the person.
118Making initial examination order
(1)A magistrate may make an initial examination order for a person if the magistrate—(a)reasonably suspects the person may have a controlled notifiable condition; and(b)is satisfied that if the person has the condition, either of the following may constitute an immediate risk to public health—(i)the person’s condition;(ii)the person’s condition and likely behaviour; and(c)is satisfied it is necessary for the person to undergo a medical examination to ascertain whether the person has the condition; and(d)is satisfied the person has been counselled, or reasonable attempts have been made to counsel the person, about the condition and its possible effect on the person’s health and on public health.(2)However, subsection (1)(d) does not apply if it is not practicable to counsel the person.
119What initial examination order may provide
(1)An initial examination order may provide for any or all of the following—(a)that the person be detained at a stated place;(b)subject to subsection (2), a period that is not more than 72 hours, for which a person may be detained;(c)that the person be detained in isolation for part or all of the period of detention;(d)if the person is not at the place where the person is to be detained, that the person be taken to and detained at the place;(e)that the person undergo the medical examination stated in the order by a doctor nominated by the chief executive to ascertain whether the person has the controlled notifiable condition.(2)The order may state a period that is more than 72 hours only if the magistrate is satisfied that because of the nature of the controlled notifiable condition a longer period is required to ascertain whether the person has the condition.(3)The order may be made subject to the conditions the magistrate considers appropriate.(4)The order may authorise any authorised person, within a stated period—(a)to enter or re-enter any place the authorised person reasonably believes the person is; and(b)to search the place to find the person; and(c)to remain in the place for as long as the authorised person considers is reasonably necessary to find the person; and(d)to take the person to the place where the person is to be detained under the order.(5)An authorised person may exercise powers under the order with the help, and using the force, that is reasonable in the circumstances.(6)Without limiting section 123, for enforcing the order the chief executive may detain the person and carry out the medical examination with the help, and using the force, that is reasonable in the circumstances.
120Service of initial examination order
As soon as practicable after an initial examination order is made for a person, an authorised person must—(a)give the person the subject of the order a copy of the order; and(b)explain the terms and effect of the order to the person including the effect of section 121; and(c)give the person an opportunity to voluntarily accompany the authorised person to the place where the person the subject of the order is to be examined; and(d)give the person notice about the right of appeal against the order and how to appeal.
121Person must remain at place of detention and undergo medical examination
A person detained under an initial examination order must remain at the place of detention for the period stated in the order and undergo the stated medical examination stated in the order unless the person is released under section 124.Maximum penalty—400 penalty units.
122When period of detention starts
The period of detention of a person under an initial examination order starts—(a)if the person is at the place where the person is to be examined—from the time the person is detained at the place and given a copy of the order; or(b)if the person is not at the place where the person is to be examined—from the time the person is detained at the place after being given a copy of the order.
123Details of medical examination must be explained
(1)This section applies to a doctor undertaking the medical examination of a person under an initial examination order.(2)The doctor must, if practicable—(a)give an explanation to the person of the examination to be undertaken in a way likely to be readily understood by the person; and(b)allow the person an opportunity to submit to the examination voluntarily.(3)If the person does not submit to the examination voluntarily, the doctor may undertake the examination with the help, and using the force, that is reasonable in the circumstances.
124When detained person must be released before the end of initial examination order
The chief executive must release a person detained under this division before the initial examination order ends if the chief executive is satisfied the reason for the order no longer exists.
(1)A magistrate may make a behavioural order for a person if the magistrate is satisfied—(a)the person has a controlled notifiable condition; and(b)either of the following may constitute an immediate risk to public health—(i)the person’s condition;(ii)the person’s condition and likely behaviour; and(c)the person needs to do, or not do, stated things to avoid the person’s condition, or the person’s condition and likely behaviour, constituting a risk to public health; and(d)the person has been counselled, or reasonable attempts have been made to counsel the person, about the condition and its possible effect on the person’s health and on public health.(2)However, subsection (1)(d) does not apply if it is not practicable to counsel the person.
126What behavioural order may provide
(1)A behavioural order for a person may provide that the person do any or all of the following for the period stated in the order—(a)undergo counselling by a stated person or persons;(b)refrain from stated conduct;(c)refrain from visiting stated places;(d)submit to supervision and monitoring by another person.(2)For subsection (1)(d), the order may specify that the supervision and monitoring—(a)be by a particular person or a person nominated by the chief executive; and(b)be done in a stated way.(3)Also, the order may be made subject to the conditions the magistrate considers appropriate.(4)An authorised person may enforce the order with the help, and using the force, that is reasonable in the circumstances.
127Service of behavioural order
As soon as practicable after a behavioural order is made for a person, an authorised person must—(a)give a copy of the order to the person; and(b)explain the terms and effect of the order to the person including that is an offence not to comply with the order; and(c)give the person notice about the right of appeal against the order and how to appeal.
128Person must comply with behavioural order
(1)This section applies if a behavioural order has been made for a person and the person has been given a copy of the order.(2)The person must comply with the order.Maximum penalty—400 penalty units.
(1)A magistrate may make a detention order for a person if the magistrate is satisfied—(a)the person has a controlled notifiable condition; and(b)either of the following may constitute an immediate risk to public health—(i)the person’s condition;(ii)the person’s condition and likely behaviour; and(c)the person needs to be detained at a stated place for a stated period to avoid the person’s condition, or the person’s condition and likely behaviour, constituting a risk to public health; and(d)the person has been counselled, or reasonable attempts have been made to counsel the person, about the condition and its possible effect on the person’s health and on public health.(2)However, subsection (1)(d) does not apply if it is not practicable to counsel the person.
130What detention order may provide
(1)A detention order for a person may provide for any or all of the following—(a)that the person be detained at a stated place for a stated period of not more than 28 days;(b)that the person be detained in isolation for part or all of the period of detention;(c)if the person is not at the place where the person is to be detained, that the person be taken to and detained at the place;(d)that the person undergo the medical examination or treatment stated in the order by a doctor nominated by the chief executive.(2)The order may be made subject to the conditions the magistrate considers appropriate.(3)The order may authorise any authorised person, within a stated period—(a)to enter or re-enter any place the authorised person reasonably believes the person is; and(b)to search the place to find the person; and(c)to remain in the place for as long as the authorised person considers is reasonably necessary to find the person; and(d)to take the person to the place where the person is to be detained under the order.(4)An authorised person may exercise powers under the order with the help, and using the force, that is reasonable in the circumstances.(5)Without limiting section 133, for enforcing the order the chief executive may detain the person and carry out the medical examination with the help, and using the force, that is reasonable in the circumstances.
As soon as practicable after a detention order is made for a person, an authorised person must—(a)give the person the subject of the order a copy of the order; and(b)explain the terms and effect of the order to the person including the effect of section 132; and(c)if the person is not at the place where the person is to be detained, give the person an opportunity to voluntarily accompany the authorised person to the place; and(d)give the person notice about the right of appeal against the order and how to appeal.
132Person must remain at place of detention and undergo medical examination or treatment
A person detained under a detention order must remain at the place of detention for the period stated in the order and undergo the medical examination or treatment stated in the order.Maximum penalty—400 penalty units.
133Details of medical examination or treatment must be explained
(1)This section applies to a doctor undertaking a medical examination or treatment of a person under a detention order.(2)The doctor must, if practicable—(a)give an explanation to the person of the examination or treatment to be undertaken in a way likely to be readily understood by the person; and(b)allow the person an opportunity to submit to the examination or treatment voluntarily.(3)If the person does not submit to the examination or treatment voluntarily, the doctor may undertake the examination or treatment with the help, and using the force, that is reasonable in the circumstances.
134Extension of behavioural or detention orders
(1)The chief executive may apply to a magistrate for an order to extend the period of a behavioural order or a detention order.(2)The application must be made before the order ends.(3)A behavioural order may be extended once only and for the period decided by the magistrate.(4)A detention order may be extended once only and for not more than 28 days.(5)This part applies, with all necessary changes, to the application as if it were an application for a behavioural order or a detention order.
135Variation and revocation of initial examination, behavioural or detention orders
(1)The chief executive may apply to a magistrate for an order to vary or revoke an initial examination order, a behavioural order or a detention order.(2)This part applies, with all necessary changes, to the application as if it were an application for an initial examination order, a behavioural order or a detention order.(3)Without limiting the things to which the magistrate may have regard in deciding the application, the magistrate may have regard to a contravention of section 121, 128 or 132.
136Application for warrant for apprehension
(1)This section applies if a person who is subject to an initial examination order or a detention order—(a)absconds while being taken to the place where the person is to be detained under the order; or(b)absconds from the place where the person is being detained under the order; or(c)absconds from another place before being taken to the place where the person is to be detained under the order.(2)An authorised person may apply to a magistrate for a warrant for apprehension of the person.(3)The authorised person must prepare a written application that states the grounds on which the warrant is sought.(4)The written application must be sworn.(5)The magistrate may refuse to consider the application until the authorised person gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.
(1)The magistrate may issue a warrant for the apprehension of the person who has absconded if the magistrate is satisfied the warrant is necessary to enable an authorised person to detain the person.(2)The warrant authorises any authorised person—(a)to enter or re-enter any place the authorised person reasonably believes the person is; and(b)to search the place to find the person; and(c)to remain in the place for as long as the authorised person considers is reasonably necessary to find the person; and(d)to take the person to the place where the person is to be detained under an initial examination order or a detention order.(3)The warrant must state the day when it ends.(4)An authorised person may exercise powers under the warrant with the help, and using the force, that is reasonable in the circumstances.
138Application by electronic communication and duplicate warrant
(1)An application under section 136 may be made by phone, fax, email, radio, videoconferencing or another form of electronic communication if the authorised person reasonably considers it necessary because of—(a)urgent circumstances; or(b)other special circumstances, including, for example, the authorised person’s remote location.(2)The application—(a)may not be made before the authorised person prepares the written application under section 136(3); but(b)may be made before the written application is sworn.(3)The magistrate may issue the warrant (the original warrant) only if the magistrate is satisfied—(a)it was necessary to make the application under subsection (1); and(b)the way the application was made under subsection (1) was appropriate.(4)After the magistrate issues the original warrant—(a)if there is a reasonably practicable way of immediately giving a copy of the warrant to the authorised person, for example, by sending a copy by fax or email, the magistrate must immediately give a copy of the warrant to the authorised person; or(b)otherwise—(i)the magistrate must tell the authorised person the date and time the warrant is issued and the other terms of the warrant; and(ii)the authorised person must complete a form of warrant, including by writing on it—(A)the magistrate’s name; and(B)the date and time the magistrate issued the warrant; and(C)the other terms of the warrant.(5)The copy of the warrant mentioned in subsection (4)(a), or the form of warrant completed under subsection (4)(b) (in either case the duplicate warrant), is a duplicate of, and as effectual as, the original warrant.(6)The authorised person must, at the first reasonable opportunity, send to the magistrate—(a)the written application complying with section 136(3) and (4); and(b)if the authorised person completed a form of warrant under subsection (4)(b)—the completed form of warrant.(7)The magistrate must keep the original warrant and, on receiving the documents under subsection (6)—(a)attach the documents to the original warrant; and(b)give the original warrant and documents to the clerk of the court of the relevant magistrates court.(8)Despite subsection (5), if—(a)an issue arises in a proceeding about whether an exercise of a power was authorised by a warrant issued under this section; and(b)the original warrant is not produced in evidence;the onus of proof is on the person relying on the lawfulness of the exercise of the power to prove a warrant authorised the exercise of the power.
(9)In this section—relevant magistrates court, in relation to a magistrate, means the Magistrates Court that the magistrate constitutes under the Magistrates Act 1991.
139Defect in relation to a warrant
(1)A warrant is not invalidated by a defect in the warrant, or in compliance with section 136, 137 or 138, unless the defect affects the substance of the warrant in a material particular.(2)In this section—warrant includes a duplicate warrant mentioned in section 138(5).
140Procedure before entry—orders
(1)This section applies if an authorised person is intending to enter a place under an initial examination order or detention order.(2)Before entering the place, the authorised person must do or make a reasonable attempt to do the following things—(a)identify himself or herself to a person present at the place who is an occupier of the place by producing a copy of the authorised person’s identity card or other document evidencing the appointment;(b)give the person a copy of the order;(c)tell the person the authorised person is permitted by the order to enter the place;(d)give the person an opportunity to allow the authorised person immediate entry to the place without using force.(3)However, the authorised person need not comply with subsection (2) if the authorised person believes on reasonable grounds that immediate entry to the place is required to ensure the effective execution of the order is not frustrated.
141Procedure before entry—warrants
(1)This section applies if an authorised person is intending to enter a place under a warrant under this part.(2)Before entering the place, the authorised person must do or make a reasonable attempt to do the following things—(a)identify himself or herself to a person present at the place who is an occupier of the place by producing a copy of the authorised person’s identity card or other document evidencing the appointment;(b)give the person a copy of the warrant;(c)tell the person the authorised person is permitted by the warrant to enter the place;(d)give the person an opportunity to allow the authorised person immediate entry to the place without using force.(3)However, the authorised person need not comply with subsection (2) if the authorised person believes on reasonable grounds that immediate entry to the place is required to ensure the effective execution of the warrant is not frustrated.(4)In this section—warrant includes a duplicate warrant mentioned in section 138(5).
142Appeal against decision on application for controlled notifiable conditions order or extension of order
The following persons may appeal to the District Court against a decision on an application for a controlled notifiable conditions order or an extension or variation of the order—(a)the chief executive;(b)the person to whom the application relates.
ch 3 pt 5A hdg ins 2022 No. 25 s 9
exp 31 October 2023 (see s 142S)
ch 3 pt 5A div 1 hdg ins 2022 No. 25 s 9
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s 142A ins 2022 No. 25 s 9
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s 142B ins 2022 No. 25 s 9
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s 142C ins 2022 No. 25 s 9
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s 142D ins 2022 No. 25 s 9
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ch 3 pt 5A div 2 hdg ins 2022 No. 25 s 9
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s 142E ins 2022 No. 25 s 9
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s 142F ins 2022 No. 25 s 9
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s 142G ins 2022 No. 25 s 9
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s 142H ins 2022 No. 25 s 9
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s 142I ins 2022 No. 25 s 9
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s 142J ins 2022 No. 25 s 9
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s 142K ins 2022 No. 25 s 9
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s 142L ins 2022 No. 25 s 9
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s 142M ins 2022 No. 25 s 9
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ch 3 pt 5A div 3 hdg ins 2022 No. 25 s 9
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s 142N ins 2022 No. 25 s 9
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s 142O ins 2022 No. 25 s 9
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s 142P ins 2022 No. 25 s 9
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s 142Q ins 2022 No. 25 s 9
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ch 3 pt 5A div 4 hdg ins 2022 No. 25 s 9
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s 142R ins 2022 No. 25 s 9
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ch 3 pt 5A div 5 hdg ins 2022 No. 25 s 9
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s 142S ins 2022 No. 25 s 9
exp 31 October 2023 (see s 142S)
143Person must not recklessly spread controlled notifiable condition
(1)A person must not recklessly put someone else at risk of contracting a controlled notifiable condition.Maximum penalty—200 penalty units or 18 months imprisonment.
(2)A person must not recklessly transmit a controlled notifiable condition to someone else.Maximum penalty—400 penalty units or 2 years imprisonment.
(3)A person does not commit an offence against subsection (1) if, when the other person was put at risk of contracting the condition, the other person—(a)knew the person had the condition; and(b)voluntarily accepted the risk of contracting the condition.(4)A person does not commit an offence against subsection (2) if, when the condition was transmitted to the other person, the other person—(a)knew the person had the condition; and(b)voluntarily accepted the risk of contracting the condition.(5)A person does not commit an offence against subsection (1) or (2) by merely refusing, or failing, to be vaccinated against a condition for which there is a recognised and reasonably available vaccine.The Criminal Code, section 317 provides for the crime of intentionally transmitting a serious disease to a person.
144How proceedings under this chapter heard
(1)A court hearing a proceeding under this chapter, including a proceeding for an offence, may by its order limit the extent to which its business is open to the public if the public interest or the interest of justice require it (the limitation power) having regard to—(a)the subject matter of the proceeding; or(b)the nature of the evidence expected to be given.(2)A person must not make or publish a report about a proceeding in relation to which the limitation power is exercised unless the report—(a)is authorised by the court; or(b)is made for the purpose of the proceeding or of a proceeding related to that proceeding; or(c)is contained in or is made for the purpose of being contained in a recognised series of law reports; or(d)is made for the chief executive.Maximum penalty—
(a)for a first offence—200 penalty units or 6 months imprisonment; or(b)for a subsequent offence—400 penalty units or 12 months imprisonment.(3)This section does not limit the Supreme Court of Queensland Act 1991, section 8, the District Court of Queensland Act 1967, section 126 or the Magistrates Courts Act 1921, section 14A.s 144 amd 2011 No. 45 s 217 sch 1A
145Person may give information necessary for authorised person’s safety
(1)This section applies if—(a)under a chief executive’s order, the person (the relevant person) who is the subject of the order is to be taken to, or detained at, a public sector health service; or(b)under an initial examination order, the person (also the relevant person) who is the subject of the order is to be taken to, or detained at, a stated place; or(c)under an behavioural order, the person (also the relevant person) who is the subject of the order is to do or not do stated things for a stated period; or(d)under a detention order, the person (also the relevant person) who is the subject of the order is to be taken to, or detained at, a stated place; or(e)a person (also the relevant person) may be apprehended under a warrant issued under section 137 or 138.(2)To protect the safety of the relevant person or the following persons a doctor, health service employee or person involved in the administration of this Act may give information about the relevant person to the following persons—(a)an authorised person;(b)the relevant person;(c)the person in charge of public sector health service;(d)a person authorised by the person in charge of public sector health service.(3)This section applies despite any other provision of this Act or any provision of another law that deals with confidentiality, including, for example, the Hospital and Health Boards Act 2011, section 142.s 145 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
146Obstructing persons exercising powers
(1)A person must not obstruct any of the following in the exercise of a power under this chapter, unless the person has a reasonable excuse—(a)the chief executive;(b)a doctor;(c)an authorised person;(d)a person in charge of a public sector health service;(e)a person authorised by a person in charge of a public sector health service.Maximum penalty—100 penalty units.
(2)If a person has obstructed a person mentioned in subsection (1)(a) to (e) (the enforcing person) and the enforcing person decides to proceed with the exercise of the power, the enforcing person must warn the person that—(a)it is an offence to obstruct the enforcing person, unless the person has a reasonable excuse; and(b)the enforcing person considers the person’s conduct is an obstruction.
In this chapter—commencement means the commencement of this chapter.declared health service see section 148.ICMP see section 152.invasive procedure means a procedure involving the insertion of an instrument, appliance or other object into human tissue, organs, body cavities or body orifices.subcutaneous and intramuscular injections, blood collection, dentistry, suturing of superficial wounds and examinations of the mouthmobile premises means premises that—(a)are a vehicle or are otherwise ordinarily moved from place to place; and(b)are used for the provision of a declared health service.operator, of a health care facility, means the person who has the day to day operation and control of the facility.
148Meaning of declared health service
(1)A declared health service means a service provided to a person that—
(a)is intended to maintain, improve or restore the person’s health; and(b)involves the performance of an invasive procedure or an activity that exposes the person or another person to blood or another bodily fluid.(2)Without limiting subsection (1), a declared health service includes a declared health service provided to a person at the following—(a)a public sector hospital;(b)a medical practice;(c)a dental practice;(d)an acupuncture clinic;(e)a midwifery service;(f)an ambulance service;(g)a blood bank.
149Meaning of health care facility
(1)A health care facility means a facility at which a declared health service is provided and includes—
(a)mobile premises associated with the facility; and(b)other premises or places at which persons employed or otherwise engaged at the facility provide declared health services for the facility.1an ambulance base and the ambulances that operate from the base2a home-based service provided by a public sector hospital3an acupuncture clinic operating from an office or residential address that provides home visits(2)A health care facility includes services supporting the facility.a hospital laundry or cleaning services 149 amd 2007 No. 54 s 56
(1)This chapter does not apply to—(a)a private health facility; or(b)an area within a health care facility used for food services, including, for example, the preparation, handling and storage of food; or(c)an aged care service conducted by an approved provider under the Aged Care Act 1997 (Cwlth).(2)If this chapter conflicts with either of the following Acts, that Act prevails, but only to the extent of the conflict—(a)the Work Health and Safety Act 2011;(b)the Environmental Protection Act 1994.s 150 amd 2011 No. 18 s 404 sch 4 pt 2 div 1
ch 4 pt 2 hdg sub 2017 No. 16 s 5
151Obligation to minimise risk of infection
A person involved in the provision of a declared health service must take reasonable precautions and care to minimise the risk of infection to other persons.Examples of a person involved in the provision of a declared health service—
1a registered nurse collecting blood for a blood bank2the medical superintendent or director of nursing of a public sector hospital3the owner of a dental practice that employs dentists, on a permanent or casual basis4the owner of a business that operates a first aid room for its employeesExample of how a person might take reasonable precautions and care—
The person complies with the ICMP for the health care facility at which the declared health service is provided and with any measures prescribed under section 461(2)(a) about preventing and controlling the spread of infectious conditions in providing the declared health serviceMaximum penalty—1,000 penalty units.
s 151 sub 2017 No. 16 s 5
152What is an infection control management plan
An infection control management plan (an ICMP), for a health care facility, is a documented plan to prevent or minimise the risk of infection, in relation to a declared health service, for—(a)persons receiving services at the facility; and(b)persons employed or engaged at the facility; and(c)other persons at risk of infection at the facility.
153Obligation of owner for ICMP
(1)This section applies if the owner and the operator of a health care facility are different persons.(2)The owner must ensure—(a)there is an ICMP for the health care facility that complies with section 155(1) and includes the matters prescribed under section 155(2); and(b)declared health services provided at the health care facility are provided in compliance with the ICMP; and(c)the operator reviews the effectiveness and implementation of the ICMP at intervals of not more than 1 year.Maximum penalty—500 penalty units.
(3)Subsection (2) does not apply if the facility is a health care facility, or of a type of health care facility, prescribed under a regulation.(4)However, a health care facility, or a type of health care facility, may be prescribed under subsection (3) only if the chief executive is satisfied the infection risks associated with the provision of a declared health service at the facility or a facility of that type can be prevented or minimised without an ICMP for the facility.s 153 amd 2007 No. 54 s 57; 2017 No. 16 s 6
154Obligation of owner/operator for ICMP
(1)This section applies if the owner and the operator of a health care facility are the same person.(2)The operator must—(a)ensure there is an ICMP for the health care facility that complies with section 155(1) and includes the matters prescribed under section 155(2); and(b)ensure declared health services provided at the health care facility are provided in compliance with the ICMP; and(c)review the effectiveness and implementation of the ICMP at intervals of not more than 1 year.Maximum penalty—500 penalty units.
(3)Subsection (2) does not apply if the facility is a health care facility, or of a type of health care facility, prescribed under a regulation.(4)However, a health care facility, or a type of health care facility, may be prescribed under subsection (3) only if the chief executive is satisfied the infection risks associated with the provision of a declared health service at the facility or a facility of that type can be prevented or minimised without an ICMP for the facility.s 154 amd 2007 No. 54 s 58; 2017 No. 16 s 7
(1)An ICMP for a health care facility must state—(a)the infection risks associated with the provision of declared health services provided at the facility; and(b)the measures to be taken to prevent or minimise the infection risks for declared health services; and(c)how the operator is to monitor and review the implementation and effectiveness of the measures; and(d)details about the provision of training in relation to the ICMP for persons employed or otherwise engaged at the facility; and(e)how often the ICMP is to be reviewed; and(f)if a person other than the operator of the facility is also responsible for providing advice about, and monitoring the effectiveness of, the ICMP—the name of that person.(2)A regulation may prescribe matters to be included in an ICMP, including the measures under subsection (1)(b) that are to be included in an ICMP.(3)The ICMP must be written in a way likely to be easily understood by persons employed or otherwise engaged at the facility.(4)The operator of the facility must—(a)sign and date the ICMP; and(b)sign and date the ICMP each time it is reviewed.(5)The operator must keep a copy of the ICMP at a place at the facility that is readily accessible to persons employed or otherwise engaged at the facility.Maximum penalty—100 penalty units.
(6)If, after developing an ICMP for a health care facility, the operator of the facility intends to provide a declared health service not identified in the ICMP, the operator must, before providing the service, review and amend the ICMP to address the infection risks associated with the service.s 155 amd 2017 No. 16 s 8
156Time for developing and implementing an ICMP
The operator of a health care facility must develop and implement an ICMP—(a)for a health care facility operating at the commencement—within 6 months of the commencement; or(b)for a health care facility that starts operation after the commencement—before the facility provides a declared health service.
156A Giving copy of ICMP and information to authorised person
(1)An authorised person appointed by the chief executive may, by notice given to the operator of a health care facility, require the operator to give the following to the authorised person by the day stated in the notice—(a)a copy of the ICMP for the health care facility;(b)other stated information about procedures for preventing or minimising the risk of infection to persons at the health care facility.(2)The operator must comply with the notice, unless the operator has a reasonable excuse.Maximum penalty—200 penalty units.
s 156A ins 2017 No. 16 s 9
(1)This section applies if an authorised person appointed by the chief executive is satisfied an ICMP for a health care facility requires amendment to comply with this part.(2)The authorised person may, by notice given to the operator of the health care facility, require the operator to amend the ICMP.(3)The notice must state the following—(a)that the operator must amend the ICMP;(b)the way the ICMP must be amended;(c)the day by which the ICMP must be amended;(d)the day by which the operator must give the authorised person a copy of the amended ICMP.(4)The operator must comply with the notice, unless the operator has a reasonable excuse.Maximum penalty—500 penalty units.
s 156B ins 2017 No. 16 s 9
ch 4 pt 3A hdg ins 2017 No. 16 s 10
(1)This section applies if an authorised person appointed by the chief executive reasonably believes—(a)the operator or owner of a health care facility—(i)is contravening a relevant provision; or(ii)has contravened a relevant provision in circumstances that make it likely the contravention will continue or be repeated; and(b)a matter relating to the contravention is reasonably capable of being remedied; and(c)it is appropriate to give the operator or owner an opportunity to remedy the matter.(2)The authorised person may give the operator or owner a notice (an improvement notice) requiring the operator or owner to remedy the contravention or have the contravention remedied.(3)The improvement notice must state the following—(a)the relevant provision the authorised person believes is being, or has been, contravened;(b)that the authorised person reasonably believes the operator or owner—(i)is contravening the relevant provision; or(ii)has contravened the relevant provision in circumstances that make it likely the contravention will continue or be repeated;(c)briefly, how it is believed the relevant provision is being, or has been, contravened;(d)the period within which the operator or owner must remedy the contravention or have the contravention remedied;(e)that it is an offence to fail to comply with the improvement notice, unless the operator or owner has a reasonable excuse.(4)The period stated under subsection (3)(d) must be reasonable, having regard to the risk to public health posed by the contravention.(5)The improvement notice may also state the reasonable steps the authorised person considers necessary to remedy the contravention, or avoid further contravention, of the relevant provision.(6)The operator or owner must comply with the improvement notice, unless the operator or owner has a reasonable excuse.Maximum penalty—
(a)if the relevant provision the subject of the improvement notice is section 151—1,000 penalty units; or(b)if the relevant provision the subject of the improvement notice is section 153(2) or 154(2)—500 penalty units; or(c)if the relevant provision the subject of the improvement notice is section 155(5)—100 penalty units.(7)An operator or owner may be prosecuted for the contravention of a relevant provision without an authorised person first giving an improvement notice for the contravention.(8)In this section—relevant provision means—(a)in relation to the operator of a health care facility—section 151, 154(2) or 155(5); or(b)in relation to the owner of a health care facility who is not the operator of the facility—section 153(2).s 156C ins 2017 No. 16 s 10
156D Record of compliance with improvement notice
(1)If the operator or owner of a health care facility who is given an improvement notice by an authorised person under this part reasonably believes the operator or owner has complied with the notice, the operator or owner may inform the authorised person of the belief.(2)If the authorised person is satisfied the operator or owner has complied with the improvement notice, the authorised person must—(a)record the date of the compliance on a copy of the notice; and(b)if asked, give a copy of the dated notice to the operator or owner.s 156D ins 2017 No. 16 s 10
(1)This section applies if the chief executive reasonably believes—(a)the operator of a health care facility—(i)is contravening section 151; or(ii)has contravened section 151 in circumstances that make it likely the contravention will continue or be repeated; and(b)there is a serious risk of harm to a person’s health because of the contravention or likely contravention.(2)The chief executive may give the operator a notice (a directions notice) directing the operator to stop providing a stated declared health service at the health care facility for a stated period of not more than 30 days.(3)The directions notice must also state the following—(a)that the chief executive reasonably believes the operator—(i)is contravening section 151; or(ii)has contravened section 151 in circumstances that make it likely the contravention will continue or be repeated;(b)briefly, how it is believed section 151 is being, or has been, contravened;(c)the period within which the operator must remedy the contravention or have the contravention remedied;(d)the serious risk of harm caused by the contravention or likely contravention;(e)that it is an offence to fail to comply with the notice, unless the operator has a reasonable excuse.(4)The directions notice may also state the reasonable steps the chief executive considers necessary to remedy the contravention, or avoid further contravention, of section 151.(5)The directions notice takes effect when it is given to the operator of the health care facility.s 156E ins 2017 No. 16 s 10
156F Chief executive may extend directions notice
(1)This section applies if, before the end of the period stated under section 156E(2) for a directions notice, the chief executive still believes the matters mentioned in section 156E(1) for the directions notice.(2)The chief executive may, by notice given to the operator, extend the period during which the operator must not provide the stated declared health service by not more than 30 days.s 156F ins 2017 No. 16 s 10
156G Court order may extend directions notice
(1)This section applies if the chief executive has given a directions notice to the operator of a health care facility.(2)The chief executive may apply to a magistrate for an order to extend the period during which the operator must not provide the stated declared health service.(3)The application must be made before the end of—(a)the period stated under section 156E(2) for the directions notice; or(b)if the period is extended under section 156F(2)—the extended period.(4)If the magistrate has not decided the application before the end of the period in which the application must be made, the directions notice continues in effect until the magistrate decides the application.(5)The magistrate may refuse to consider the application until the chief executive gives the magistrate all the information the magistrate requires to make the order.(6)The magistrate may make an order to extend the period mentioned in subsection (2) for a further stated period if the magistrate is satisfied—(a)the operator—(i)is contravening section 151; or(ii)has contravened section 151 in circumstances that make it likely the contravention will continue or be repeated; and(b)there is a serious risk of harm to a person’s health because of the contravention or likely contravention.s 156G ins 2017 No. 16 s 10
156H Offence to fail to comply with a directions notice
The operator of a health care facility must comply with a directions notice given to the operator, unless the operator has a reasonable excuse.Maximum penalty—3,000 penalty units.
s 156H ins 2017 No. 16 s 10
156I Record of compliance with directions notice
(1)If the operator of a health care facility who is given a directions notice under this part reasonably believes the operator has complied with the notice, the operator may inform the chief executive of the belief.(2)If the chief executive is satisfied the operator has complied with the directions notice, the chief executive must—(a)record the date of the compliance on a copy of the notice; and(b)if asked, give a copy of the dated notice to the operator.(3)The directions notice stops having effect on the date of compliance.s 156I ins 2017 No. 16 s 10
Part 4 Reporting contraventions of chapter 4 to other entities
157Chief executive may report contraventions
(1)If the chief executive considers a person has contravened this chapter, the chief executive may report the alleged contravention to a relevant entity.(2)In this section—relevant entity means—(a)the health ombudsman; or(c)a board established under the Health Practitioner Regulation National Law; or(d)another entity that has the power under an Act of the State, the Commonwealth or another State to deal with the matter.s 157 amd 2006 No. 25 s 241 (1) sch 3; 2010 No. 14 s 124 sch; 2013 No. 36 s 331 sch 1
ch 4A hdg ins 2016 No. 5 s 921
ch 4A pt 1 hdg ins 2016 No. 5 s 921
In this chapter—administrator ...s 157A def administrator om 2017 No. 3 s 52 (1)
ambulance officer see the Ambulance Service Act 1991, schedule.authorised mental health practitioner ...s 157A def authorised mental health practitioner om 2017 No. 3 s 52 (1)
authorised mental health service ...s 157A def authorised mental health service om 2017 No. 3 s 52 (1)
authorised person means—(a)a police officer; or(b)an appropriately qualified health service employee appointed as an authorised person by the person in charge of a public sector health service facility; or(c)an ambulance officer; or(d)a security officer.s 157A def authorised person amd 2017 No. 3 s 52 (2)–(4)
emergency examination authority see section 157D(1).examination period see section 157E(1).health practitioner means a person registered under the Health Practitioner Regulation National Law, or another person who provides health services, including, for example, a social worker.public sector health service facility see the Hospital and Health Boards Act 2011, schedule 2.security officer means a person employed or engaged by a public sector health service facility to provide security services, regardless of how the person’s employment or engagement is described.s 157A def security officer amd 2017 No. 3 s 52 (5)
treatment or care place means a public sector health service facility or another place, other than a watch house, where a person may receive treatment and care appropriate to the person’s needs.Example of another place where a person may receive treatment and care appropriate to the person’s needs—
the person’s homes 157A def treatment or care place amd 2017 No. 3 s 52 (6)
s 157A ins 2016 No. 5 s 921
ch 4A pt 2 hdg ins 2016 No. 5 s 921
157BAmbulance officer or police officer may detain and transport person
(1)This section applies if an ambulance officer or police officer believes—(a)a person’s behaviour, including, for example, the way in which the person is communicating, indicates the person is at immediate risk of serious harm; anda person is threatening to commit suicide(b)the risk appears to be the result of a major disturbance in the person’s mental capacity, whether caused by illness, disability, injury, intoxication or another reason; and(c)the person appears to require urgent examination, or treatment and care, for the disturbance.(2)For the Police Powers and Responsibilities Act 2000, section 609(1)(a)(i), the police officer may consider advice received from a health practitioner about the person in forming a view as to whether there is an imminent risk of injury to a person.(3)The ambulance officer or police officer may detain the person and transport the person to a treatment or care place.(4)If the treatment or care place is a public sector health service facility that is not an inpatient hospital, the person may only be transported to the facility with the approval of the person in charge of the facility.(5)If the person is detained and transported to a treatment or care place, other than a public sector health service facility, the person can not be detained at the place unless an Act otherwise requires.See section 157E for detention in a treatment or care place that is a public sector health service facility.(6)In this section—inpatient hospital means a hospital where a person may be discharged on a day other than the day on which the person was admitted to the hospital.s 157B ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (7)–(8))
157CWhat ambulance officer or police officer must tell person
(1)The ambulance officer or police officer must—(a)tell the person that the officer is detaining the person and transporting the person to a treatment or care place; and(b)explain to the person how taking action under paragraph (a) may affect the person.(2)The ambulance officer or police officer must take reasonable steps to ensure the person understands the information given under subsection (1), including by telling the person or explaining the thing to the person—(a)in an appropriate way having regard to the person’s age, culture, mental impairment or illness, communication ability and any disability; and(b)in a way, including, for example, in a language, the person is most likely to understand.s 157C ins 2016 No. 5 s 921
157DGiving emergency examination authority
(1)If the ambulance officer or police officer takes the person to a treatment or care place that is a public sector health service facility, the officer must immediately make an authority (an emergency examination authority) for the person.(2)The authority must—(a)be in the approved form; and(b)state the time when it is given.(3)The person may be detained in the treatment or care place while the authority is being made.(4)Immediately after making the authority, the ambulance officer or police officer must give the authority to a health service employee at the treatment or care place.s 157D ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (9))
157EDetention in treatment or care place
(1)A person subject to an emergency examination authority may be detained in a treatment or care place that is a public sector health service facility for a period (the examination period) of not more than 6 hours starting when the authority is given to the health service employee under section 157D(4).(2)A doctor or health practitioner must explain the effect of the authority to the person.(3)The doctor or health practitioner must take reasonable steps to ensure the person understands the information given under subsection (2), including by telling the person or explaining the information to the person—(a)in an appropriate way having regard to the person’s age, culture, mental impairment or illness, communication ability and any disability; and(b)in a way, including, for example, in a language, the person is most likely to understand.(4)Also, a doctor or health practitioner may extend or further extend the examination period to not more than 12 hours after it starts if the doctor or health practitioner believes the extension is necessary to carry out or finish an examination of the person under section 157F.s 157E ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (10)–(11))
(1)A doctor or health practitioner may examine a person subject to an emergency examination authority to decide the person’s treatment and care needs.(2)Also, a doctor or authorised mental health practitioner may examine the person to decide whether to make a recommendation for assessment for the person under the Mental Health Act 2016.(3)An examination may be carried out using an audiovisual link if the doctor or health practitioner examining the person believes it is clinically appropriate.(4)In this section—audiovisual link means facilities that enable reasonably contemporaneous and continuous audio and visual communication between persons at different places.authorised mental health practitioner see the Mental Health Act 2016, schedule 3.s 157F ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (12))
ch 4A pt 3 hdg ins 2016 No. 5 s 921
157GApplication of pt 3
This part applies if a person absconds from a public sector health service facility while being detained under this chapter.s 157G ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (13))
157HPerson in charge of facility may require return of absent person
(1)A person in charge of a public sector health service facility may—(a)authorise an authorised person, other than a police officer, to transport the person to a public sector health service facility; or(b)ask a police officer to transport the person to a public sector health service facility.(2)The authorisation or request must—(a)be in the approved form; and(b)state the name of the person to be transported; and(c)state the name of the public sector health service facility to which the person is to be transported; and(d)identify the risk the person presents to himself or herself, the authorised person or police officer, and others; and(e)for a request to a police officer—state the reasons why the person in charge considers it necessary for a police officer to transport the person.(3)Before giving the authorisation or making the request, the person in charge must make reasonable efforts to contact the person and encourage the person to come or return to the public sector health service facility.(4)Subsection (3) does not apply if the person in charge considers there is a risk that the person may harm himself or herself or others if the person in charge complies with the subsection.(5)The person in charge of a public sector health service facility may delegate a function or power of the person in charge under this section to an appropriately qualified health service employee.(6)For performing a function or exercising a power under this section in relation to a person, an authorised person, other than a police officer, is a public official for the Police Powers and Responsibilities Act 2000.See also part 5 for applying for a warrant for the apprehension of a person.s 157H ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (14)–(22))
157IDuration of authorisation or request
An authorisation or request under section 157H to transport the person is in force for 3 days after the day the person absconds.s 157I ins 2016 No. 5 s 921
157JAuthorised person may transport absent person
(1)This section applies if an authorised person is authorised to transport a person under section 157H(1)(a).(2)The authorised person may transport the person named in the authorisation to the public sector health service facility stated in the authorisation.(3)Subsection (4) applies if an authorised person mentioned in section 157H(1)(a) asks a police officer, under the Police Powers and Responsibilities Act 2000, section 16, to help transport the named person.Under section 157H(6), an authorised person, other than a police officer, is a public official for the Police Powers and Responsibilities Act 2000. Under section 16 of that Act, a public official may ask a police officer to help the public official perform the public official’s functions.(4)The request must—(a)be in the approved form; and(b)state the name of the person to be transported; and(c)state the name of the public sector health service facility to which the person is to be transported; and(d)identify the risk the person presents to himself or herself, the authorised person or police officer, and others; and(e)state the reasons why the authorised person considers it necessary to ask the police officer to help transport the person.(5)Before transporting the person, the authorised person must—(a)tell the person the authorised person is detaining the person and transporting the person to the public sector health service facility stated in the authorisation; and(b)explain to the person how taking action under paragraph (a) may affect the person.s 157J ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (23)–(25))
157KEffect on examination period
For a person transported under an authorisation or request under section 157H—(a)despite section 157E(1), the examination period for the person starts when the person is admitted to the service or facility to which the person is transported under section 157E; and(b)a health service employee must note on the person’s emergency examination authority when the examination period starts under paragraph (a).s 157K ins 2016 No. 5 s 921
ch 4A pt 4 hdg ins 2016 No. 5 s 921
157LUse of force to detain and transport
An ambulance officer or police officer may exercise the power to detain and transport a person under this chapter with the help, and using the force, that is necessary and reasonable in the circumstances.s 157L ins 2016 No. 5 s 921
157MTransfer to another treatment or care place
(1)This section applies if—(a)a person subject to an emergency examination authority is transported to a treatment or care place that is a public sector health service facility; and(b)a doctor or health practitioner believes it is necessary for the person to be transported to another treatment or care place that is a public sector health service facility.(2)An authorised person may transport the person under the emergency examination authority to the other treatment or care place.A person subject to an emergency examination authority may only be detained in a treatment or care place for the examination period, or the examination period as extended under section 157E(4).s 157M ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (26)–(27))
157NUse of reasonable force to detain person
(1)This section applies if, under an emergency examination authority, a person may be detained in a public sector health service facility.(2)The person in charge of the public sector health service facility, and anyone lawfully helping the person in charge, may exercise the power to detain the person in the facility with the help, and using the force, that is necessary and reasonable in the circumstances.s 157N ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (28)–(29))
157OExamination of person without consent and with use of reasonable force
(1)An examination of a person subject to an emergency examination authority may be made under this chapter without the consent of the person or anyone else.(2)A person lawfully examining the person, or lawfully helping to examine the person, may use the force that is necessary and reasonable in the circumstances to examine, or help examine, the person.s 157O ins 2016 No. 5 s 921
157PReturn after examination or treatment and care to person’s requested place
(1)This section applies if—(a)a person is transported from the community to a treatment or care place that is a public sector health service facility; and(b)at the end of the examination period, or the examination period as extended under section 157E(4), for the person, a recommendation for assessment under the Mental Health Act 2016 is not made for the person.(2)The person in charge of the public sector health service facility must take reasonable steps to ensure the person is returned to a place reasonably requested by the person.s 157P ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (30)–(31))
ch 4A pt 5 hdg ins 2016 No. 5 s 921
157QApplication for warrant for apprehension of person
(1)This section applies if an authorised person considers a warrant for apprehension of a person is necessary to enable an authorised person to transport the person under this chapter to a public sector health service facility for an examination.(2)The authorised person may apply to a magistrate for a warrant for apprehension of the person.(3)The authorised person must prepare a written application that states the grounds on which the warrant is sought.(4)The written application must be sworn.(5)The magistrate may refuse to consider the application until the authorised person gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application to be given by statutory declaration.s 157Q ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (32))
(1)A magistrate may issue the warrant for apprehension of the person if the magistrate is satisfied the warrant is necessary to enable an authorised person to transport the person to a public sector health service facility for an examination.(2)The warrant authorises an authorised person—(a)to enter any 1 or more places the authorised person reasonably believes the person is; and(b)to search the places to find the person; and(c)to remain in the places for as long as the authorised person considers it reasonably necessary to find the person; and(d)to transport the person to a stated public sector health service facility.For a police officer’s entry and search powers, see the Police Powers and Responsibilities Act 2000, section 21. Also, for the use of force by a police officer, see the Police Powers and Responsibilities Act 2000, section 615.(3)The warrant must state—(a)the person to whom the warrant applies; and(b)that an authorised person may, with necessary and reasonable help and force, exercise—(i)the powers under the warrant mentioned in subsection (2); and(ii)the powers mentioned in part 4; and(c)the hours of the day or night when a place mentioned in subsection (2)(a) may be entered; and(d)the magistrate’s name; and(e)the day and time of the warrant’s issue; and(f)the day, within 7 days after the warrant’s issue, the warrant ends.(4)An authorised person may exercise powers under the warrant with the help, and using the force, that is reasonable in the circumstances.s 157R ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (33)–(34))
(1)An application under section 157Q may be made by phone, fax, email, radio, videoconferencing or another form of electronic communication if the authorised person reasonably considers it necessary because of—(a)urgent circumstances; or(b)other special circumstances, including, for example, the authorised person’s remote location.(2)The application—(a)may not be made before the authorised person prepares the written application under section 157Q(3); but(b)may be made before the written application is sworn.s 157S ins 2016 No. 5 s 921
157TAdditional procedure if electronic application
(1)For an application made under section 157S, the magistrate may issue the warrant for apprehension of the person (the original warrant) only if the magistrate is satisfied—(a)it was necessary to make the application under section 157S; and(b)the way the application was made under section 157S was appropriate.(2)After the magistrate issues the original warrant—(a)if there is a reasonably practicable way of immediately giving a copy of the warrant to the authorised person, including, for example, by sending a copy by fax or email, the magistrate must immediately give a copy of the warrant to the authorised person; or(b)otherwise—(i)the magistrate must tell the authorised person the information mentioned in section 157R(3); and(ii)the authorised person must complete a form of warrant, including by writing on it the information mentioned in section 157R(3) told to the person by the magistrate.(3)The copy of the warrant mentioned in subsection (2)(a), or the form of warrant completed under subsection (2)(b) (in either case the duplicate warrant), is a duplicate of, and as effectual as, the original warrant.(4)The authorised person must, at the first reasonable opportunity, send to the magistrate—(a)the written application complying with section 157Q(3) and (4); and(b)if the authorised person completed a form of warrant under subsection (2)(b), the completed form of warrant.(5)The magistrate must keep the original warrant and, on receiving the documents under subsection (4)—(a)attach the documents to the original warrant; and(b)give the original warrant and documents to the clerk of the court of the relevant magistrates court.(6)Despite subsection (3), if—(a)an issue arises in a proceeding about whether an exercise of a power was authorised by a warrant issued under this section; and(b)the original warrant is not produced in evidence;the onus of proof is on the person relying on the lawfulness of the exercise of the power to prove a warrant authorised the exercise of the power.(7)In this section—relevant magistrates court, in relation to a magistrate, means the Magistrates Court that the magistrate constitutes under the Magistrates Act 1991.s 157T ins 2016 No. 5 s 921
157UDefect in relation to a warrant
(1)A warrant for apprehension of a person is not invalidated by a defect in—(a)the warrant; or(b)compliance with this part;unless the defect affects the substance of the warrant in a material particular.(2)In this section—warrant for apprehension includes a duplicate warrant under section 157T(3).s 157U ins 2016 No. 5 s 921
(1)This section applies if an authorised person is intending to enter a place under a warrant for apprehension of a person.(2)Before entering the place, the authorised person must do or make a reasonable attempt to do the following things—(a)identify himself or herself to a person present at the place who is an occupier of the place;See also the Police Powers and Responsibilities Act 2000, section 637.(b)give the person a copy of the warrant or, if the entry is authorised by a duplicate warrant under section 157T(3), a copy of the duplicate warrant;(c)tell the person the authorised person is permitted by the warrant to enter and search the place to find the person named in the warrant;(d)give the person an opportunity to allow the authorised person immediate entry to the place without using force.(3)However, the authorised person need not comply with subsection (2) if the authorised person reasonably believes immediate entry to the place is required to ensure the effective execution of the warrant is not frustrated.s 157V ins 2016 No. 5 s 921
ch 4A pt 6 hdg ins 2016 No. 5 s 921
157WApplication of pt 6
This part applies to a person who is being detained in a public sector health service facility for an examination under this chapter.s 157W ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (35))
157XDefinitions for pt 6
In this part—general search, of a person, means a search—(a)to reveal the contents of the person’s outer garments, general clothes or hand luggage without touching the person or the luggage; or(b)in which the person may be required to—(i)open his or her hands or mouth for visual inspection; or(ii)shake his or her hair vigorously.harmful thing means anything—(a)that may be used to—(i)threaten the security or good order of a public sector health service facility; or(ii)threaten a person’s health or safety; or(b)that, if used by a patient in a public sector health service facility, is likely to adversely affect the patient’s treatment or care.•a dangerous drug•alcohol•medication•provocative or offensive documentss 157X def harmful thing amd 2017 No. 3 s 52 (36)
personal search, of a person, means a search in which light pressure is momentarily applied to the person over his or her general clothes without direct contact being made with—(a)the person’s genital or anal areas; or(b)for a female—the person’s breasts.scanning search, of a person, means a search of the person by electronic or other means that does not require the person to remove his or her general clothes or to be touched by another person.Examples of a scanning search—
•using a portable electronic apparatus or another portable apparatus that can be passed over the person•using an electronic apparatus through which the person is required to passsearch requiring the removal of clothing, of a person, means a search in which the person removes all garments during the course of the search, but in which direct contact is not made with the person.s 157X ins 2016 No. 5 s 921
157YPower to search on belief of possession of harmful thing
(1)This section applies if a doctor or health practitioner believes the person may have possession of a harmful thing.(2)The doctor or health practitioner may—(a)carry out a general search, scanning search or personal search of the person; and(b)if the person in charge of the public sector health service facility gives approval for a search requiring the removal of clothing—carry out a search requiring the removal of clothing; and(c)carry out a search of the person’s possessions.(3)The person in charge of the public sector health service facility may give approval under subsection (2)(b) if the person in charge believes that a search requiring the removal of clothing is necessary in the circumstances.(4)A search under this section may be carried out without the person’s consent.(5)However, before carrying out a search under this section, the doctor or health practitioner must tell the person the reasons for the search and how it is to be carried out.(6)A doctor or health practitioner may carry out a search under this section with the help, and using the force, that is necessary and reasonable in the circumstances.s 157Y ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (37)–(38))
157ZRequirements for personal search
(1)A person authorised under section 157Y to carry out a personal search (the searcher) may do any 1 or more of the following in relation to the person being searched—(a)remove and inspect an outer garment or footwear of the person;(b)remove and inspect all things from the pockets of the person’s clothing;(c)touch the clothing worn by the person to the extent necessary to detect things in the person’s possession;(d)remove and inspect any detected thing.(2)The searcher may exercise a power under subsection (1)(c) only if—(a)to the extent reasonably practicable—(i)the person has been given an opportunity to express, and has expressed, their preference about the gender of someone carrying out the search (the gender preferred by the person); and(ii)the gender of the searcher is the gender preferred by, or otherwise the same gender as, the person; and(b)the search is carried out in a part of a building that ensures the person’s privacy.(3)The searcher must—(a)carry out the search in a way that respects the person’s dignity to the greatest possible extent; and(b)cause as little inconvenience to the person as is practicable in the circumstances.s 157Z ins 2016 No. 5 s 921
amd 2024 No. 24 s 50
157ZARequirements for search requiring the removal of clothing
(1)A search under section 157Y requiring the removal of clothing of a person must be carried out by at least 2 persons authorised to carry out the search, but by no more persons than are reasonably necessary to carry out the search.(2)To the extent reasonably practicable, the gender of each person carrying out the search (each a searcher) must be the gender preferred by, or otherwise the same gender as, the person being searched.(3)Before carrying out the search, 1 of the searchers must tell the person—(a)that the person will be required to remove the person’s clothing during the search; and(b)why it is necessary to remove the clothing.(4)The searcher must—(a)ensure the search is carried out in a part of a building that ensures the person’s privacy; and(b)ensure, to the extent practicable, that the way in which the person is searched causes minimal embarrassment to the person; and(c)take reasonable care to protect the person’s dignity; and(d)carry out the search as quickly as reasonably practicable; and(e)allow the person to dress as soon as the search is finished.(5)The searcher must, if reasonably practicable, give the person the opportunity to remain partly clothed during the search, including, for example, by allowing the person to dress his or her upper body before being required to remove clothing from the lower part of the body.(6)If the searcher seizes clothing because of the search, the searcher must ensure the person is left with, or given, reasonably appropriate clothing.(7)In this section—gender preferred, by the person being searched, see section 157Z(2)(a)(i).s 157ZA ins 2016 No. 5 s 921
amd 2024 No. 24 s 51
157ZBRequirements for search of possessions
(1)A person authorised under section 157Y to carry out a search of a person’s possessions (the searcher) may—(a)open or inspect a thing in the person’s possession; and(b)remove and inspect any detected thing.(2)However, the searcher may exercise a power to inspect a thing under subsection (1) only if the person is present or has been given the opportunity to be present.(3)Subsection (2) does not apply if the person obstructs the searcher in the exercise of the searcher’s powers.s 157ZB ins 2016 No. 5 s 921
157ZCRecord of search must be made
(1)This section applies if—(a)a search requiring the removal of clothing is carried out under section 157Y; or(b)a person seizes anything found during a search under section 157Y.(2)As soon as practicable after carrying out the search, the person who carried out the search must make a written record of the following details of the search—(a)the reasons for the search;(b)the names of the persons present during the search;(c)how the search was carried out;(d)details of anything seized, including the reasons for seizing.s 157ZC ins 2016 No. 5 s 921
(1)A person authorised under section 157Y to carry out a search (the searcher) may seize anything found during the search that the searcher reasonably suspects is—(a)connected with, or is evidence of, the commission or intended commission of an offence against an Act; or(b)a harmful thing.(2)If the searcher believes a seized thing is connected with, or is evidence of, the commission or intended commission of an offence against an Act, the searcher must give it to an authorised inspector for the Act.(3)The seizure provisions of the Act mentioned in subsection (2) apply to the thing as if the searcher had seized it under the provisions of the Act that relate to the offence.(4)If the authorised inspector is not reasonably satisfied the thing is evidence of the commission or intended commission of an offence against the Act, the authorised inspector must return it to the searcher who must deal with it under this section.(5)If the searcher believes a thing seized from a person, or a thing returned under subsection (4), is a harmful thing, the searcher must—(a)keep it for the person and give it to the person on the person’s discharge from the public sector health service facility; or(b)give it to someone else if the person is able to give, and has given, agreement to do so; or(c)if the searcher is satisfied someone else is entitled to possession of the thing—give or send it to the person; or(d)if the searcher is satisfied it is of negligible value—dispose of it in the way the person in charge of the public sector health service facility believes appropriate.(6)Regard must be had to a thing’s nature, condition and value in deciding—(a)whether it is reasonable to make inquiries or efforts; and(b)if making inquiries or efforts—what inquiries or efforts, including the period over which they are made, are reasonable.(7)In this section—authorised inspector, for an Act, means a person who is authorised under the Act to perform inspection and enforcement functions.seizure provisions, of an Act, means the provisions of the Act relating to the access to, and retention, disposal and forfeiture of, a thing after its seizure under the Act.s 157ZD ins 2016 No. 5 s 921 (amd 2017 No. 3 s 52 (39)–(40))
(1)A person authorised under section 157Y to carry out a search must give a receipt for a thing seized to the person from whom it was seized.(2)The receipt must describe generally the thing seized and its condition.s 157ZE ins 2016 No. 5 s 921
(1)This section applies to a thing seized on a search under section 157Y.(2)Until the thing is forfeited or returned under this part, the searcher must allow its owner to inspect it and, if it is a document, to copy it.(3)Subsection (1) does not apply if it is impracticable or would be unreasonable to allow the inspection or copying.s 157ZF ins 2016 No. 5 s 921
ch 4A pt 7 hdg ins 2016 No. 5 s 921
157ZGRelationship with Guardianship and Administration Act 2000
This chapter does not affect the operation of the Guardianship and Administration Act 2000, section 63 in relation to providing urgent health care under that Act to a person.
In this chapter—approved provider means—(a)for education and care provided under the Education and Care Service National Law (Queensland)—see the Education and Care Services National Law (Queensland), section 5(1); or(b)for regulated education and care provided under the Education and Care Services Act 2013—see the Education and Care Services Act 2013, schedule 1.s 158 def approved provider ins 2011 No. 38 s 84 (1)
sub 2013 No. 44 s 269 sch 1 pt 2
Australian Immunisation Handbook, for part 2, division 1AA, see section 160As 158 def Australian Immunisation Handbook ins 2015 No. 24 s 4 (1)
care and treatment order means an order by a designated medical officer under section 197.carer ...s 158 def carer om 2013 No. 44 s 269 sch 1 pt 2
centre based service ...s 158 def centre based service om 2013 No. 44 s 269 sch 1 pt 2
chief executive (child safety) means the chief executive of the department in which the Child Protection Act 1999 is administered.child care service ...s 158 def child care service om 2013 No. 44 s 269 sch 1 pt 2
contagious condition means a contagious medical condition prescribed under a regulation as a contagious condition.designated medical officer means a doctor appointed as, or who is, a designated medical officer under section 188.education and care service means an approved education and care service under the Education and Care Services National Law (Queensland).s 158 def education and care service ins 2011 No. 38 s 84 (1)
educator—(a)for education and care provided under the Education and Care Services National Law (Queensland)—means an educator under that Law; or(b)for regulated education and care provided under the Education and Care Services Act 2013—means an educator under that Act.s 158 def educator ins 2011 No. 38 s 84 (1)
sub 2013 No. 44 s 269 sch 1 pt 2
family day care co-ordinator see the Education and Care Services National Law (Queensland), section 5(1).s 158 def family day care co-ordinator ins 2011 No. 38 s 84 (1)
family day care service means an approved family day care service under the Education and Care Services National Law (Queensland).s 158 def family day care service ins 2011 No. 38 s 84 (1)
harm, to a child, means any detrimental effect on the child’s physical, psychological or emotional wellbeing—(a)that is of a significant nature; and(b)that has been caused by—(i)physical, psychological or emotional abuse or neglect; or(ii)sexual abuse or exploitation.health service facility means—(a)a public sector health service facility within the meaning of the Hospital and Health Boards Act 2011; or(b)a private health facility; or(c)Mater Misericordiae Public Hospitals.s 158 def health service facility amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
home based service ...s 158 def home based service om 2013 No. 44 s 269 sch 1 pt 2
immunisation history statement, for part 2, division 1AA, see section 160A.s 158 def immunisation history statement ins 2015 No. 24 s 4 (1)
immunisation status “up to date”, for part 2, division 1AA, see section 160A.s 158 def immunisation status “up to date” ins 2015 No. 24 s 4 (1)
licensee ...s 158 def licensee om 2013 No. 44 s 269 sch 1 pt 2
parent, of a child, see section 159.person in charge—(a)for a school, means the principal of the school; or(b)for an education and care service, means—(i)for an education and care service other than a family day care service—an individual mentioned in the Education and Care Services National Law (Queensland), section 162(1)(a) to (c) who, in accordance with that section, is present at the service; or(ii)for a family day care service—the family day care co-ordinator for the service; or(c)for a QEC approved service, means—(i)the approved provider; or(ii)a supervisor who is present at the service.s 158 def person in charge amd 2011 No. 38 s 84 (2)–(3); 2013 No. 44 s 269 sch 1 pt 2
prescribed period, for a contagious condition, see section 160.professional, for part 3, means a doctor or registered nurse.QEC approved service see the Education and Care Services Act 2013, schedule 1.s 158 def QEC approved service ins 2013 No. 44 s 269 sch 1 pt 2
recognised immunisation provider ...s 158 def recognised immunisation provider ins 2015 No. 24 s 4 (1)
om 2016 No. 50 s 34 (1)
recognised vaccination provider, for part 2, division 1AA, see section 160A.s 158 def recognised vaccination provider ins 2016 No. 50 s 34 (2)
registered nurse ...s 158 def registered nurse sub 2010 No. 14 s 124 sch
om 2016 No. 8 s 23
school means a State school or non-State school within the meaning of the Education (General Provisions) Act 2006.s 158 def school sub 2006 No. 39 s 512 (1) sch 1
amd 2006 No. 39 s 512 (2) sch 2
teacher means an approved teacher under the Education (Queensland College of Teachers) Act 2005, but does not include the principal of a school.s 158 def teacher amd 2006 No. 25 s 241 (2) sch 4
vaccinated, in relation to a vaccine preventable condition, means vaccinated in the way prescribed under a regulation.vaccine preventable condition means a contagious condition, or another medical condition, that is prescribed under a regulation as a vaccine preventable condition.s 158 def vaccine preventable condition amd 2015 No. 24 s 4 (2)
(1)For part 2, a parent of a child is—(a)the child’s mother, father or someone else having or exercising parental responsibility for the child; or(b)for a child who is in the custody or guardianship of the chief executive (child safety) under the Child Protection Act 1999, the chief executive (child safety).(2)For part 3, a parent of a child is the child’s mother, father or someone else, other than the chief executive (child safety), having or exercising parental responsibility for the child.(3)In this chapter generally, the following apply—(a)a parent of an Aboriginal child includes a person who, under Aboriginal tradition, is regarded as a parent of the child;(b)a parent of a Torres Strait Islander child includes a person who, under Island custom, is regarded as a parent of the child;(c)a reference in this part to the parents of a child or to 1 of the parents of a child is, if the child has only 1 parent, a reference to the parent.
160What is a prescribed period for a contagious condition
(1)A prescribed period, for a contagious condition, means the period prescribed under subsection (2) or (3) as the prescribed period relating to the condition.(2)For a contagious condition that is not a vaccine preventable condition, a single prescribed period may be prescribed under a regulation for a child suspected under this chapter of having the condition.(3)For a vaccine preventable condition, different prescribed periods may be prescribed under a regulation for the following—(a)a child suspected under this chapter of having the condition;(b)a child who does not have the condition but who is suspected under this chapter of—(i)not having been vaccinated for the condition; and(ii)being at risk of contracting the condition if the child continues to attend a school, education and care service or QEC approved service.s 160 amd 2011 No. 41 s 52; 2013 No. 44 s 269 sch 1 pt 2
ch 5 pt 2 div 1AA hdg ins 2015 No. 24 s 5
160ADefinitions for div 1AA
In this division—Australian Immunisation Handbook means the Australian Immunisation Handbook approved as guidelines under the National Health and Medical Research Council Act 1992 (Cwlth), section 14A.immunisation history statement means—(a)an immunisation history statement as recorded on the ACI register as defined under the Australian Immunisation Register Act 2015 (Cwlth), section 4; or(b)a statement about a child’s immunisation history given by a recognised vaccination provider.s 160A def immunisation history statement amd 2016 No. 50 s 35 (3)–(4)
immunisation status “up to date”, for a child, means the child, for each vaccine preventable condition—(a)is age appropriately immunised for the condition in accordance with the recommendations stated in the Australian Immunisation Handbook; or(b)is following an approved immunisation catch-up schedule for the condition developed by a recognised vaccination provider in accordance with the Australian Immunisation Handbook; or(c)has an exemption for a vaccine for the condition given by a recognised vaccination provider because of a medical contraindication to vaccination.s 160A def immunisation status “up to date” amd 2016 No. 50 s 35 (5)
recognised immunisation provider ...s 160A def recognised immunisation provider ins 2015 No. 24 s 4 (1)
om 2016 No. 50 s 35 (1)
recognised vaccination provider, see the Australian Immunisation Register Act 2015 (Cwlth), section 4.s 160A def recognised vaccination provider ins 2016 No. 50 s 35 (2)
s 160A ins 2015 No. 24 s 5
160BWhen person in charge may exclude child not yet enrolled
(1)A person in charge of an education and care service or QEC approved service may in the circumstances mentioned in subsection (2) do any of the following—(a)refuse to enrol a child at the service;(b)refuse to allow a child to attend the service until an immunisation history statement stating that the child has the immunisation status “up to date” is given to a person in charge of the service;(c)impose a condition on a child’s enrolment or attendance at the service until an immunisation history statement stating that the child has the immunisation status “up to date” is given to a person in charge of the service.(2)The circumstances are—(a)a person in charge of the service requests a parent intending to enrol the child at the service to give to the person in charge, within a reasonable period after the request is made, an immunisation history statement stating that the child has the immunisation status “up to date”; and(b)on making the request, the person in charge advises the parent that the person in charge may take any of the actions mentioned in subsection (1) if the parent does not comply with the request; and(c)a parent of the child either—(i)refuses to comply with the request; or(ii)does not comply with the request within a reasonable period after the request is made.(3)A request under subsection (2)(a) may be made in a form given to the parent for the purpose of applying to enrol the child at the service.(4)A condition imposed under subsection (1)(c)—(a)must be relevant to the immunisation status of the child; and(b)may be a condition that the child’s enrolment at the service will be cancelled if a parent of the child does not give a person in charge of the service an immunisation history statement stating that the child has the immunisation status “up to date”.s 160B ins 2015 No. 24 s 5
160CWhen person in charge may exclude enrolled child
(1)A person in charge of an education and care service or QEC approved service may in the circumstances mentioned in subsection (2) do any of the following—(a)cancel a child’s enrolment at the service;(b)refuse to allow a child enrolled at the service to attend the service until an immunisation history statement stating that the child has the immunisation status “up to date” is given to a person in charge of the service;(c)impose a condition on a child’s enrolment or attendance at the service until an immunisation history statement stating that the child has the immunisation status “up to date” is given to a person in charge of the service.(2)The circumstances are—(a)a person in charge of the service requests a parent of the child to give to the person in charge, within a stated period of at least 4 weeks after the request is made, an immunisation history statement stating that the child has the immunisation status “up to date”; and(b)the request is made after the child has reached the age stated in the National Immunisation Program Schedule Queensland, for a vaccine preventable condition, at which it is recommended the child be immunised or further immunised against the condition; and(c)on making the request, the person in charge advises the parent that the person in charge may take any of the actions mentioned in subsection (1) if the parent does not comply with the request; and(d)a parent of the child does not comply with the request within the stated period for the request.(3)A condition imposed under subsection (1)(c) must be relevant to the immunisation status of the child.(4)In this section—National Immunisation Program Schedule Queensland means the schedule for age appropriate immunisation for vaccine preventable conditions recommended by the department and published on the department’s website.s 160C ins 2015 No. 24 s 5
160DImmunisation status of children allowed to attend without statement
(1)This section applies if a person in charge of an education and care service or QEC approved service decides—(a)to enrol a child despite not being given, under section 160B, an immunisation history statement stating that the child has the immunisation status “up to date”; or(b)to allow a child to attend the service despite not being given, under section 160B or 160C, an immunisation history statement stating that the child has the immunisation status “up to date”.(2)For each provision of this part, until the day on which an immunisation history statement stating that the child has the immunisation status “up to date” is given to a person in charge of the service, the child is taken not to be vaccinated.s 160D ins 2015 No. 24 s 5
Division 1 Directions about attendance of children at a school, education and care service or QEC approved service
ch 5 pt 2 div 1 hdg amd 2011 No. 38 s 85; 2013 No. 44 s 269 sch 1 pt 2
161When parent must not send a child to school, education and care service or QEC approved service
(1)This section applies if—(a)a parent knows or ought reasonably to know that the parent’s child has, or may have, a contagious condition; or(b)a person in charge of a school, education and care service or QEC approved service has directed the parent to remove the child from, and not to send the child to, the school or service during the prescribed period for the condition, under section 164, 166 or 169.(2)The parent must not send the child to any school, education and care service or QEC approved service during the prescribed period for the condition.s 161 amd 2011 No. 38 s 86; 2011 No. 41 s 53; 2013 No. 44 s 269 sch 1 pt 2
162When teacher or educator must advise person in charge
(1)This section applies if a person who is a teacher or educator reasonably suspects a child attending the person’s school, education and care service or QEC approved service has, or may have, a contagious condition.(2)The person must advise the person in charge about the person’s suspicion.s 162 sub 2011 No. 38 s 87
amd 2011 No. 41 s 54; 2013 No. 44 s 269 sch 1 pt 2
163Person in charge may advise parent about suspicion of contagious condition
(1)This section applies if a person in charge of a school, education and care service or QEC approved service reasonably suspects—(a)that a child attending the school or service has, or may have, a contagious condition; and(b)that other children attending the school or service may be at risk of contracting the contagious condition.(2)The person in charge may advise at least 1 of the child’s parents—(a)of the suspicion of the person in charge; and(b)of the parent’s obligation under section 161(1)(a) and (2) not to send the child to the school, education and care service or QEC approved service.s 163 amd 2011 No. 38 s 88; 2011 No. 41 s 55; 2013 No. 44 s 269 sch 1 pt 2
164Person in charge may direct parent not to send child to school, education and care service or QEC approved service
(1)This section applies if—(a)a person in charge of a school, education and care service or QEC approved service has advised a parent under section 163(2) about the parent’s child; and(b)the child continues to attend the school or service or the parent tells the person in charge that the parent’s child will continue to attend the school or service; and(c)the person in charge reasonably suspects that the child still has, or may have, the contagious condition and that other children attending the school or service may be at risk of contracting the condition if the child continues to attend the school or service.(2)The person in charge may direct the parent—(a)to remove the child from the school, education and care service or QEC approved service as soon as reasonably practicable; and(b)not to send the child to the school or service during the prescribed period for the condition applying to the child.(3)However, the person in charge must consult a doctor or another person authorised by the chief executive for advice before taking action under subsection (2).s 164 amd 2011 No. 38 s 89; 2011 No. 41 s 56; 2013 No. 44 s 269 sch 1 pt 2
165Person in charge may advise parent of child not vaccinated about suspicion of vaccine preventable condition
(1)This section applies if the person in charge of a school, education and care service or QEC approved service reasonably suspects that a child attending the school or service—(a)has not been vaccinated for a vaccine preventable condition; and(b)may be at risk of contracting the condition if the child continues to attend the school or service.(2)The person in charge may advise at least 1 of the child’s parents of the suspicion.s 165 amd 2011 No. 38 s 90; 2011 No. 41 s 57; 2013 No. 44 s 269 sch 1 pt 2
166Person in charge may direct parent not to send child to school, education and care service or QEC approved service
(1)This section applies if—(a)a person in charge of a school, education and care service or QEC approved service has advised a parent under section 165(2) about the parent’s child; and(b)the child continues to attend the school or service or the parent tells the person in charge that the parent’s child will continue to attend the school or service; and(c)the person in charge reasonably suspects that the child will be at risk of contracting the contagious condition if the child continues to attend the school or service.(2)The person in charge may direct the parent—(a)to remove the child from the school, education and care service or QEC approved service as soon as reasonably practicable; and(b)not to send the child to the school or service during the prescribed period for the condition applying to the child.(3)However, the person in charge must consult a doctor or another person authorised by the chief executive for advice before taking action under subsection (2).s 166 amd 2011 No. 38 s 91; 2013 No. 44 s 269 sch 1 pt 2
167Chief executive may authorise examination of children at school, education and care service or QEC approved service
(1)This section applies if the chief executive—(a)reasonably suspects that some or all of the children attending a school, education and care service or QEC approved service should be examined by a doctor because a child attending the school or service has, or may have, a contagious condition; and(b)has consulted the person in charge of the school or service about the examinations.(2)The chief executive may arrange for a doctor to examine some or all of the children attending the school or service to decide whether the children have, or may have, the condition.(3)Before the examinations take place the chief executive must give the person in charge of the school or service notice of the following—(a)the date and time of the examinations;(b)the contagious condition for which examinations are to be conducted;(c)the children, or class of children, to be examined;(d)the name and contact details of the doctor who is to conduct the examinations.(4)However, a child must not be examined without the consent of a parent of the child.s 167 amd 2011 No. 38 s 92; 2011 No. 41 s 58; 2013 No. 44 s 269 sch 1 pt 2
168Chief executive must advise parent about examination
If a child is to be examined under section 167, the chief executive must advise at least 1 of the child’s parents of the following—(a)the date and time of the examination;(b)the contagious condition for which the examination is to be conducted;(c)the name and contact details of the doctor who is to conduct the examination;(d)that the child’s parents may be present when the child is examined;(e)that the examination may not be conducted without the consent of the parent;(f)that the parent may, on or before the date of the examination—(i)have the child examined by another doctor to decide whether the child has, or may have, the condition; and(ii)give the person in charge a certificate by the other doctor stating whether or not the child has or may have the condition and, if the child has or may have the condition, whether the prescribed period for the condition has ended;(g)that the parent may be directed to remove the child from, and not to send the child to, the school or service if—(i)the child has not been examined—(A)by the doctor arranged by the chief executive; or(B)by another doctor chosen by the parent and a certificate provided under paragraph (f); or(ii)an examination reveals the child has, or may have, the condition.
169Chief executive may direct person in charge in relation to child
(1)This section applies if—(a)a doctor who examines a child under section 167 attending a school, education and care service or QEC approved service advises the chief executive that—(i)the child has, or may have, a contagious condition; and(ii)the prescribed period for the condition has not ended; or(b)a parent of a child has been advised under section 168 but the child has not been examined—(i)by the doctor arranged by the chief executive; or(ii)by another doctor chosen by the parent and a certificate provided by that doctor stating that the child does not have the contagious condition or the prescribed period for the condition has ended; or(c)the chief executive reasonably suspects that a child attending a school, education and care service or QEC approved service has, or may have, a contagious condition and the prescribed period for the condition has not ended; or(d)the chief executive reasonably suspects that a child attending a school, education and care service or QEC approved service—(i)has not been vaccinated for a vaccine preventable condition; and(ii)will be at risk of contracting the condition if the child continues to attend the school or service.(2)The chief executive may direct the person in charge of the school, education and care service or QEC approved service to direct the parent of the child to remove the child from, and not to send the child to, the school or service for the prescribed period for the condition.(3)If directed by the chief executive under subsection (2), the person in charge of the school, education and care service or QEC approved service must comply with the direction, unless the person in charge has a reasonable excuse.Maximum penalty—50 penalty units.
(4)A direction by the chief executive under subsection (2)—(a)must be given in writing, if practicable; and(b)must include the information mentioned in section 170(2).(5)If it is not practicable to give the direction in writing, the chief executive may give the direction orally but must confirm it in writing as soon as practicable thereafter.s 169 amd 2011 No. 38 s 93; 2011 No. 41 s 59; 2013 No. 44 s 269 sch 1 pt 2
170Person in charge must include information in direction
(1)This section applies if a person in charge of a school, education and care service or QEC approved service—(a)decides to direct a parent under section 164 or 166; or(b)must direct a parent because of a direction by the chief executive under section 169.(2)The person in charge must include the following information in the direction—(a)the suspected contagious condition that led to the direction;(b)the prescribed period for the condition;(c)the circumstances in which the child concerned may be readmitted to the school or service.s 170 amd 2011 No. 38 s 94; 2013 No. 44 s 269 sch 1 pt 2
171When person in charge may readmit child before prescribed period ends
(1)Subsection (2) applies if a child is not attending a school, education and care service or QEC approved service because of a direction by the person in charge under section 164 or 166.(2)The person in charge of the school, education and care service or QEC approved service may readmit the child to the school or service if—(a)for a child mentioned in section 164, a certificate signed by a doctor is produced to the person in charge stating—(i)that the child does not have the condition; or(ii)that the prescribed period for the condition has ended; or(b)for a child mentioned in section 166, the person in charge is satisfied on reasonable grounds that the child no longer continues to be at risk of contracting the contagious condition.(3)Subsection (4) applies if a child is not attending a school, education and care service or QEC approved service because of a direction by the person in charge after a direction of the chief executive under section 169.(4)The person in charge of the school or service may readmit the child only if directed to do so by the chief executive.(5)The chief executive may give the direction if—(a)for a child suspected of having a contagious condition, the chief executive is satisfied a certificate signed by a doctor has been given to the person in charge stating—(i)that the child does not have the condition; or(ii)that the prescribed period for the condition has ended; or(b)for a child mentioned in section 169(2)(b), the chief executive is satisfied on reasonable grounds that the child no longer continues to be at risk of contracting the contagious condition.s 171 amd 2011 No. 38 s 95; 2013 No. 44 s 269 sch 1 pt 2
172Chief executive may require details if child suspected of having a contagious condition
(1)This section applies if the chief executive reasonably suspects—(a)that a child (the first child) attending a school, education and care service or QEC approved service has, or may have, a contagious condition; and(b)that other children attending the school or service may be at risk of contracting the contagious condition.(2)The chief executive may require a person in charge of the school, education and care service or QEC approved service to give the chief executive, to the extent it is available to the person in charge—(a)information about the contact the first child has had with other children attending the school or service; and(b)the following information for the first child and each other child with whom the first child has had contact—(i)the child’s full name;(ii)the child’s place and date of birth;(iii)the child’s residential address;(iv)contact details for at least 1 of the child’s parents;(v)if the contagious condition is a vaccine preventable condition, whether the child has been vaccinated for the condition.(3)The person in charge of a school, education and care service or QEC approved service must comply with a requirement of the chief executive under subsection (2).Maximum penalty—50 penalty units.
(4)This section applies despite any other provision of this Act or any provision of another law that deals with confidentiality, including, for example, the Education and Care Services Act 2013, section 130 and the Education (General Provisions) Act 2006, section 426.s 172 amd 2006 No. 39 s 512 (1) sch 1; 2011 No. 38 s 96; 2011 No. 41 s 60; 2013 No. 44 s 269 sch 1 pt 2
173Giving health information held by a health agency
(1)Subsection (2) applies if the chief executive, a person in charge of a school, education and care service or QEC approved service, or another person involved in the administration of this part asks for health information held by a health agency to be provided to the chief executive, person in charge or other person.(2)A person asked to provide health information held by a health agency under subsection (1) may give the information if the giving of the information is necessary for the administration of this part.(3)Subsection (4) applies if a person in charge of a school, education and care service or QEC approved service asks for information held by a health agency about whether a child attending a school, education and care service or QEC approved service has been vaccinated for a vaccine preventable condition.(4)The chief executive must provide the information to the person in charge if the chief executive is satisfied that—(a)a child attending the school or service is suspected of being at risk of contracting the vaccine preventable condition if the child continues to attend the school or service; and(b)the information about the child is necessary to enable the person in charge to act under section 165 or 166.(5)This section applies despite any other provision of this Act or any provision of another law that deals with confidentiality, including, for example, the Hospital and Health Boards Act 2011, section 142.s 173 amd 2011 No. 38 s 97; 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47); 2011 No. 41 s 61; 2013 No. 44 s 269 sch 1 pt 2
174Definitions for div 3
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part.information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration or enforcement of this part, including, for example, a health service employee or a public service employee.
175Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142, does not apply to a relevant person in relation to confidential information.s 175 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
176Disclosure under an Act or another law
Section 175(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.
177Disclosure under Act or with written consent etc.
Section 175(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)if the information relates to a person who is an adult, with the written consent of the person; or(c)if the information relates to a person who is a child, with the written consent of a parent of the child; or(d)to the person to whom the information relates, if the person is an adult; or(e)to a parent of a child to whom the information relates; or(f)in a form that could not identify any person.
178Disclosure to a person to help prevent or minimise transmission of a contagious condition
Section 175(1) does not apply if the disclosure of the confidential information by a relevant person is to a person to enable the person to help prevent or minimise the transmission of a contagious condition.
179Protection for persons acting under pt 2
(1)This section applies if a person, acting honestly, gives information or does something else under this part including, for example, directing a parent to remove a child from a school, education and care service or QEC approved service.(1A)This section also applies if a person in charge of an education and care service or QEC approved service, acting honestly, does either of the following things—(a)exercises a power under section 160B or 160C;(b)decides to enrol a child at, or allow a child to attend, the service in the circumstances mentioned in section 160D(1).(2)The person is not liable, civilly, criminally or under an administrative process, for doing the thing.(3)Without limiting subsection (2), if the thing involves giving information—(a)in a proceeding for defamation the person has a defence of absolute privilege for publishing the information; and(b)if the person would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice, the person—(i)does not contravene the Act, oath, rule of law or practice by giving the information; and(ii)is not liable to disciplinary action for giving the information.(4)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.(5)This section does not limit sections 175 to 178.s 179 amd 2011 No. 38 s 98; 2013 No. 44 s 269 sch 1 pt 2; 2015 No. 24 s 6
180Directions to person in charge of school, education and care service or QEC approved service
(1)The chief executive may give a direction under subsection (3) to the person in charge of a school, education and care service or QEC approved service if the chief executive is satisfied there is an outbreak of a contagious condition—(a)at the school or service; or(b)in the community and there is a risk of children and staff at the school or service contracting the condition.(2)However, the chief executive must not give a direction without first consulting with the person in charge of the school or service and with—(a)for a direction to be given to the person in charge of a school—the chief executive of the department that administers the Education (General Provisions) Act 2006 and the Education (Accreditation of Non-State Schools) Act 2017; or(b)for a direction to be given to the person in charge of an education and care service—the chief executive of the department that administers the Education and Care Services National Law (Queensland); or(c)for a direction to be given to the person in charge of a QEC approved service—the chief executive of the department that administers the Education and Care Services Act 2013.(3)A direction must be in writing and state ways of minimising the risk of contracting the contagious condition by children and staff at the school or service including, for example, by—(a)preventing the sharing of eating utensils, drinking cups, bed linen and clothing; or(b)requiring that eating utensils, drinking cups, bed linen, toys or other equipment be disinfected; or(c)requiring that stated procedures for cleaning and disinfecting be followed; or(d)requiring the person in charge to give information to staff, children or parents about the contagious condition including about the way it may be treated and measures to prevent its spread.(4)The person in charge of the school or service must comply with a direction by the chief executive.Maximum penalty for subsection (4)—50 penalty units.
s 180 amd 2006 No. 39 s 512 (1) sch 1; 2011 No. 38 s 99; 2011 No. 41 s 62; 2013 No. 44 s 269 sch 1 pt 2; 2017 No. 24 s 251
181Temporary closure of school, education and care service or QEC approved service
(1)The Minister may, by notice given to the person in charge of a school, education and care service or QEC approved service, order the closure of the school or service for a period of not more than 1 month if the Minister is satisfied—(a)there is an outbreak of a contagious condition—(i)at the school or service; or(ii)in the community and there is a significant risk of children and staff at the school or service contracting the condition; and(b)methods of controlling the outbreak will not be effective without the temporary closure of the school or service.(2)However, the Minister must not close a school or service without first consulting—(a)if the closure relates to a school—the Minister who administers the Education (General Provisions) Act 2006 and the Education (Accreditation of Non-State Schools) Act 2017; or(b)if the closure relates to an education and care service—the Minister who administers the Education and Care Services National Law (Queensland); or(c)if the closure relates to a QEC approved service—the Minister who administers the Education and Care Services Act 2013.(3)The person in charge of the school or service must comply with the Minister’s order.Maximum penalty for subsection (3)—100 penalty units.
s 181 amd 2006 No. 39 s 512 (1) sch 1; 2011 No. 38 s 100; 2011 No. 41 s 63; 2013 No. 44 s 269 sch 1 pt 2; 2017 No. 24 s 252
ch 5 pt 2 div 5 hdg sub 2009 No. 24 s 1226
amd 2013 No. 44 s 269 sch 1 pt 2
182Review of Minister’s order to close school, education and care service or QEC approved service
A person ordered by the Minister to close a school, education and care service or QEC approved service may apply, as provided under the QCAT Act, to QCAT for a review of the order.s 182 sub 2009 No. 24 s 1226
amd 2011 No. 38 s 101; 2013 No. 44 s 269 sch 1 pt 2
s 183 om 2009 No. 24 s 1226
ch 5 pt 2 div 6 hdg amd 2011 No. 38 s 102; 2013 No. 44 s 269 sch 1 pt 2
s 184 om 2013 No. 44 s 269 sch 1 pt 2
184AApproved provider must ensure person in charge complies with pt 2
(1)An approved provider of an education and care service or QEC approved service must ensure that the person in charge of the service complies with this part.(2)If a person in charge of the education and care service or QEC approved service commits an offence against a provision of this part, the approved provider also commits an offence, namely, the offence of failing to ensure that the person in charge complies with the provision.Maximum penalty—
(a)if the approved provider is an individual—the penalty for the contravention of the provision by the person in charge; or(b)if the approved provider is a corporation—a penalty equal to 5 times the amount of the penalty under paragraph (a).(3)Evidence that the person in charge has been convicted of an offence against a provision of this part is evidence that the approved provider committed the offence of failing to ensure that the person in charge complies with the provision.(4)However, it is a defence for a approved provider to prove the approved provider exercised reasonable diligence to ensure the person in charge complied with the provision.s 184A ins 2011 No. 38 s 103
amd 2013 No. 44 s 269 sch 1 pt 2
Division 1 Principles under which part 3 to be administered
185Guiding principles for pt 3
(1)This part is to be administered under the principle that the welfare and best interests of a child are paramount.(2)Subject to subsection (1), this part is to be administered under the following principles—(a)every child has a right to protection from harm;(b)families have the primary responsibility for the physical, psychological and emotional wellbeing of their children;(c)the preferred way of ensuring a child’s wellbeing is through the support of the child’s family;(d)powers conferred under this part should be exercised in a way that is open, fair and respects the rights of people affected by their exercise, and, in particular, in a way that ensures—(i)the views of a child and the child’s family are considered; and(ii)a child and the child’s parents have the opportunity to take part in making decisions affecting the wellbeing of the child;(e)a child should be kept informed of matters affecting him or her in a way and to an extent that is appropriate, having regard to the child’s age and ability to understand.
Division 2 Relationship with Child Protection Act 1999
186Relationship with Child Protection Act 1999
(1)If there is in force, for a child, both an order under the Child Protection Act 1999 and a care and treatment order or an extension of the care and treatment order, the order under the Child Protection Act 1999 prevails to the extent of any inconsistency.(2)The Child Protection Act 1999 imposes an obligation on professionals about reporting suspected child harm caused by physical or sexual abuse and includes related provisions about protection from liability for giving information and protecting the identity of persons notifying harm.See the Child Protection Act 1999, chapter 2, part 1AA, division 2 and sections 186 and 197A.s 186 amd 2014 No. 28 s 102
187Person in charge of facility has custody of child held at facility
(1)This section applies if a child—(a)is held at a health service facility under this part; or(b)is being transferred from one health service facility to another under this part.(2)The person in charge of the health service facility at which the child is held has custody of the child and has—(a)the right to have the child’s daily care; and(b)the right and responsibility to make decisions about the child’s daily care.(3)Subsection (4) applies to a child being transferred from one health service facility (the first facility) to another health service facility (the second facility) under this part.(4)The child is taken to be held at the first facility until the child is accepted by the second facility after which the child is taken to be held at the second facility.
(1)The person in charge of a health service facility may, by written instrument, appoint a doctor to be a designated medical officer.(2)However, a doctor may be appointed as a designated medical officer only if, in the opinion of the person in charge of the health service facility, the doctor has the necessary expertise or experience to be a designated medical officer.
189When person in charge taken to be a designated medical officer
If the person in charge of a health service facility is a doctor, the person is taken to be a designated medical officer while the person is in charge of the facility.
(1)A designated medical officer has the powers given under this part.(2)Subsection (1) has effect subject to any limitation stated in the designated medical officer’s instrument of appointment.
ch 5 pt 3 div 5 hdg om 2014 No. 28 s 103
s 191 om 2014 No. 28 s 103
s 192 om 2014 No. 28 s 103
s 193 om 2014 No. 28 s 103
s 194 om 2014 No. 28 s 103
s 195 om 2014 No. 28 s 103
s 196 amd 2010 No. 5 s 248 sch 3
om 2014 No. 28 s 103
197Designated medical officer may make care and treatment order for child
(1)This section applies if a designated medical officer becomes aware, or reasonably suspects, that a child at a health service facility—(a)has been harmed or is at risk of harm; and(b)is likely to leave or be taken from the facility and suffer harm if the designated medical officer does not take immediate action.(2)The designated medical officer may order that the child be held at the facility (a care and treatment order).(3)The designated medical officer must immediately make a written record of the care and treatment order that includes the following—(a)details of the child’s condition;(b)the reasons for the order;(c)the name of the facility where the child is held;(d)the time that is 48 hours from the time the order is made.(4)The designated medical officer must explain to the child in general terms the purpose and effect of the order.See also section 460(5) (Compliance with provisions about explaining and giving documents).
198Designated medical officer must notify person in charge of facility where child held
(1)This section applies if a designated medical officer has ordered that a child be held at a health service facility.(2)The designated medical officer must give the person in charge of the facility notice of the order as soon as practicable after the child is held.(3)Subsection (2) does not apply if the designated medical officer and the person in charge are the same person.(4)The notice must include the following—(a)details of the harm or risk of harm of which the designated medical officer is aware or suspected by the designated medical officer;(b)the time that is 48 hours from the time the order is made when the order ends;(c)the name, address and telephone number of the designated medical officer; and(ca)if a professional has given a report under the Child Protection Act 1999, chapter 2, part 1AA, division 2—the name, address and telephone number of the professional, to the extent the designated medical officer has those details; and(d)to the extent it can reasonably be obtained—(i)the child’s name, date of birth and residential address or another address at which the child may live; and(ii)the name and residential address of the parents of the child or another address at which the parents may be contacted.s 198 amd 2014 No. 28 s 104
199Designated medical officer must advise chief executive (child safety)
(1)This section applies if a designated medical officer has ordered that a child be held at a health service facility.(2)The designated medical officer must give the chief executive (child safety) notice of the order as soon as practicable after the order is made.(3)The notice must include the same information as that required for the notice under section 198(4).
200Designated medical officer must advise parents of child held
(1)As soon as practicable after making a care and treatment order for a child, the designated medical officer must—(a)tell at least 1 of the child’s parents about the order including the matters contained in the written record of the order; and(b)tell the parent that it is an offence to remove the child from the health service facility while the order is in force; and(c)if asked by the parent, give the parent a copy of the written record of the order; and(d)tell the parent that the parent may choose to have the child examined by a doctor chosen by the parent.(2)However, the designated medical officer need not comply with subsection (1) if the officer reasonably believes—(a)someone may be charged with a criminal offence for harm to the child and the officer’s compliance with the subsection may jeopardise an investigation into the offence; or(b)compliance with the subsection may expose the child to harm.
201Designated medical officer may extend care and treatment order
(1)This section applies if a designated medical officer considers that a care and treatment order for a child should be extended.(2)The designated medical officer may extend the order within 48 hours after the order was first made to a time that is not more than 96 hours after the order was first made.(3)The designated medical officer may not extend the order unless the designated medical officer consults with another designated medical officer and the other designated medical officer agrees that the order should be extended.(4)The designated medical officer extending the order must make a written record of the extension of the care and treatment order that includes the following—(a)the designated medical officer’s name, address and telephone number;(b)the reasons for the extension of the order;(c)the name, address and telephone number of the designated medical officer consulted by the designated medical officer extending the order;(d)a statement that the designated medical officer consulted agreed that the order should be extended;(e)the time to which the order is extended.(5)To remove any doubt, it is declared that the designated medical officer who extends the order need not be the designated medical officer who gave the order.
202Designated medical officer must notify person in charge of facility about extension of order
(1)This section applies if a care and treatment order for a child has been extended.(2)The designated medical officer extending the order must advise the person in charge of the health service facility at which the child is held about the extension of the order and must include the information mentioned in section 201(4).(3)Subsection (2) does not apply if the designated medical officer and the person in charge are the same person.
203Designated medical officer must advise chief executive (child safety) about extension of order
(1)This section applies if a care and treatment order for a child has been extended.(2)The designated medical officer extending the order must advise the chief executive (child safety) about the extension of the order and must include the information mentioned in section 201(4).
204Designated medical officer must advise child’s parents about extension of order
(1)This section applies if a care and treatment order for a child has been extended by a designated medical officer.(2)The designated medical officer extending the order must—(a)advise the child’s parents about the extension of the order including the following—(i)the reasons for the extension;(ii)the time when the order ends; and(b)if asked by the parent, give the parent a copy of the reasons for the extension of the order.(3)However, the designated medical officer need not comply with subsection (2) if the officer reasonably believes—(a)someone may be charged with a criminal offence for harm to the child and the officer’s compliance with the subsection may jeopardise an investigation into the offence; or(b)compliance with the subsection may expose the child to harm.
205Enforcement of care and treatment order
(1)A designated medical officer may use the help and force that is reasonable in the circumstances to hold a child at a health service facility, or transfer a child to another health service facility under section 211.(2)A person authorised by a designated medical officer may help the designated medical officer to hold or transfer the child.
(1)A care and treatment order starts when the order is made and ends 48 hours after it is made or, if the order is extended under section 201, the time to which it is extended.(2)However, a designated medical officer may release a child before an order ends if the designated medical officer is satisfied the reason for the order no longer exists.(3)If a designated medical officer releases a child, the officer must make a written record of the release that includes the following—(a)the reasons for the release;(b)the time of the release;(c)the person into whose care the child is released.
207Limit on the number of care and treatment orders
(1)This section applies if a care and treatment order has been made for a child because of harm, or a risk of harm, to the child.(2)A further care and treatment order may not be made for the child in relation to harm, or a risk of harm, arising from the same event or circumstances that gave rise to the care and treatment order mentioned in subsection (1).(3)Nothing in this section prevents a subsequent care and treatment order being made for a child for harm, or a risk of harm, that arises from an event or circumstances that happens after the end of an earlier care and treatment order.
Division 9 Chief executive (child safety) may require information about child held under care and treatment order
208Chief executive (child safety) may require information from designated medical officer
(1)This section applies if the chief executive (child safety) considers information is required about a child held under a care and treatment order.(2)The chief executive (child safety) may ask a designated medical officer, orally or in writing, for stated information about the child, within a reasonable stated time.(3)The designated medical officer must comply with the request to the extent the designated medical officer is able to do so, unless the designated medical officer has a reasonable excuse.Maximum penalty—50 penalty units.
(4)The designated medical officer is not liable to be prosecuted for an offence against subsection (3) unless the chief executive (child safety), when making the request, warns the designated medical officer it is an offence to fail to comply with the request to the extent the designated medical officer is able to do so, unless the designated medical officer has a reasonable excuse.(5)A person who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.See for example the Hospital and Health Boards Act 2011, section 142.(6)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 208 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
209Medical examination or treatment of child held under order
(1)This section applies if a designated medical officer orders that a child be held at a health service facility.(2)The child may be medically examined or treated at the facility or another facility to which the child is transferred.(3)Subsection (2) applies even though the child’s parents have not consented to the examination or treatment.(4)However, subsection (2) is subject to the rights the child has in relation to the examination or treatment, in particular, the charter of rights for a child in care contained in the Child Protection Act 1999, schedule 1.(5)Also, only the examination or treatment reasonable in the circumstances may be carried out.(6)For the purpose of deciding any liability in relation to the carrying out of the examination or treatment, the consent of the child’s parents to the examination or treatment is taken to have been given.
210Designated medical officer may request information from doctors
(1)This section applies if a designated medical officer considers a doctor may hold information relevant to the health of a child the subject of a care and treatment order.(2)The designated medical officer may ask the doctor for the information.(3)A doctor who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.(4)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.
211Transfer of child from one facility to another
(1)This section applies if—(a)a child is held at a health service facility under a care and treatment order; and(b)a designated medical officer considers it is necessary to transfer the child to, and hold the child at, another health service facility to appropriately medically examine or treat the child.(2)The child may be transferred to, and held at, the other facility.(3)The care and treatment order continues to apply to the child while the child is at the other facility.(4)The designated medical officer must advise the person in charge of the other facility of the proposed transfer.(5)Also, the designated medical officer must give the child’s parents and the chief executive (child safety) notice of the transfer as soon as practicable after the designated medical officer decides to transfer the child.(6)However, the designated medical officer need not notify the child’s parents under subsection (5) if the officer reasonably believes—(a)someone may be charged with a criminal offence for harm to the child and the officer’s compliance with the subsection may jeopardise an investigation into the offence; or(b)compliance with the subsection may expose the child to harm.
212Parent may choose doctor to examine child
A designated medical officer, if asked by a parent of the child held at a health care facility under a care and treatment order, must—(a)advise a doctor chosen by the parent of the examination or treatment undertaken for the child; and(b)allow the child to be examined by the doctor at the facility.
(1)This section applies if a child is held at a health service facility under this part.(2)A person must not—(a)obstruct a designated medical officer or another person involved in holding a child under a care and treatment order; or(b)remove the child—(i)from the facility; or(ii)during transfer from one facility to another; or(c)if the child has been removed from the facility or during the transfer, keep the child.Maximum penalty—200 penalty units or 18 months imprisonment.
(3)Subsection (2) applies whether the child is kept within or outside Queensland.
ch 5 pt 4 hdg ins 2016 No. 50 s 36
In this part—health service see the Hospital and Health Boards Act 2011, section 15.health service chief executive ...s 213AA def health service chief executive om 2017 No. 16 s 11
school health program, in relation to students of a school, means a program carried out to provide the students with any of the following types of health services—(a)a dental health service;(b)an immunisation health service;(c)a vision screening health service.s 213AA def school health program sub 2023 No. 9 s 19
school health program provider, in relation to a school health program, means a Service, or an entity engaged by a Service, that carries out the school health program.school principal includes a delegate of the principal.Service means a Hospital and Health Service established under the Hospital and Health Boards Act 2011, section 17.student, of a school, means a child who is enrolled in the school.s 213AA ins 2016 No. 50 s 36
This part applies in relation to a school health program provider carrying out, or preparing to carry out, a school health program for students.s 213AB ins 2016 No. 50 s 36
213ACIdentifying school health program providers
(1)If the school health program provider is a Service, the health service chief executive of the Service must give the school principal notice stating that the Service is the school health program provider.(2)If the school health program provider is an entity engaged by a Service, the health service chief executive of the Service must give the school principal notice stating that the entity is the school health program provider.s 213AC ins 2016 No. 50 s 36
213ADDisclosure of information about students
(1)For carrying out a function under the school health program, the school health program provider may ask the school principal to provide the following information—(a)the name and date of birth of a student;(b)the name, telephone number, email address and postal address of a parent or guardian of a student;(c)any other information prescribed by regulation about a student.(2)The school principal must, within a reasonable period, disclose the information requested if the school principal receives, or has received, a notice under section 213AC stating that the Service or entity that requested the information is the school health program provider.(3)However, the school principal may refuse to disclose any information about the student if the school principal considers the disclosure is not in the best interests of the student.(4)If, under subsection (3), the school principal refuses to disclose information about 1 or more students, the school principal must give the school health program provider notice stating how many students have had information withheld for the school health program.s 213AD ins 2016 No. 50 s 36
213AEApplication of Information Privacy Act 2009 to contracted service providers
(1)This section applies to a school health program provider that is not—(a)an agency under the Information Privacy Act 2009, section 18; or(b)a health agency under the Information Privacy Act 2009, schedule 5.(2)For the purposes of the Information Privacy Act 2009, chapter 2, part 4—(a)the school health program provider is taken to be a bound contracted service provider; and(b)the agreement to provide a school health program between the Service and the school health program provider is taken to be a service arrangement; and(c)the Service is the contracting agency.s 213AE ins 2016 No. 50 s 36
213AFDelegation by health service chief executive for this part
A health service chief executive may delegate the health service chief executive’s functions under this part to an appropriately qualified—(a)employee of the Service; or(b)health service employee employed in the department and working for the Service.s 213AF ins 2016 No. 50 s 36
ch 5A hdg ins 2008 No. 57 s 5
(1)In this chapter—cosmetic procedure means any of the following—(a)a procedure involving the removal of excess skin or fat from, or the reshaping of, a part of the human body, including the following—•abdominoplasty, also known as a tummy tuck;•blepharoplasty, also known as eyelid surgery;•brachioplasty, also known as an arm lift;•foreheadplasty, also known as a brow lift;•liposuction or liposculpture;•rhytidectomy, also known as a face lift;•thighplasty, also known as a thigh lift;•torsoplasty, also known as a body lift;(b)a procedure involving resurfacing of the skin by removing the epidermis and penetrating the papillary dermis;(c)a surgical procedure involving the insertion of facial contour implants;(d)a surgical procedure involving the alteration of the breast to improve its shape, size or position, known as mammaplasty;(e)a surgical procedure involving the alteration of the chin to improve its shape or size, known as genioplasty;(f)a procedure involving the injection of a non-biodegradable substance under the skin to improve its volume, known as permanent injectable fillers;(g)a surgical procedure involving the alteration of the nose to improve its shape or size, known as rhinoplasty;(h)a procedure involving the attachment of a layer of porcelain to the front surface of a tooth, known as a porcelain veneer;(i)another procedure prescribed under a regulation to be a cosmetic procedure for this chapter.(2)However, a reference to a cosmetic procedure does not include a procedure prescribed under a regulation not to be a cosmetic procedure for this chapter.(3)The Minister must not recommend to the Governor in Council the making of a regulation under subsection (2) unless the Minister is satisfied that—(a)performance of the procedure on a child is unlikely to compromise the health or safety of the child; and(b)the procedure is routinely performed with minimal adverse outcomes.(4)A regulation under subsection (1), definition cosmetic procedure, paragraph (i) or under subsection (2) may prescribe a procedure subject to stated conditions or in stated circumstances.s 213A ins 2008 No. 57 s 5
213BOffence to perform, or offer to perform, cosmetic procedure on a child
(1)A person must not perform, or offer to perform, a cosmetic procedure on a child.Maximum penalty—2,000 penalty units or 2 years imprisonment.
(2)A person does not commit an offence against subsection (1) if the person believes, on grounds that are reasonable in the circumstances, that performance of the procedure is in the best interests of the child.(3)Proof that the person did not have sufficient regard to any of the following matters is sufficient proof that the person did not have the belief mentioned in subsection (2)—(a)if the child is able to form and express views—the views of the child, including the reasons why the child wants the procedure to be performed, taking into account the child’s maturity and understanding of the procedure, including the risks, limitations and possible consequences of the procedure;(b)to the extent it is practicable for the person to consult a parent of the child—the views of the parent, including whether the parent supports the procedure being performed on the child;(c)the child’s physical health, including whether performance of the procedure would correct a growth or congenital abnormality or the physical effect of a medical condition, illness or trauma;(d)the child’s psychological health, including whether the effect of performing the procedure on the child is likely to be positive;(e)the timing of the procedure, including whether waiting until the child is an adult would be better than performing the procedure now.(4)The application of the Criminal Code, section 282 is subject to this section.(5)In this section—parent see section 159(1) and (3)(a) and (b).s 213B ins 2008 No. 57 s 5
213COffence to procure, or offer to procure, performance of cosmetic procedure on a child
A person must not, for a fee or other reward, procure, or offer to procure, the performance by someone else of a cosmetic procedure on a child.Maximum penalty—2,000 penalty units or 2 years imprisonment.
A doctor sees a child as a patient and receives a fee for the consultation. The child has a cleft lip and palate. Acting in the normal course of practising his or her profession, the doctor refers the child to a head and neck surgeon without receiving a fee for the referral. The doctor does not commit an offence against this section.s 213C ins 2008 No. 57 s 5
213DChief executive may report contravention
(1)If the chief executive considers a person has contravened section 213B or 213C, the chief executive may report the alleged contravention to a relevant entity.(2)In this section—relevant entity means—(a)the health ombudsman; or(b)a board established under the Health Practitioner Regulation National Law; or(c)another entity that has the power under an Act of the State, the Commonwealth or another State to deal with the matter.s 213D ins 2008 No. 57 s 5
amd 2010 No. 14 s 124 sch; 2013 No. 13 s 101; 2013 No. 36 s 331 sch 1
ch 5B hdg ins 2020 No. 31 s 28
In this chapter—conversion therapy see section 213F.gender identity, of a person, see section 213G.health service provider see the Health Ombudsman Act 2013, section 8.sexual orientation, of a person, means the person’s capacity for emotional, affectional and sexual attraction to, and intimate and sexual relations with, persons of a different gender, the same gender or more than 1 gender.s 213E ins 2020 No. 31 s 28
213F Meaning of conversion therapy
(1)Conversion therapy is a practice that attempts to change or suppress a person’s sexual orientation or gender identity.a practice attempting to change or suppress a person’s sexual orientation or gender identity by—•inducing nausea, vomiting or paralysis while showing the person same-sex images•using shame or coercion to give the person an aversion to same-sex attractions or to encourage gender-conforming behaviour•using other techniques on the person encouraging the person to believe being lesbian, gay, bisexual, transgender or intersex is a defect or disorder(2)Conversion therapy does not include a practice by a health service provider that, in the provider’s reasonable professional judgement—(a)is part of the clinically appropriate assessment, diagnosis or treatment of a person, or clinically appropriate support for a person; or(b)enables or facilitates the provision of a health service for a person in a manner that is safe and appropriate; or(c)is necessary to comply with the provider’s legal or professional obligations.(3)Without limiting subsection (2), the following are examples of the types of practices to which that subsection may apply—(a)assisting a person who is undergoing a gender transition;(b)assisting a person who is considering undergoing a gender transition;(c)assisting a person to express the person’s gender identity;(d)providing acceptance, support or understanding of a person;(e)facilitating a person’s coping skills, development or identity exploration, or facilitating social support for the person.Examples of the types of practices—
•exploring psychosocial factors with a person or probing a person’s experience of sexual orientation or gender identity•providing a speech pathology or gender transition service for a trans-gender or gender-diverse person wishing to alter the person’s voice and communication to better align with the person’s gender identity•advising a person about the potential side effects of sex-hormonal drugs or the risks of having, or not having, surgical proceduress 213F ins 2020 No. 31 s 28
213G Meaning of gender identity
(1)Gender identity, of a person, is the person’s internal and individual experience of gender, whether or not it corresponds with the sex assigned to the person at birth.(2)Without limiting subsection (1), the gender identity, of a person, includes—(a)the person’s personal sense of the body; and(b)if freely chosen—modification of the person’s bodily appearance or functions by medical, surgical or other means; and(c) other expressions of the person’s gender, including name, dress, speech and behaviour.s 213G ins 2020 No. 31 s 28
213H Prohibition of conversion therapy
(1)A person who is a health service provider must not perform conversion therapy on another person.Maximum penalty—
(a)if the other person is a vulnerable person—150 penalty units or 18 months imprisonment; or(b)otherwise—100 penalty units or 12 months imprisonment.(2)An offence against subsection (1) is a misdemeanour.(3)In this section—vulnerable person means—(a)a child; or(b)a person who has impaired capacity within the meaning of the Guardianship and Administration Act 2000 for making decisions about a particular service offered by a health service provider; or(c)a person with an impairment that is likely to significantly limit the person’s ability to understand a particular service offered by a health service provider.s 213H ins 2020 No. 31 s 28
213I Proceedings for indictable offence
(1)A proceeding for an offence against section 213H(1) may, at the prosecution’s election, be taken summarily or on indictment.(2)A magistrate must not hear a proceeding for an offence against section 213H(1) summarily if, at any stage of the hearing, the magistrate is satisfied on the application of the defendant, the offence should not be heard summarily because of exceptional circumstances.Examples of exceptional circumstances—
1There is sufficient connection between the offence the subject of the charge, and other offences allegedly committed by the defendant and to be tried on indictment, to allow all the offences to be tried together.2There is an important issue of law involved.3An issue of general community importance or public interest is involved, or the holding of a trial by jury is justified in order to establish contemporary community standards.(3)If subsection (2) applies—(a)the magistrate must proceed by way of an examination of witnesses for an indictable offence; and(b)a plea of the person charged at the start of the proceeding must be disregarded; and(c)evidence brought in the proceeding before the magistrate decided to act under subsection (2) is taken to be evidence in the proceeding for the committal of the person for trial or sentence; and(d)before committing the person for trial or sentence, the magistrate must make a statement to the person under the Justices Act 1886, section 104(2)(b).s 213I ins 2020 No. 31 s 28
214Definitions for pt 1
In this part—baby means a baby born alive or a baby not born alive.baby born alive means a baby whose heart has beaten after delivery of the baby is completed.baby not born alive means a baby—(a)who has shown no sign of respiration or heartbeat, or other sign of life, after completely leaving the child’s mother; and(b)who—(i)has been gestated for 20 weeks or more; or(ii)weighs 400 grams or more.collection means the Perinatal Statistics Collection.delivery means the expulsion or extraction of a baby from its mother.designated person, in relation to a delivery, means—(a)if the delivery happens in a hospital, the person in charge of the hospital; or(b)if the delivery happens elsewhere than in a hospital—(i)if the delivery is attended by a doctor—the doctor; or(ii)if the delivery is not attended by a doctor, but is attended by a midwife—the midwife; or(iii)if the delivery is not attended by a doctor or midwife but a doctor undertakes the care and treatment of the mother or baby, because of the delivery of the baby, within 3 months of the delivery—the doctor; or(iv)in any other case—the mother.midwife ...s 214 def midwife sub 2010 No. 14 s 124 sch
om 2016 No. 8 s 24
Perinatal Statistics Collection see section 215(3).
(1)The chief executive must keep a collection of perinatal statistics.(2)The chief executive may keep the collection in a form the chief executive considers appropriate, including an electronic form.(3)The collection is to be known as the Perinatal Statistics Collection.
The purposes for establishing the collection are as follows—(a)to collect data to help in—(i)monitoring and analysing obstetric and perinatal patterns and outcomes; and(ii)monitoring perinatal mortality rates; and(iii)researching perinatal care; and(iv)monitoring congenital abnormalities;(b)to help in the planning of obstetric and perinatal health services.
217Giving notifications to chief executive
After a delivery, the designated person must, within the time prescribed under a regulation, notify the chief executive in the approved form.Maximum penalty—20 penalty units.
218Further information may be required
(1)This section applies if the chief executive considers further information is required in relation to the notification to ensure the accuracy, completeness or integrity of the collection.(2)The chief executive may give the designated person a notice requiring the designated person to give the further information stated in the notice to the chief executive within the reasonable time stated in the notice.(3)The notice must warn the person that failure to comply with the notice is an offence under this Act.(4)A person given a notice under subsection (2) must comply with the notice.Maximum penalty—20 penalty units.
(5)A person who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.See for example the Hospital and Health Boards Act 2011, section 142.(6)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 218 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
219Definitions for div 4
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part or the repealed provisions.entity of the State ...s 219 def entity of the State om 2019 No. 13 s 18
information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration or enforcement of this part, including, for example, a health service employee or a public service employee;(c)a person who was involved in the administration or enforcement of the repealed provisions.repealed provisions means—(a)the Health Act 1937, part 3, division 12; and(b)the Health Regulation 1996, part 9.
220Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142, does not apply to a relevant person in relation to confidential information.s 220 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
221Disclosure under an Act or another law
Section 220(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.
222Disclosure under Act or with written consent etc.
Section 220(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)with the written consent of the person to whom the information relates; or(c)to the person to whom the information relates; or(d)in a form that could not identify any person.
223Disclosure of confidential information in the public interest
(1)Section 220(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the chief executive believes, on reasonable grounds, the disclosure is in the public interest; and(b)the chief executive has, in writing, authorised the disclosure.(2)The department’s annual report for a financial year under the Financial Accountability Act 2009 must include details of—(a)the nature of any confidential information disclosed under subsection (1) during the financial year; and(b)the purpose for which the confidential information was disclosed.(3)However, the details mentioned in subsection (2)(a) must not identify, directly or indirectly, the person to whom the confidential information relates.(4)Despite the Public Sector Act 2022, section 282, the chief executive may not delegate the chief executive’s power under subsection (1).s 223 amd 2009 No. 9 s 136 sch 1; 2009 No. 25 s 83 sch; 2022 No. 34 s 365 sch 3
224Disclosure for data collection and public health monitoring
Section 220(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to analyse, monitor or evaluate public health; and(b)the disclosure and receipt of the confidential information is for analysing, monitoring or evaluating public health; and(c)the employee of the department or other person is authorised in writing by the chief executive to receive the confidential information.
225Disclosure for purposes relating to health services
Section 220(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to evaluate, manage, monitor or plan health services; or(b)the disclosure is to an entity prescribed under a regulation for this paragraph for evaluating, managing, monitoring or planning health services as stated in the regulation.
226Disclosure to Commonwealth, another State or Commonwealth or State entity
(1)Section 220(1) does not apply to the disclosure of confidential information by the chief executive if—(a)the disclosure is to the Commonwealth or another State, or an entity of the Commonwealth or another State and the disclosure—(i)is required or allowed under an agreement—(A)between Queensland and the Commonwealth, State or entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest; or(b)the disclosure is to an entity of the State and the disclosure—(i)is required or allowed under an agreement—(A)between the chief executive and the entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest.(2)The Commonwealth, a State or entity that receives confidential information under an agreement under subsection (1)—(a)must not give it to anyone else unless allowed to do so by the agreement or in writing by the chief executive; and(b)must ensure the confidential information is used only for the purpose for which it was given under the agreement.
227Disclosure to quality assurance committee
Section 220(1) does not apply to the disclosure of confidential information by a relevant person if the disclosure is to a quality assurance committee, or to a person authorised by the committee to receive the confidential information, to allow the committee to perform its functions.s 227 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
228Disclosure to allow chief executive to act
Section 220(1) does not apply if the disclosure of the confidential information by a relevant person is to the chief executive to allow the chief executive to act under this division.
228ADisclosure of information for an investigation under the Coroners Act
(1)This section applies if a coroner is investigating the death of a person.(2)The chief executive may give to the coroner, or to a police officer helping the coroner to investigate the death, information from the collection that is relevant to the person’s death.(3)The coroner or police officer to whom the information is given and anyone else to whom the information is subsequently given under this subsection must not use or disclose the information other than—(a)for a purpose of the investigation; or(b)as otherwise required or permitted under this or another Act.s 228A ins 2013 No. 57 s 12
228BArrangements about transfer of information
(1)The chief executive may arrange for the transfer of information in the collection for inclusion in the Maternal Death Statistics Collection.(2)A person does not commit an offence against section 220(1) merely because the person does something under the arrangement.s 228B ins 2013 No. 57 s 12
228BA Disclosure for purpose of Health Transparency Act 2019
Section 220(1) does not apply if the disclosure of the confidential information by a relevant person is to any of the following persons who is performing a function under, or relating to the administration of, the Health Transparency Act 2019—(a)the chief executive;(b)an employee of the department;(c)a contractor who is contracted to provide information and communication technology or information management services to the department.s 228BA ins 2019 No. 38 s 75
ch 6 pt 1A hdg ins 2013 No. 57 s 13
ch 6 pt 1A div 1 hdg ins 2013 No. 57 s 13
228CDefinitions for pt 1A
In this part—collection means the Maternal Death Statistics Collection.health professional means—(a)a registered health practitioner; or(b)another person who provides a health service.health service see the Hospital and Health Boards Act 2011, section 15.maternal death, of a woman, means the death of the woman, from any cause, while she is pregnant or within 365 days after the end of her pregnancy.Maternal Death Statistics Collection see section 228D(3).notification means a notification under section 228F(2).registered health practitioner means—(a)a person registered under the Health Practitioner Regulation National Law to practice a health profession, other than a student; or(b)a person who holds non-practising registration under the Health Practitioner Regulation National Law in a health profession.s 228C ins 2013 No. 57 s 13
ch 6 pt 1A div 2 hdg ins 2013 No. 57 s 13
(1)The chief executive must keep a collection of maternal death statistics.(2)The chief executive may keep the collection in a form the chief executive considers appropriate, including an electronic form.(3)The collection is to be known as the Maternal Death Statistics Collection.s 228D ins 2013 No. 57 s 13
The purposes for establishing the collection are as follows—(a)to collect data to help in—(i)monitoring maternal mortality rates; and(ii)increasing awareness of the incidence and causes of maternal death; and(iii)monitoring and analysing maternity patterns and outcomes; and(iv)researching obstetric care;(b)to help in the planning of maternal health services and strategies to minimise maternal mortality.s 228E ins 2013 No. 57 s 13
ch 6 pt 1A div 3 hdg ins 2013 No. 57 s 13
228FGiving information to chief executive
(1)This section applies if a health professional—(a)had primary responsibility for the care or treatment of a woman while she was pregnant or within 365 days after the end of her pregnancy; and(b)is aware of the maternal death of the woman.(2)The health professional must, within the time prescribed under a regulation, give the chief executive a notification about the death.Maximum penalty—20 penalty units.
(3)The notification must—(a)be in the approved form; and(b)contain the information prescribed under a regulation.s 228F ins 2013 No. 57 s 13
228GFurther information may be required
(1)This section applies if the chief executive considers further information is required in relation to the notification to ensure the accuracy, completeness or integrity of the collection.(2)The chief executive may give any of the following persons a notice requiring the person to give the further information stated in the notice to the chief executive within the reasonable time stated in the notice—(a)the person who gave the notification;(b)a health professional involved in the care or treatment of the deceased woman;(c)another health professional who has information that may ensure the accuracy, completeness or integrity of the register.(3)The notice must warn the person that failure to comply with the notice is an offence under this Act.(4)A person given a notice under subsection (2) must comply with the notice unless the person has a reasonable excuse.Maximum penalty—20 penalty units.
(5)A person who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.See, for example, the Hospital and Health Boards Act 2011, section 142(6)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 228G ins 2013 No. 57 s 13
ch 6 pt 1A div 4 hdg ins 2013 No. 57 s 13
228HDefinitions for div 4
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part.entity of the State ...s 228H def entity of the State om 2019 No. 13 s 19
information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration or enforcement of this part, including, for example, a health service employee or a public service employee.s 228H ins 2013 No. 57 s 13
228IConfidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142 does not apply to a relevant person in relation to confidential information.s 228I ins 2013 No. 57 s 13
228JDisclosure under an Act or another law
Section 228I(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.s 228J ins 2013 No. 57 s 13
228KDisclosure under Act or with written consent etc.
Section 228I(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)with the written consent of the person to whom the information relates; or(c)to the person to whom the information relates; or(d)in a form that could not identify any person.s 228K ins 2013 No. 57 s 13
228LDisclosure of confidential information in the public interest
(1)Section 228I(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the chief executive believes, on reasonable grounds, the disclosure is in the public interest; and(b)the chief executive has, in writing, authorised the disclosure.(2)The department’s annual report for a financial year under the Financial Accountability Act 2009 must include details of—(a)the nature of any confidential information disclosed under subsection (1) during the financial year; and(b)the purpose for which the confidential information was disclosed.(3)However, the details mentioned in subsection (2)(a) must not identify, directly or indirectly, the person to whom the confidential information relates.(4)Despite the Public Sector Act 2022, section 282 the chief executive may not delegate the chief executive’s power under subsection (1).s 228L ins 2013 No. 57 s 13
amd 2022 No. 34 s 365 sch 3
228MDisclosure for data collection and public health monitoring
Section 228I(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to analyse, monitor or evaluate public health; and(b)the disclosure and receipt of the confidential information is for analysing, monitoring or evaluating public health; and(c)the employee of the department or other person is authorised in writing by the chief executive to receive the confidential information.s 228M ins 2013 No. 57 s 13
228NDisclosure for purposes relating to health services
Section 228I(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to evaluate, manage, monitor or plan health services; or(b)the disclosure is to an entity prescribed under a regulation for this paragraph for evaluating, managing, monitoring or planning health services as stated in the regulation.s 228N ins 2013 No. 57 s 13
228ODisclosure to Commonwealth, another State or Commonwealth or State entity
(1)Section 228I(1) does not apply to the disclosure of confidential information by the chief executive if—(a)the disclosure is to the Commonwealth or another State, or an entity of the Commonwealth or another State and the disclosure—(i)is required or allowed under an agreement—(A)between Queensland and the Commonwealth, State or entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest; or(b)the disclosure is to an entity of the State and the disclosure—(i)is required or allowed under an agreement—(A)between the chief executive and the entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest.(2)The Commonwealth, a State or entity that receives confidential information under an agreement under subsection (1)—(a)must not give it to anyone else unless allowed to do so by the agreement or in writing by the chief executive; and(b)must ensure the confidential information is used only for the purpose for which it was given under the agreement.s 228O ins 2013 No. 57 s 13
228PDisclosure to quality assurance committee
Section 228I(1) does not apply to the disclosure of confidential information by a relevant person if the disclosure is to a quality assurance committee, or to a person authorised by the committee to receive the confidential information, to allow the committee to perform its functions.s 228P ins 2013 No. 57 s 13
228QDisclosure to allow chief executive to act
Section 228I(1) does not apply if the disclosure of the confidential information by a relevant person is to the chief executive to allow the chief executive to act under this division.s 228Q ins 2013 No. 57 s 13
228RDisclosure of information for an investigation under the Coroners Act
(1)This section applies if a coroner is investigating the death of a person.(2)The chief executive may give to the coroner, or to a police officer helping the coroner to investigate the death, information from the collection that is relevant to the person’s death.(3)The coroner or police officer to whom the information is given and anyone else to whom the information is subsequently given under this subsection must not use or disclose the information other than—(a)for a purpose of the investigation; or(b)as otherwise required or permitted under this or another Act.s 228R ins 2013 No. 57 s 13
228SArrangements about transfer of information
(1)The chief executive may arrange for the transfer of information in the collection for inclusion in the Perinatal Statistics Collection.(2)A person does not commit an offence against section 228I(1) merely because the person does something under the arrangement.s 228S ins 2013 No. 57 s 13
229Definitions for pt 2
In this part—cancer means either of the following—(a)a neoplasm of human tissue—(i)in which cell multiplication is uncontrolled and progressive; and(ii)that, if unchecked, may invade adjacent tissues or extend beyond its site of origin; and(iii)that has the propensity to recur, either locally or remotely in the body;(b)skin cancer and non-invasive carcinoma, other than skin cancer and non-invasive carcinoma of a type prescribed under a regulation.contractor see section 232(1).notification about cancer means a notification under section 234 or 235.Queensland Cancer Register see section 230(4).register means the Queensland Cancer Register.residential care facility means a residential care service within the meaning of the Aged Care Act 1997 (Cwlth).
(1)The chief executive must keep a register of the persons for whom notifications about cancer have been given to the chief executive or the contractor.(2)The register must include deceased persons for whom notifications about cancer have been given.(3)The chief executive may keep the register in a form the chief executive considers appropriate, including an electronic form.(4)The register is to be known as the Queensland Cancer Register.
The purposes for establishing the register are as follows—(a)to collect data to help in—(i)monitoring and analysing the outcomes and patterns of cancer; and(ii)monitoring cancer mortality; and(iii)increasing public awareness of cancer;(b)to help in the planning of services and strategies for the prevention and management of cancer.
232Responsibility for keeping of register
(1)The chief executive may enter into a written agreement with a person prescribed under a regulation (the contractor) for the contractor to keep the register for the chief executive.(2)The chief executive must take reasonable steps to ensure the contractor complies with the agreement.
233Application of div 3
An obligation to notify or give information under this division for a person includes an obligation to notify or give information for a deceased person.
234Notifications about cancer to be given to chief executive
(1)If a pathological examination of a specimen of human origin indicates that the person from whom the specimen was taken is or was suffering from cancer, the director of the pathology laboratory where the examination is undertaken—(a)must complete a notification for the person; and(b)must give the notification to the chief executive within the time prescribed under a regulation.Maximum penalty—20 penalty units.
(2)A notification for a person under subsection (1) must—(a)be given for each pathological examination; and(b)include the name of the doctor who referred the person’s specimen for pathological examination; and(c)be in the approved form.(3)The person in charge of a hospital or residential care facility must give a notification to the chief executive within the time prescribed under a regulation if a person known to be suffering from cancer who is a patient in the hospital or a resident of the residential care facility—(a)separates from the hospital; or(b)ceases to be a resident of the facility.Maximum penalty—20 penalty units.
(4)A notification for a person under subsection (3) must be in the approved form.(5)The person in charge of a hospital must give a notification to the chief executive about a person if—(a)the person is known to have cancer; and(b)the person is attending the hospital as an outpatient to receive treatment for cancer; and(c)it is the first time in the calendar year the person has attended the hospital as an outpatient to receive treatment for cancer.Maximum penalty—20 penalty units.
(6)A notification for a person under subsection (5) must be in the approved form.
235Directions to give notifications about cancer to contractor
(1)If a person must, under section 234(1), (3) or (5), give a notification about cancer to the chief executive, the chief executive may give a written direction to the person to give the notification to the contractor in place of the chief executive.(2)A direction must state—(a)the name and address of the contractor; and(b)the day the direction is to take effect.(3)A person to whom a direction is given under subsection (1) must comply with the direction.Maximum penalty—20 penalty units.
(4)If, under a direction, a person gives a notification about cancer to the contractor and does not give it to the chief executive, the person does not contravene section 234 in relation to the notification.(5)The chief executive must monitor compliance with this section.
236Further information may be required
(1)This section applies if the chief executive or contractor considers further information is required in relation to a notification about cancer to ensure the accuracy, completeness or integrity of the register.(2)The chief executive or contractor may give any of the following persons a notice requiring the person to give the further information stated in the notice to the chief executive or contractor within the reasonable time stated in the notice—(a)the person who gave the notification;(b)the doctor mentioned in the notification as the doctor who referred the specimen for pathological examination;(c)another doctor who has information that may ensure the accuracy, completeness or integrity of the register.(3)The notice must warn the person that failure to comply with the notice is an offence under this Act.(4)A person given a notice under subsection (2) must comply with the notice.Maximum penalty—20 penalty units.
(5)A person who gives information requested under this section who would otherwise be required to maintain confidentiality about the information given under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.See for example the Hospital and Health Boards Act 2011, section 142.(6)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 236 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
237Definitions for div 4
In this division—confidential information means information that has become known to a relevant person in the course of performing the relevant person’s functions under this part or the repealed provisions.entity of the State ...s 237 def entity of the State om 2019 No. 13 s 20
information includes a document.relevant person means the following—(a)a person who is, or was, the chief executive;(b)a person who is, or was, involved in the administration of this part, including, for example, a health service employee or a public service employee, but not including a contractor or an employee of a contractor;(c)a person who was involved in the administration or enforcement of the repealed provisions.repealed provisions means—(a)the Health Act 1937, part 3, division 10; or(b)the Health Regulation 1996, part 3.
238Confidentiality of information
(1)A relevant person must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
(2)The Hospital and Health Boards Act 2011, section 142, does not apply to a relevant person in relation to confidential information.s 238 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
239Disclosure under an Act or another law
Section 238(1) does not apply if the disclosure of the confidential information by a relevant person is authorised under an Act or another law.
240Disclosure under Act or with written consent etc.
Section 238(1) does not apply if the confidential information is disclosed by a relevant person—(a)in the performance of functions under this Act; or(b)with the written consent of the person to whom the information relates; or(c)to the person to whom the information relates; or(d)in a form that could not identify any person.
241Disclosure of confidential information in the public interest
(1)Section 238(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the chief executive believes, on reasonable grounds, the disclosure is in the public interest; and(b)the chief executive has, in writing, authorised the disclosure.(2)The department’s annual report for a financial year under the Financial Accountability Act 2009 must include details of—(a)the nature of any confidential information disclosed under subsection (1) during the financial year; and(b)the purpose for which the confidential information was disclosed.(3)However, the details mentioned in subsection (2)(a) must not identify, directly or indirectly, the person to whom the confidential information relates.(4)Despite the Public Sector Act 2022, section 282, the chief executive may not delegate the chief executive’s power under subsection (1).s 241 amd 2009 No. 9 s 136 sch 1; 2009 No. 25 s 83 sch; 2022 No. 34 s 365 sch 3
242Disclosure for data collection and public health monitoring
Section 238(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to analyse, monitor or evaluate public health; and(b)the disclosure and receipt of the confidential information is for analysing, monitoring or evaluating public health; and(c)the employee of the department or other person is authorised in writing by the chief executive to receive the confidential information.
243Disclosure for purposes relating to health services
Section 238(1) does not apply to the disclosure of confidential information by a relevant person if—(a)the disclosure is to an employee of the department or a person approved by the chief executive who is contracted by the department to evaluate, manage, monitor or plan health services; or(b)the disclosure is to an entity prescribed under a regulation for this paragraph for evaluating, managing, monitoring or planning health services as stated in the regulation.
244Disclosure to Commonwealth, another State or Commonwealth or State entity
(1)Section 238(1) does not apply to the disclosure of confidential information by the chief executive if—(a)the disclosure is to the Commonwealth or another State, or an entity of the Commonwealth or another State and the disclosure—(i)is required or allowed under an agreement—(A)between Queensland and the Commonwealth, State or entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest; or(b)the disclosure is to an entity of the State and the disclosure—(i)is required or allowed under an agreement—(A)between the chief executive and the entity; and(B)prescribed under a regulation for this paragraph; and(ii)is considered by the chief executive to be in the public interest.(2)The Commonwealth, a State or entity that receives confidential information under an agreement under subsection (1)—(a)must not give it to anyone else unless allowed to do so by the agreement or in writing by the chief executive; and(b)must ensure the confidential information is used only for the purpose for which it was given under the agreement.
245Disclosure to quality assurance committee
Section 238(1) does not apply to the disclosure of confidential information by a relevant person if the disclosure is to a quality assurance committee, or to a person authorised by the committee to receive the confidential information, to allow the committee to perform its functions.s 245 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
246Disclosure to contractor or employee of contractor for maintaining the register
Section 238(1) does not apply if the disclosure of the confidential information is by the chief executive to the contractor, or an employee of the contractor, for maintaining the register.
247Disclosure to allow chief executive to act
Section 238(1) does not apply if the disclosure of the confidential information by a relevant person is to the chief executive to allow the chief executive to act under this division.
248Confidentiality of information for contractors
A contractor or employee of a contractor must not, whether directly or indirectly, disclose confidential information.Maximum penalty—50 penalty units.
Section 248 does not apply to the disclosure of confidential information by the contractor or an employee of the contractor if the disclosure—(a)is made in the performance of functions under this part; or(b)is made in a form that does not identify any person; or(c)is made to the chief executive, at the written request of the chief executive stating the chief executive considers the disclosure is necessary for ensuring the proper administration of this part; or(d)is made to a person or entity to which the chief executive may make the disclosure under section 242, 243 or 244, if the chief executive authorises the contractor, in writing, to disclose the information; or(e)is for the purpose of giving information under chapter 6, part 4, division 2 for research, if the chief executive authorises the contractor, in writing, to disclose the information; or(f)is authorised under an Act or another law.
s 250 om 2020 No. 31 s 29
ch 6 pt 3 hdg om 2020 No. 31 s 30
ch 6 pt 3 div 1 hdg om 2020 No. 31 s 30
s 251 om 2020 No. 31 s 30
s 252 amd 2006 No. 25 s 241 (2) sch 4
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ch 6 pt 3 div 2 hdg om 2020 No. 31 s 30
s 253 om 2020 No. 31 s 30
s 254 amd 2006 No. 25 s 241 (2) sch 4
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s 255 om 2020 No. 31 s 30
ch 6 pt 3 div 3 hdg amd 2006 No. 25 s 241 (2) sch 4
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s 265 amd 2006 No. 25 s 241 (2) sch 4; 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
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ch 6 pt 3 div 5 hdg om 2020 No. 31 s 30
s 266 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
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s 270 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
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s 273 amd 2006 No. 25 s 241 (2) sch 4
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s 277 amd 2006 No. 25 s 241 (2) sch 4
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s 278 om 2020 No. 31 s 30
s 279 om 2020 No. 31 s 30
ch 6 pt 3A hdg ins 2019 No. 13 s 22
ch 6 pt 3A div 1 hdg ins 2019 No. 13 s 22
In this part—approved operator see section 279AD.health practitioner means a person registered under the Health Practitioner Regulation National Law to practise a health profession, other than as a student.notifiable dust lung disease, in relation to a person, means a respiratory disease prescribed by regulation that is caused by occupational exposure to a type of dust prescribed by regulation.occupational exposure means exposure of a person to dust occurring, wholly or partly, in the course of the person’s work.prescribed medical practitioner means a medical practitioner who is member of a class of persons prescribed by regulation.register means the Notifiable Dust Lung Disease Register established and kept under section 279AB.regulator see the Work Health and Safety Act 2011, schedule 5.relevant chief executive means any of the following persons—(a)the chief executive of the department in which the Coal Mining Safety and Health Act 1999 is administered;(b)the chief executive of the department in which the Workers’ Compensation and Rehabilitation Act 2003 is administered;(c)another chief executive prescribed by regulation.relevant employee means a public service employee in a department for which a relevant chief executive has been appointed as the chief executive.s 279AA ins 2019 No. 13 s 22
ch 6 pt 3A div 2 hdg ins 2019 No. 13 s 22
(1)The chief executive must establish and keep a register of the notifications about notifiable dust lung diseases given to the chief executive under this part.(2)The register must include, for each person, including each deceased person, for whom a notification about a notifiable dust lung disease has been given, the information stated in the notification.(3)The chief executive may keep the register in a form the chief executive considers appropriate, including an electronic form.(4)The register is to be known as the Notifiable Dust Lung Disease Register.s 279AB ins 2019 No. 13 s 22
The purposes of establishing and keeping the register are to—(a)monitor and analyse the incidence of notifiable dust lung diseases; and(b)enable information about notifiable dust lung diseases to be exchanged with an entity of the State.s 279AC ins 2019 No. 13 s 22
279AD Approved operator may keep register
The chief executive may approve a person (an approved operator) to keep the register for the chief executive.s 279AD ins 2019 No. 13 s 22
ch 6 pt 3A div 3 hdg ins 2019 No. 13 s 22
279AEObligation under this division
An obligation to notify or give information under this division for a person includes an obligation to notify or give information for a deceased person.s 279AE ins 2019 No. 13 s 22
279AF Obligation to notify chief executive
(1)This section applies if a prescribed medical practitioner diagnoses a person as having a notifiable dust lung disease.(2)The prescribed medical practitioner must, within the period prescribed by regulation, give the chief executive a notification about the notifiable dust lung disease unless the practitioner has a reasonable excuse.Maximum penalty—20 penalty units.
(3)The notification must be in the approved form.(4)However, subsection (2) does not apply if the prescribed medical practitioner has given information about the notifiable dust lung disease to—(a)the chief executive of the department in which the Coal Mining Safety and Health Act 1999 is administered; or(b)a public service employee of the department mentioned in paragraph (a); or(c)another medical practitioner, who is authorised under an Act prescribed by regulation, to provide a health assessment about the person; or(d)the chief medical officer for the Commonwealth Department of Health and Aged Care for the purpose of recording the information in a national register.s 279AF ins 2019 No. 13 s 22
amd 2024 No. 7 s 20
279AG Further information may be required
(1)This section applies if the chief executive considers further information is required in relation to a notification about a notifiable dust lung disease to ensure the accuracy or completeness of the register.(2)The chief executive may, by notice, require either of the following persons to give the chief executive stated information—(a)the prescribed medical practitioner who gave the notification;(b)another health practitioner who the chief executive believes has information about the notifiable dust lung disease.(3)A notice given under subsection (2) must—(a)state the reasonable period within which the person must give the information; and(b)warn the person that failure to comply with the notice without reasonable excuse is an offence under this Act.(4)A person given a notice under subsection (2) must comply with the notice unless the person has a reasonable excuse.Maximum penalty—20 penalty units.
s 279AG ins 2019 No. 13 s 22
279AH Relevant chief executives to notify
(1)This section applies if a relevant chief executive, or relevant employee, has been given information about a notifiable dust lung disease.(2)If requested by the chief executive, the relevant chief executive must give the information to the chief executive.s 279AH ins 2019 No. 13 s 22
279AI Authorisation of giving of information
(1)A person who gives information in compliance with this division who would otherwise be required to maintain confidentiality about the information under an Act, oath, rule of law or practice—(a)does not contravene the Act, oath, rule of law or practice by giving the information; and(b)is not liable to disciplinary action for giving the information.(2)Also, merely because the person gives the information, the person can not be held to have—(a)breached any code of professional etiquette or ethics; or(b)departed from accepted standards of professional conduct.s 279AI ins 2019 No. 13 s 22
ch 6 pt 3A div 4 hdg ins 2019 No. 13 s 22
279AJChief executive must report to Minister
(1)As soon as practicable after the end of each financial year, but not later than 30 September, the chief executive must give the Minister a report stating—(a)the number of notifications given to the chief executive under this part during the financial year; and(b)the types of notifiable dust lung diseases recorded in the register during the financial year; and(c)the actions the department has taken to implement the purposes of the register; and(d)any other information about a notifiable dust lung disease the chief executive considers appropriate.(2)However, the chief executive must not include personal information in the report.(3)The Minister must, as soon as practicable after receiving the report, table the report in the Legislative Assembly.(4)In this section—personal information means information or an opinion, including information or an opinion forming part of the register, whether true or not, and whether recorded in a material form or not, about an individual whose identity is apparent, or can reasonably be ascertained, from the information or opinion.s 279AJ ins 2019 No. 13 s 22
ch 6 pt 3A div 5 hdg ins 2019 No. 13 s 22
279AK Definitions for division
In this division—confidential information means information, other than information that is publicly available, about a person’s personal affairs or health that has become known to a relevant person in the course of performing a function under, or relating to the administration of, this part.information includes a document.relevant person means a person who is, or was, any of the following persons—(a)the chief executive;(b)a public service employee in the department;(c)a relevant chief executive;(d)a relevant employee;(e)the regulator;(f)a prescribed medical practitioner required to give the chief executive a notification under section 279AF(2);(g)a person required to give information under section 279AG(4);(h)an approved operator.s 279AJ ins 2019 No. 13 s 22
(1)A relevant person must not disclose, directly or indirectly, confidential information of another person unless the disclosure is permitted under this division.Maximum penalty—50 penalty units
(2)The Hospital and Health Boards Act 2011, section 142 or 142A does not apply to a relevant person in relation to confidential information.(3)In this section—relevant person includes a person who receives information under section 279AO.s 279AL ins 2019 No. 13 s 22
A relevant person may disclose confidential information—(a)to the extent necessary for the person to perform a function, or comply with an obligation, under this Act; or(b)if the disclosure is authorised under an Act; or(c)if the disclosure is otherwise required or permitted by law; or(d)if the person to whom the information relates consents to the disclosure; or(e)if the disclosure is in a form that does not identify the person to whom the information relates.s 279AM ins 2019 No. 13 s 22
279AN Disclosure for data collection and public health monitoring
(1)The chief executive, or another relevant person authorised by the chief executive, may disclose confidential information to a person who is contracted by the department to analyse, monitor or evaluate public health.(2)A disclosure under subsection (1) may only be made if—(a)the person is authorised in writing by the chief executive to receive the confidential information; and(b)the disclosure and receipt of the confidential information is only for analysing, monitoring or evaluating public health.s 279AN ins 2019 No. 13 s 22
279AO Disclosure to entity of the State or corresponding entity
(1)The chief executive may disclose confidential information to an entity of the State or a corresponding entity if the disclosure is required or permitted under an agreement—(a)between the chief executive, or the State, and the entity; and(b)that is prescribed by regulation.(2)An entity of the State or a corresponding entity that receives confidential information under an agreement mentioned in subsection (1)—(a)must not disclose the information unless the disclosure is—(i)required or permitted under the agreement; or(ii)permitted, in writing, by the chief executive; and(b)must ensure the confidential information is used only for the purpose for which it was disclosed under the agreement.(3)In this section—corresponding entity means—(a)a department of the Commonwealth or another State; or(b)an entity established, under an Act of the Commonwealth or another State, for a public purpose.s 279AO ins 2019 No. 13 s 22
279AP Disclosure of information for investigation under Coroners Act 2003
(1)This section applies if a coroner is investigating the death of a person.(2)The chief executive may give the coroner, or a police officer helping the coroner to investigate the death, information from the register that is relevant to the person’s death.(3)The coroner or police officer to whom the information is given, and anyone else to whom the information is subsequently given, must not use or disclose the information other than—(a)for the purpose of the investigation; or(b)as otherwise required or permitted under this or another Act.s 279AP ins 2019 No. 13 s 22
ch 6 pt 4 div 1 hdg sub 2009 No. 44 s 161
279AApplication of pt 4
This part applies to health information held by a health agency if—(a)the information relates to an individual; and(b)the individual could be identified from the information.s 279A ins 2009 No. 44 s 162
amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
280Definitions for pt 4
In this part—biomedical study means a study of the biological determinants of health and disease that establishes the biological basis for preventing, treating and curing disease.clinical and applied study means a study of the effectiveness of strategies to diagnose and treat disease or illness.epidemiological study means a study of the distribution and determinants of health-related states or events in particular populations.evaluation and planning study means a study for—(a)appraising or measuring the value of a health intervention; or(b)designing and projecting current and future health services.monitoring and surveillance study means a study for keeping watch over the health of the population or individuals to control the spread of disease and maintain health and well-being.register means the Research Register.research means systematic investigation for the purpose of adding to knowledge about human health and well-being and includes the following—(a)a biomedical study;(b)a clinical and applied study;(c)an epidemiological study;(d)an evaluation and planning study;(e)a monitoring and surveillance study.Research Register see section 288(3).
280APart does not prevent disclosure under other Act
This part does not prevent health information held by a health agency being disclosed under this or another Act.s 280A ins 2009 No. 44 s 163 (retro)
amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
ch 6 pt 4 div 2 hdg amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
281Chief executive may give information
(1)The chief executive may give information under this part.(2)To enable the chief executive to give information under this part, a relevant person may give information under this part to the chief executive.(3)The chief executive or a relevant person may give the information despite any other provision of this Act or any provision of another law that deals with confidentiality, including, for example, the Hospital and Health Boards Act 2011, section 142.(4)In this section—relevant person means a person who has access to health information held by a health agency, including, for example, a health service employee or a public service employee.s 281 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
282Application to chief executive for information
(1)A person may apply in writing to the chief executive to be given health information held by a health agency for research being conducted by the person or by an entity of which the person is a member.(2)The application must state the following—(a)a description of the research that includes—(i)the purpose of the research; and(ii)the methodology of the research;(b)the type of information required;(c)the reasons the information is required;(d)how the privacy of any individual identified will be protected;(e)if the information will be needed at intervals during the research, details of the intervals;(f)the name of the person or entity proposing to conduct the research;(g)the names of all persons who will be given the information for the research;(h)the duration of the research;(i)the views of a human research ethics committee about the research including contact details for the committee.s 282 amd 2009 No. 44 s 164; 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
283Further information or documents to support application
(1)This section applies if the chief executive considers further information is required to help the chief executive decide an application for health information held by a health agency.(2)The chief executive may, by notice given to the applicant, require the applicant to give the chief executive, within the reasonable time stated in the notice, further information or a document about the application.(3)The requirement may only relate to information or a document that is necessary and reasonable to help the chief executive decide the application.(4)If the applicant fails to comply with the requirement within the stated time, the applicant is taken to have withdrawn the application.s 283 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
(1)The chief executive must consider the application for health information held by a health agency as soon as practicable and either grant or refuse the application.(2)The chief executive may grant the application only if the chief executive is satisfied—(a)the giving of the health information held by a health agency is in the public interest, having regard to—(i)the opportunities the research will provide for increased knowledge and improved health outcomes; and(ii)the privacy of individuals to whom the health information relates; and(b)the identification of any person by the information is necessary for the relevant research.(3)If the chief executive decides to grant the application, the chief executive must immediately give notice of the decision under section 285 to the applicant.(4)An application may be granted subject to the conditions the chief executive considers necessary or desirable including, for example, the following—(a)that the person or entity conducting the research must pay the State’s reasonable costs of giving the information;(b)that information given for research must be handled in a confidential and secure way;(c)that measures must be put in place to ensure researchers are aware of and comply with ethical requirements relevant to the conduct of the research;(d)that measures must be put in place to provide feedback to the chief executive on the progress and results of the research.(5)If the chief executive decides to grant an application subject to conditions, the chief executive must immediately give the applicant notice of, and the reasons for, the conditions.(6)If the chief executive decides to refuse the application, the chief executive must immediately give the applicant notice of the refusal and the reasons for the refusal.(7)The chief executive is not required to consult with an individual to whom the information relates before granting an application.s 284 amd 2009 No. 44 s 165 (1), (2) (retro); 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47); 2016 No. 8 s 26
(1)The notice under section 284(3) must state the following—(a)the name of the person or entity conducting the research;(b)the names of all persons who may be given the information for the research;(c)a description of the research, including the purpose and methodology of the research;(d)the type of information to be given and, if the information is to be given at intervals, details of the intervals;(e)if the application was granted subject to conditions, the conditions;(f)the period for which the application has been granted.(2)If an application is granted subject to a condition, the applicant must comply with the condition, unless the applicant has a reasonable excuse.Maximum penalty for subsection (2)—50 penalty units.
s 285 amd 2016 No. 8 s 27
286Notification of change of persons being given information
(1)This section applies if the names of persons who will be given the information for the research changes.(2)The person for the time being in charge of the research must give notice to the chief executive as soon as practicable after the change.Maximum penalty—20 penalty units.
287Chief executive may rescind decision to give information
(1)This section applies if this part is contravened in relation to health information given under this part.(2)The chief executive may rescind the chief executive’s decision to give the information.
288Register of approved applications for health information held by a health agency
(1)The chief executive must establish and keep a register of granted applications for health information held by a health agency stating—(a)the type of information to be given for the research; and(b)a description of the research; and(c)the name of the person or entity conducting the research; and(d)the period for which the application has been granted.(2)The register may be kept in a form the chief executive considers appropriate, including an electronic form.(3)The register is to be known as the Research Register.s 288 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
(1)The chief executive must give a person access to the register and, if requested, a copy of all or part of the register.(2)The chief executive may charge a reasonable fee for copying the register.
290Restriction on inconsistent use of information
A person given health information held by a health agency under this part must not use the information for a purpose inconsistent with the research for which the information is provided.Maximum penalty—50 penalty units.
s 290 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
291Restriction on disclosure of information
(1)A person given health information held by a health agency under this part must not disclose the information, whether directly or indirectly.Maximum penalty—50 penalty units.
(2)Subsection (1) does not apply if—(a)the disclosure is to a person named in a notice under section 284(3) or 286 as a person who will be given the information for the research; or(b)the disclosure is made with the written consent of the person to whom the information relates; or(c)the disclosure is made in a form the person reasonably believes could not identify any person; or(d)the disclosure is authorised under an Act or another law.(3)The Hospital and Health Boards Act 2011, section 142, does not apply to a person in relation to information given to the person under this part for research.s 291 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47); 2016 No. 8 s 28
292Use of health information held by a health agency
(1)The Minister may, by gazette notice, declare information given to a person under division 2 to be protected information.(2)The Minister may make a declaration under subsection (1) only if the Minister reasonably believes it is in the public interest to do so.(3)If the Minister makes a declaration under subsection (1), the protected information—(a)can not be accessed under any order, whether of a judicial or administrative nature, other than an order for the purpose of this Act; and(b)is not admissible in any proceeding, other than a proceeding under this Act.(4)A person can not be compelled to produce the protected information, or to give evidence relating to the protected information, in any proceeding, other than a proceeding under this Act.(5)Subsections (3)(b) and (4) do not apply if the protected information is admitted or produced, or evidence relating to the information is given, with the consent of the person to whom the information relates.(6)Nothing in this section limits access to protected information by the chief executive or a person authorised by the chief executive.(7)In this section—order includes a direction or other process.s 292 amd 2011 No. 32 s 332 sch 1 pt 2 (amd 2012 No. 9 s 47)
In this chapter—chairperson, of a panel, means the person comprising the panel under this chapter or, if the panel consists of more than 1 member, the person named as chairperson by the Minister, by gazette notice.panel means the panel of inquiry established under section 294.witness requirement notice see section 305(1).
294Minister may establish or re-establish panels of inquiry
(1)The Minister may, by gazette notice, establish a panel of inquiry to inquire into a matter the Minister considers to be a serious public health matter.(2)The notice, or a later gazette notice, may state matters relevant to the inquiry including, for example—(a)the membership of the panel; and(b)if the panel consists of more than 1 member, the chairperson of the panel; and(c)the panel’s terms of reference.(3)The Minister may take action under this section for a serious public health matter whether or not a panel of inquiry has previously inquired into the matter.
(1)The panel of inquiry must—(a)inquire into the circumstances and probable causes of the serious public health matter; and(b)give the Minister a written report of the panel’s findings.(2)The report may contain the recommendations the panel considers appropriate and other relevant matters.(3)The Minister must table a copy of the report in the Legislative Assembly within 14 sitting days after receiving the report.(4)However, if the panel gives the Minister a separate report of issues the panel considers should not be made public, the Minister need not table the separate report in the Legislative Assembly.
(1)A member of the panel of inquiry is entitled to be paid the remuneration and allowances decided by the Governor in Council.(2)A member holds office on conditions not provided by this Act that are decided by the Minister.
297Chief executive to arrange for services of staff and financial matters for panel of inquiry
As soon as practicable after the panel of inquiry is established, the chief executive must consult with the chairperson of the panel about and arrange for—(a)the services of public service employees, health service employees and other persons to be made available to the panel for the conduct of the inquiry; and(b)financial matters relevant to the panel.
(1)When conducting its inquiry, the panel of inquiry must—(a)observe natural justice; and(b)act as quickly, and with as little formality and technicality, as is consistent with a fair and proper consideration of the issues.(2)In conducting the inquiry, the panel—(a)is not bound by the rules of evidence; and(b)may inform itself in any way it considers appropriate, including by holding hearings; and(c)may decide the procedures to be followed for the inquiry.(3)However, the panel must comply with this chapter and any procedural rules prescribed under a regulation.(4)The panel may allow or refuse to allow a person, including a lawyer, to represent someone else at the inquiry.(5)The chairperson of the panel of inquiry presides at the inquiry.
The chairperson of the panel of inquiry must give at least 14 days notice of the time and place of the inquiry to any person the chairperson reasonably believes should be given the opportunity to appear at the inquiry.
300Inquiry to be held in public other than in special circumstances
(1)An inquiry must be held in public.(2)However, the panel of inquiry may, of its own initiative or on the application of a person appearing before or represented at the inquiry, direct that the inquiry, or a part of the inquiry, be held in private, and give directions about the persons who may be present.(3)The panel may give a direction under subsection (2) only if it is satisfied that it is proper to do so in the special circumstances of the case.
301Protection of members, legal representatives and witnesses
(1)A member of the panel of inquiry has, in the performance of the member’s duties, the same protection and immunity as a Supreme Court judge performing the functions of a judge.(2)A lawyer or other person appearing before the panel for someone else has the same protection and immunity as a barrister appearing for a party in a proceeding in the Supreme Court.(3)A person given a witness requirement notice to attend or appearing before the panel as a witness has the same protection as a witness in a proceeding in the Supreme Court.
302Record of proceedings to be kept
The panel of inquiry must keep a record of its proceedings.
303Procedural fairness and representation
In the conduct of the inquiry, the panel of inquiry must give anyone directly concerned in the matter the subject of the inquiry the opportunity of making a defence to all claims made against the person, either in person or by the person’s lawyer or representative.
(1)In conducting the inquiry, the panel of inquiry may—(a)act in the absence of any person who has been given reasonable notice of the inquiry under section 299 or some other reasonable notice; and(b)receive evidence on oath or by statutory declaration; and(c)adjourn the inquiry; and(d)disregard any defect, error, omission or insufficiency in a document.(2)A member of the panel may administer an oath to a person appearing as a witness before the inquiry.
(1)The chairperson of the panel of inquiry may, by notice given to a person (a witness requirement notice), require the person to attend the inquiry at a stated time and place to give evidence or produce stated documents or things.(2)A person required to appear as a witness before the panel is entitled to the witness fees prescribed under a regulation or, if no witness fees are prescribed, the reasonable witness fees decided by the chairperson.
306Inspection of documents or other things
(1)If a document or other thing is produced to the panel of inquiry at the inquiry, the panel may—(a)inspect the document or other thing; and(b)make copies of, photograph, or take extracts from, the document or other thing if it is relevant to the inquiry.(2)The panel may also take possession of the document or other thing, and keep it while it is necessary for the inquiry.(3)While it keeps a document or other thing, the panel must permit a person otherwise entitled to possession of the document or thing to inspect, make copies of, photograph, or take extracts from, the document or thing, at a reasonable place and time the panel decides.
307Inquiry may continue despite court proceeding unless otherwise ordered
The panel of inquiry may conduct the inquiry, and a report may be prepared or given, despite a proceeding before any court or tribunal, unless a court or tribunal with the necessary jurisdiction orders otherwise.
(1)A person given a witness requirement notice—(a)must not fail, without reasonable excuse, to attend as required by the notice; and(b)must not fail, without reasonable excuse, to continue to attend as required by the chairperson of the panel of inquiry until excused from further attendance.Maximum penalty—100 penalty units.
(2)A person appearing as a witness at the inquiry must not fail—(a)to take an oath when required by the chairperson of the panel; or(b)without reasonable excuse, to answer a question the person is required to answer by a member of the panel; or(c)without reasonable excuse, to produce a document or other thing the person is required to produce under a witness requirement notice.Maximum penalty—100 penalty units.
(3)It is not a reasonable excuse for subsection (2)(b) or (c) that answering the question or producing the document or other thing might tend to incriminate the person.(4)The following is not admissible in evidence against an individual in any civil or criminal proceeding—(a)any answer given at the inquiry by the individual, and any document or other thing produced at the inquiry by the individual and the fact of that production, in response to a requirement under this chapter (primary evidence);(b)any information, or document or other thing, obtained as a direct or indirect result of primary evidence (derived evidence).(5)Subsection (4) does not prevent primary evidence or derived evidence being admitted in evidence in criminal proceedings about the falsity or misleading nature of the primary evidence.
309False or misleading statements
A person must not state anything to the panel of inquiry that the person knows is false or misleading in a material particular.Maximum penalty—200 penalty units.
310False or misleading documents
(1)A person must not give to the panel of inquiry a document containing information the person knows is false or misleading in a material particular.Maximum penalty—200 penalty units.
(2)Subsection (1) does not apply to a person who, when giving the document—(a)informs the panel, to the best of the person’s ability, how it is false or misleading; and(b)if the person has, or can reasonably get, the correct information—gives the correct information to the panel.
A person must not—(a)insult the panel of inquiry; or(b)deliberately interrupt the inquiry; or(c)create or continue, or join in creating or continuing, a disturbance in or near a place where the panel is conducting its inquiry; or(d)do anything that would be contempt of court if the panel were a judge acting judicially.Maximum penalty—100 penalty units.
(1)If the panel of inquiry considers material before it discloses an offence, it may report the offence to 1 or more of the following and may make available to them all relevant material in the panel’s possession—(a)the commissioner of the police service;(b)the Crime and Corruption Commission;(c)the director of public prosecutions;(d)the chief executive of the department in which the Act creating the offence is administered.(2)Subsection (1) does not apply to material to which section 308(4) applies.s 312 amd 2014 No. 21 s 94 (2) sch 2
313Change of membership of panel
The conduct of the inquiry, other than a panel consisting of 1 member, is not affected by a change in its membership.
ch 7A hdg ins 2019 No. 13 s 14
ch 7A pt 1 hdg ins 2019 No. 13 s 14
The purpose of this chapter is to enable the chief executive to take action to respond to a pollution event in a way that informs the public of—(a)the potential risk to public health; and(b)if appropriate, any actions necessary to avoid or reduce the effect of the pollution event on public health.s 313A ins 2019 No. 13 s 14
In this chapter—pollution event see section 313C.pollution notice, in relation to a pollution event, see section 313D.publish includes—(a)publish in writing or in any other form of media; and(b)cause to be published.s 313B ins 2019 No. 13 s 14
313C Meaning of pollution event
A pollution event is the release or dispersal of a contaminant or pollutant that may adversely affect public health.s 313C ins 2019 No. 13 s 14
313D Meaning of pollution notice
A pollution notice, in relation to a pollution event, is a notice given by, or at the direction of, the chief executive that states the following—(a)to the extent it can be reasonably identified by the chief executive—the nature of the pollution event;(b)the area that is, or may be, affected by the pollution event;(c)the nature, type and duration of any action that may be required to avoid or reduce the effect of the pollution event on public health;(d)any other matter the chief executive considers appropriate for the pollution event.s 313D ins 2019 No. 13 s 14
ch 7A pt 2 hdg ins 2019 No. 13 s 14
313EChief executive may give direction to publish pollution notice
(1)This section applies if the chief executive is satisfied—(a)a pollution event has occurred; and(b)a person is responsible for the pollution event; and(c)it is necessary to inform the public about the pollution event and actions to avoid or reduce the effect of the pollution event on public health.(2)The chief executive may, by notice given to the person, direct the person to publish a pollution notice in relation to the pollution event—(a)by a stated date; and(b)in a stated way; and(c)in a stated area that is, or may be, affected by the pollution event.(3)A person to whom a direction is given under subsection (2) must publish a pollution notice in compliance with the direction unless the person has a reasonable excuse.Maximum penalty—200 penalty units.
s 313E ins 2019 No. 13 s 14
313FChief executive may publish pollution notice
(1)This section applies if the chief executive is satisfied—(a)the person responsible for a pollution event—(i)can not be identified; or(ii)would not be able to comply with a direction given under section 313E; or(b)a person has been given a direction under section 313E to publish a pollution notice in relation to a pollution event but the person—(i)has not published a pollution notice by the date stated in the direction; or(ii)has otherwise not complied with the direction; or(c)the pollution event is, or is caused by, a naturally–occurring event.(2)The chief executive may, in relation to the pollution event, publish a pollution notice—(a)on the department’s website; and(b)in any other way the chief executive considers appropriate.s 313F ins 2019 No. 13 s 14
313GSteps required before giving direction or publishing pollution notice
(1)This section applies if the chief executive is considering—(a)giving a direction in relation to a pollution event under section 313E; or(b)publishing a pollution notice in relation to a pollution event under 313F.(2)Before giving the direction or publishing the pollution notice, the chief executive must consult with, and consider advice given by, a relevant public service officer about—(a)the contaminant or pollutant that has caused, or may have caused, the pollution event; and(b)any other matter the chief executive considers relevant.(3)In this section—relevant public service officer means a public service officer who the chief executive considers has, or is likely to have, the necessary expertise and experience to advise the chief executive about the pollution event.s 313G ins 2019 No. 13 s 14
ch 7A pt 3 hdg ins 2019 No. 13 s 14
(1)A person may claim compensation from the State if the person incurs loss because of the exercise, or purported exercise, of a power by or for the chief executive under this chapter, including a loss arising from compliance with a requirement made of the person under this chapter.(2)However, subsection (1) applies only in relation to loss arising from an accidental, negligent or unlawful act or omission.(3)The compensation may be claimed and ordered in a proceeding brought in a court with jurisdiction for the recovery of the amount of compensation claimed.(4)A court may order the payment of the compensation only if it is satisfied it is just to make the order in the circumstances of the particular case.(5)In considering whether it is just to order compensation, the court must have regard to—(a)the nature of the pollution event and the risk to public health; and(b)whether the loss arose from the publication of a pollution notice in relation to the pollution event.(6)A regulation may prescribe other matters that may, or must, be taken into account by the court when considering whether it is just to order compensation.(7)In this section—loss includes costs and damage.s 313H ins 2019 No. 13 s 14
The purpose of this chapter is to declare and respond to—(a)public health emergencies; and(b)emergency notifiable conditions happening during a declared public health emergency.
In this chapter—controlled notifiable conditions declaration see section 327(2).COVID-19 emergency means the public health emergency declared by the Minister on 29 January 2020 under section 319(2), as extended and further extended under section 323.The public health emergency order that declared the COVID-19 emergency was published in the gazette on 31 January 2020 under section 321(1)(a).s 315 def COVID-19 emergency ins 2020 No. 11 s 30
COVID-19 public health legislation expiry day ...s 315 def COVID-19 public health legislation expiry day ins 2022 No. 6 s 25
om 2022 No. 6 sch 1 pt 2
declared public health emergency means a public health emergency declared by the Minister by public health emergency order.detention order means an order by an emergency officer (medical) under section 349 for the detention of a person.emergency notifiable condition means a medical condition that is not prescribed under a regulation as a controlled notifiable condition and includes the following—(a)a previously unknown infectious medical condition;(b)a previously unknown strain or variant of a known infectious medical condition;(c)a previously known infectious medical condition or a previously known strain or variant of an infectious medical condition.emergency officer means a person appointed under this chapter as—(a)an emergency officer (general); or(b)an emergency officer (medical).emergency officer (general) means a person appointed under this chapter as an emergency officer (general).emergency officer (medical) means a doctor appointed under this chapter as an emergency officer (medical).public health emergency means an event or a series of events that has contributed to, or may contribute to, serious adverse effects on the health of persons in Queensland.public health emergency area see section 320(b).public health direction ...s 315 def public health direction ins 2020 No. 11 s 30
om 2022 No. 25 s 10
public health emergency order see section 319(2).
(1)Nothing in this chapter prevents a person from declaring a disaster situation or another emergency under another Act (another declaration).(2)However, the existence of another declaration does not prevent the declaration of a public health emergency under this chapter.•Fire Services Act 1990•Public Safety Preservation Act 1986s 316 amd 2014 No. 17 s 184 sch 1 pt 3; 2024 No. 22 s 92 sch 1
This chapter is in addition to, and does not limit—(a)the Fire Services Act 1990; or(b)the Public Safety Preservation Act 1986, part 3.s 317 amd 2014 No. 17 s 184 sch 1 pt 3; 2024 No. 22 s 92 sch 1
318Powers under this chapter and powers under other Acts
The powers under this chapter are in addition to and do not limit the powers a person has under another part of this Act or another Act.Examples of powers a person may have under another part or another Act—
•the chief executive’s power to issue a chief executive’s order under chapter 3, part 4, division 2•a police officer’s general power of entry under the Police Powers and Responsibilities Act 2000, section 19s 318 amd 2000 No. 5 s 810 sch 4 (amd 2006 No. 26 ss 84, 86)
319Declaration of public health emergency
(1)This section applies if the Minister is satisfied—(a)there is a public health emergency; and(b)it is necessary to exercise powers under this chapter to prevent or minimise serious adverse effects on human health.(2)The Minister may declare a public health emergency by a signed written order (a public health emergency order).(3)However, before declaring a public health emergency the Minister must, if practicable, consult with the chief executive and the chief health officer.(4)If it has not been practicable to consult with the chief executive or the chief health officer under subsection (3), the Minister must consult as soon as practicable after the declaration of the public health emergency.(5)A public health emergency order takes effect from its declaration by the Minister by signed written order.
320What public health emergency order must state
A public health emergency order must state—(a)the nature of the public health emergency; and(b)the area to which the order relates (a public health emergency area); and(c)the duration of the order; and(d)any conditions relating to the conduct of the response to the declared public health emergency.
(1)The Minister must publish a public health emergency order as soon as practicable after it is declared—(a)by gazette notice; and(b)by newspaper, radio or television in the public health emergency area.(2)To ensure public knowledge of a public health emergency order, the Minister must give widespread publicity to the order but failure to do so does not affect the order.
322Duration of declared public health emergency
A declared public health emergency—(a)starts when it is declared under section 319(2); and(b)unless either of the following happens, ends 7 days after the day it is declared—(i)the Minister sooner ends the declared public health emergency under section 324(1);(ii)a regulation extends, under section 323, the period of the declared public health emergency beyond the end of the 7 days.
323Extending or further extending declared public health emergency
(1)A regulation may extend, or from time to time further extend, the period of a declared public health emergency.(2)A regulation made under this section commences on the day it is made whether or not it is notified on that day.(3)A regulation extending the period of a declared public health emergency expires 14 days after the public health emergency is declared unless it is sooner repealed or it expires under section 324(3).(4)A regulation further extending the period of a declared public health emergency—(a)must state the period, of not more than 7 days, by which the declared public health emergency is further extended; and(b)expires at the end of the stated period unless the regulation is sooner repealed or it expires under section 324(3).(5)Subsection (2) applies despite the Statutory Instruments Act 1992, section 32.s 323 amd 2012 No. 25 s 195 sch; 2013 No. 39 s 110 (3) sch 3 pt 3; 2020 No. 1 ss 4–5; 2021 No. 3 ss 10, 13; 2022 No. 25 s 15 sch 1
324Ending declared public health emergency
(1)As soon as the Minister is satisfied it is no longer necessary to exercise powers under this chapter to prevent or minimise serious adverse effects on human health, the Minister must end the declared public health emergency.(2)If the Minister ends the declared public health emergency under subsection (1), the Minister must make a written record of the time and date the declared public health emergency ended.(3)A regulation extending or further extending a declared public health emergency expires when the declared public health emergency ends under this section.
325Publication of ending of declared public health emergency
(1)The Minister must publish the ending of a public health emergency as soon as practicable after it is made—(a)by gazette notice; and(b)by newspaper, radio or television in the public health emergency area.(2)To ensure public knowledge of the ending of a public health emergency, the Minister must give widespread publicity to the ending.
326Public health emergency order may be amended
(1)A public health emergency order may be amended by the Minister by signed written order.(2)The provisions of this part about when an order takes effect and about the publication, publicity and consultation for the order apply to the amendment of an order as if it were the order being amended.
327Declaration of emergency notifiable condition as controlled notifiable condition
(1)This section applies if the Minister is satisfied—(a)an emergency notifiable condition exists; and(b)it is appropriate, having regard to the nature of the declared public health emergency, to declare the emergency notifiable condition to be a controlled notifiable condition.(2)The Minister may declare the emergency notifiable condition to be a controlled notifiable condition by a signed written declaration (a controlled notifiable conditions declaration).(3)However, before declaring an emergency notifiable condition to be a controlled notifiable condition the Minister must, if practicable, consult the chief executive and the chief health officer.(4)If it has not been practicable to consult with the chief executive or the chief health officer under subsection (3), the Minister must consult as soon as practicable after the declaration.(5)To remove any doubt, it is declared that an emergency notifiable condition declared to be a controlled notifiable condition under subsection (2) is a controlled notifiable condition for chapter 3.
328What controlled notifiable conditions declaration must state
(1)A controlled notifiable conditions declaration must state—(a)the general nature of the emergency notifiable condition including, for example, signs and symptoms that may be associated with the condition; and(b)the period for which the emergency notifiable condition is declared to be a controlled notifiable condition.(2)The declaration may continue after the declared public health emergency ends.
The Minister must publish a controlled notifiable conditions declaration by gazette notice as soon as practicable after it is declared.
330Duration of controlled notifiable conditions declaration
The controlled notifiable conditions declaration—(a)starts when it is declared under section 327(2); and(b)ends 28 days after the day it is declared.
331Controlled notifiable conditions declaration may be amended
(1)A controlled notifiable conditions declaration may be amended by the Minister by signed written declaration.(2)The provisions of this part about when a declaration takes effect and about publication and consultation for the declaration apply to the amendment of a declaration as if it were the declaration being amended.
332Coordination responsibility
(1)On the declaration of a public health emergency, the chief executive is responsible for the overall management and control of the response to the emergency.(2)The chief executive is taken to be—(a)if the chief executive is a doctor—an emergency officer (medical) and has and may exercise all the powers an emergency officer (medical) may exercise under this chapter; or(b)if the chief executive is not a doctor—an emergency officer (general) and has and may exercise all the powers an emergency officer (general) may exercise under this chapter.(3)For coordinating the response by emergency officers to the declared public health emergency, the chief executive may give directions about the circumstances in which powers available to emergency officers under this chapter may be exercised.(4)A direction given under subsection (3)—(a)may be general or limited to a particular class of emergency officers; and(b)may be given on conditions.s 332 amd 2006 No. 25 s 241 (2) sch 4
333Appointment of emergency officers (general)
(1)The chief executive may by instrument appoint the following persons as emergency officers (general) for declared public health emergencies—(a)public service officers or public service employees;(b)health service employees;(c)persons employed by a local government;(d)SES members under the State Emergency Service Act 2024;(e)other persons prescribed under a regulation.(2)An appointment under subsection (1)(c) is for the local government’s area and any other local government area stated in the appointment.(3)For an appointment under subsection (1)(c), the chief executive must, before appointing a person, obtain agreement to the appointment from the chief executive officer of the local government that employs the person.(4)An appointment under subsection (1) may be made before or after the declaration of a public health emergency.s 333 amd 2014 No. 17 s 184 sch 1 pt 3; 2022 No. 34 s 365 sch 3; 2024 No. 18 s 39 sch 1
334Qualifications for appointment as emergency officer (general)
The chief executive may appoint a person as an emergency officer (general) only if the chief executive considers the person has the necessary expertise and experience to be an emergency officer (general).
335Appointment of emergency officers (medical)
(1)The chief executive may by instrument appoint doctors as emergency officers (medical) for declared public health emergencies if they are—(a)public service officers or public service employees; or(b)health service employees; or(c)other persons prescribed under a regulation.(2)An appointment under subsection (1) may be made before or after the declaration of a public health emergency.s 335 amd 2022 No. 34 s 365 sch 3
336Qualifications for appointment as emergency officer (medical)
The chief executive may appoint a doctor as an emergency officer (medical) only if the chief executive considers the doctor has the necessary expertise and experience to be an emergency officer (medical).
(1)An emergency officer holds office on the conditions stated in the instrument of appointment.(2)An emergency officer may resign by signed notice of resignation given to the chief executive.
338Chief executive to give copy of appointment to emergency officer
The chief executive must, as soon as practicable after appointing a person as an emergency officer, give to the person appointed a copy of the person’s appointment.
(1)For a declared public health emergency—(a)an emergency officer has the powers stated in part 6; and(b)an emergency officer (medical) also has the powers stated in part 7.(2)An emergency officer is subject to the directions of the chief executive in exercising the powers.(3)An emergency officer’s powers may be limited—(a)under a condition of appointment; or(b)by notice given by the chief executive to the emergency officer.s 339 amd 2020 No. 11 ss 31, 40
(1)The chief executive must give each emergency officer an identity card as soon as practicable after the officer’s appointment.(2)The identity card must—(a)contain a copy of the signature, and, if practicable, a recent photograph, of the emergency officer; and(b)identify the person as an emergency officer (general) or an emergency officer (medical) under this Act; and(c)include an expiry date for the card.s 340 amd 2020 No. 11 ss 32, 41
341Failure to return identity card
A person who ceases to be an emergency officer must return the person’s identity card to the chief executive as soon as practicable, but within 21 days, after ceasing to be an emergency officer, unless the person has a reasonable excuse.Maximum penalty—20 penalty units.
s 341 amd 2020 No. 11 ss 33, 42
342Production or display of identity card by emergency officer
(1)An emergency officer may exercise a power in relation to another person only if—(a)if the emergency officer has been issued with an identity card with a photograph, the emergency officer—(i)first produces the emergency officer’s identity card for the other person’s inspection; or(ii)has the identity card displayed so it is clearly visible to the other person; or(b)if the emergency officer has been issued with an identity card without a photograph, the emergency officer—(i)first produces the emergency officer’s identity card for the other person’s inspection together with a form of photo identification that identifies the officer; or(ii)has the identity card displayed so it is clearly visible to the other person and produces a form of photo identification that identifies the officer; or(c)if the emergency officer has not been issued with an identity card, the emergency officer first produces—(i)a form of photo identification that identifies the officer; and(ii)a copy of the officer’s appointment as an emergency officer.(2)However, if for any reason it is not practicable to comply with subsection (1) before exercising the power, the emergency officer must produce for the other person’s inspection at the first reasonable opportunity—(a)if the emergency officer has been issued with an identity card with a photograph—the emergency officer’s identity card; or(b)if the emergency officer has been issued with an identity card without a photograph—the emergency officer’s identity card together with a form of photo identification that identifies the officer; or(c)if the emergency officer has not been issued with an identity card—a form of photo identification that identifies the officer and a copy of the officer’s appointment as an emergency officer.(3)Subsection (2) applies only if the production is practicable in all the circumstances.s 342 amd 2020 No. 11 ss 34, 43
(1)An emergency officer may enter a place, in the public health emergency area, if the emergency officer is responding to a declared public health emergency and reasonably believes it is urgent that the emergency officer enter the place to—(a)save human life; or(b)prevent or minimise serious adverse effects on human health; or(c)do anything else to relieve suffering or distress.(2)The emergency officer may enter the place with the help, and using the force, that is reasonable in the circumstances.
(1)This section applies to an emergency officer intending to enter a place to respond to a declared public health emergency.(2)Before entering the place, the emergency officer must do or make a reasonable attempt to do the following things—(a)seek an occupier’s consent to the entry;(b)tell the occupier the emergency officer is permitted to enter the place to respond to a declared public health emergency;(c)give the occupier an opportunity to allow the emergency officer immediate entry to the place without using force.(3)However, the emergency officer need not comply with subsection (2) if the emergency officer believes on reasonable grounds that immediate entry to the place is required to effectively respond to the declared public health emergency.
(1)An emergency officer responding to a declared public health emergency may do any of the following the emergency officer reasonably believes is necessary to respond to the declared public health emergency—(a)require a person not to enter or not to remain within a place;(b)require a person to stop using a place for a stated purpose;(c)require a person to go to a stated place;(d)require a person to stay at or in a stated place;(e)require a person to take measures to remove from the person a substance that is a hazard to human health, for example, by showering;(f)direct the movement of a person, animal or a vehicle into, out of, or around the public health emergency area;(g)require a person to state the person’s name and residential address;(h)require a person to answer questions by the emergency officer;(i)clean or disinfect a place, structure or thing;(j)carry out insect or pest control;(k)demolish stated structures or other property;(l)contain an animal, substance or thing within the public health emergency area;(m)remove an animal, substance or thing from a place;(n)destroy animals at a place or remove animals from a place for destruction at another place;(o)dispose of an animal, substance or thing at a place, for example, by burying the animal, substance or thing;(p)take action in relation to property including, for example, to allow the officer to take control of a building for the purposes of the emergency;(q)require a person to give the emergency officer reasonable help to exercise the emergency officer’s powers under paragraphs (i) to (p).(2)However, an emergency officer may exercise a power under subsection (1)(k) or (n) only with the written approval of the chief executive.(3)If a person fails to comply with a requirement or direction under subsection (1)(a) to (f), an emergency officer may, with necessary and reasonable help and force, take action to enforce the requirement or direction.(4)For subsection (1)(g), the emergency officer may require the person to give the officer evidence of the correctness of the stated name or residential address if the officer reasonably suspects the stated name or address to be false.(5)When making a requirement or direction mentioned in subsection (1) or (4), the emergency officer must—(a)warn the person it is an offence to fail to comply with the requirement or direction, unless the person has a reasonable excuse; and(b)tell the person of the effect of section 346(2).
346Failure to comply with requirement
(1)A person of whom a requirement or direction is made under section 345(1)(a) to (h) or (4) must comply with the requirement or direction, unless the person has a reasonable excuse.Maximum penalty—100 penalty units.
(2)It is not a reasonable excuse to fail to comply with the requirement that complying with the requirement might tend to incriminate the person.(3)However, the following is not admissible in evidence against an individual in any civil or criminal proceeding—(a)any answer given by the individual in complying with the requirement (primary evidence);(b)any information, or document or other thing, obtained as a direct or indirect result of primary evidence (derived evidence).(4)Subsection (3) does not prevent primary evidence or derived evidence being admitted in evidence in criminal proceedings about the falsity or misleading nature of the primary evidence.
347General powers after entering places
(1)This section applies to an emergency officer who enters a place to respond to a declared public health emergency.(2)The emergency officer may—(a)search any part of the place; or(b)inspect, measure, test, photograph or film any part of the place or anything at the place; or(c)take a thing, or a sample of or from a thing, at the place for analysis or testing; or(d)copy a document at the place or take the document to another place to copy it; or(e)take into or onto the place any persons, equipment and materials the emergency officer reasonably requires for exercising a power under this chapter; or(f)require a person at the place to give the emergency officer reasonable help to exercise the emergency officer’s powers under paragraphs (a) to (e).(3)When making a requirement mentioned in subsection (2)(f) the emergency officer must warn the person it is an offence to fail to comply with the requirement, unless the person has a reasonable excuse.(4)If an emergency officer takes a document from a place to copy it, the document must be copied as soon as practicable and returned to the place.
348Failure to help emergency officer
A person required to give reasonable help under section 345(1)(q) or 347(2)(f) must comply with the requirement, unless the person has a reasonable excuse.Maximum penalty—100 penalty units.
349Emergency officer (medical) may order detention
(1)This section applies if an emergency officer (medical) reasonably suspects that—(a)a person in a public health emergency area has or may have a serious disease or illness; and(b)the serious disease or illness, or the serious disease or illness and the person’s likely behaviour, constitutes an immediate risk to public health; and(c)it is necessary to detain the person to effectively respond to the declared public health emergency.(2)The emergency officer (medical) may order the detention of the person at a place decided by the officer within or outside the public health emergency area.(3)The order must be in writing and state the following—(a)a description of the serious disease or illness the person has or may have;(b)the place where the person is to be detained;(c)that the person must—(i)if the person is at the place where the person is to be detained—remain at the place; or(ii)if the person is not at the place where the person is to be detained—go to the place with the emergency officer (medical) or with a person nominated by the officer;(d)the time when the detention order ends.
A detention order by an emergency officer (medical) ends—(a)96 hours from the time it is given to the person the subject of the order; or(b)if a lesser period is stated in the order, at the end of the lesser period.s 350 amd 2020 No. 11 ss 35, 44
(1)A detention order may be enforced by the emergency officer (medical) or a person nominated by the officer.(2)The officer or person nominated must—(a)give the person to be detained a copy of the detention order and explain to the person, in general terms, the purpose and effect of the order; or(b)if it is not reasonably practicable to give a written detention order to the person before detaining the person—explain the purpose and effect of the order to the person in detail.(3)A detention order explained under subsection (2)(b) has the same effect as a written order but the officer or person nominated by the officer must give the written order to the person detained as soon as reasonably practicable after the person is detained.(4)A person to whom a detention order applies must comply with the order.Maximum penalty—200 penalty units.
(5)The officer or person may enforce the detention order with the help, and using the force, that is reasonable in the circumstances.
352Establishing isolation areas
(1)An emergency officer (medical) may establish an area (an isolation area) to accommodate persons detained under this division.(2)An emergency officer may take the action the emergency officer reasonably believes is necessary to establish an isolation area.(3)Without limiting subsection (2), an emergency officer may use a building or any other thing within the isolation area.
353Person to be given opportunity of voluntarily complying with order
Before enforcing a detention order against a person, the emergency officer (medical) or a person nominated by the officer must give the person the opportunity of voluntarily complying with the order.
354Medical examination and treatment
(1)As soon as practicable after a person is detained, an emergency officer (medical) must request that the person be medically examined—(a)to help decide whether the person has or may have a serious disease or illness so that the person may be treated for the disease or illness; and(b)to decide whether the person is an immediate risk to public health.(2)When requesting that the person be examined, the emergency officer (medical) must—(a)give an explanation to the person about the examination to be undertaken in a way likely to be readily understood by the person; and(b)tell the person that the person may refuse the examination.(3)Any examination of the person may be conducted by an emergency officer (medical) or a doctor chosen by the person.(4)The person must be given the opportunity of receiving medical treatment including by a doctor chosen by the person.(5)Subsection (1) does not apply if—(a)the serious disease or illness is an emergency notifiable condition and there is no recognised procedure for deciding whether the person has been exposed to the condition; or(b)there is no way of deciding within 96 hours whether the person has been exposed to the serious disease or illness.The chief executive may apply for an initial examination order under section 116.s 354 amd 2020 No. 16 ss 60, 65
355When detained person must be released before the end of the order
A person detained under this part must be released before the detention order ends if—(a)an emergency officer (medical) is satisfied the person is no longer an immediate risk to public health; or(b)if the person has been examined by a doctor chosen by the person—both the doctor and the emergency officer (medical) are satisfied the person is no longer an immediate risk to public health.
356Application to extend order
(1)This section applies if an emergency officer (medical) is satisfied that, having regard to the matters stated in section 349(1)(a) and (b), it is necessary to continue to detain a person after a detention order ends.(2)The emergency officer (medical) or the chief executive may apply to a magistrate to extend the detention order.(3)The application must be made before the detention order ends.(4)The emergency officer (medical) or the chief executive must immediately give the person detained a copy of the application.(5)The person detained must not attend the hearing of the application but may nominate a person to represent the person detained at the hearing.(6)The magistrate may refuse to consider the application until the applicant gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.
357Consideration of application
(1)The magistrate—(a)must decide the application as quickly as possible; and(b)must consider any representations made by the person representing the person detained; and(c)may make the orders the magistrate considers appropriate for deciding the application; andan order adjourning the application until the emergency officer (medical) gives the magistrate additional information(d)may extend, or refuse to extend, the detention order.(2)However, the magistrate may extend the detention order only if satisfied it is reasonably necessary to effectively respond to the declared public health emergency.(3)If the magistrate does not decide the application before the end of the detention order, the detention order continues until the application is finally decided.
(1)An emergency officer (medical) or the chief executive may appeal to the District Court against the refusal of a magistrate to extend the detention order.(2)On the filing of an appeal, the decision of the magistrate is stayed and the detention order continues.(3)The District Court—(a)must hear and decide the appeal without delay; and(b)may either—(i)extend the detention order; or(ii)confirm the decision appealed against and dismiss the appeal; and(c)may make the other orders the court considers appropriate.
359Application of div 3
This division applies only in relation to a person who is detained under this part.
360Obligations of emergency officer (medical) in relation to person detained
The emergency officer (medical) must—(a)as soon as possible having regard to all the circumstances, inform the person detained—(i)that the person may apply to a magistrate for an order ending the person’s detention and how the person may apply; and(ii)of the person’s right to consult a lawyer or other person of the person’s choice; and(iii)that, for the person to be detained beyond 96 hours, the emergency officer (medical) must apply to a magistrate to extend the detention order; and(b)as soon as reasonably practicable inform the next of kin of the detained person or someone else nominated by the person—(i)that the person is detained under this part and where the person is detained; and(ii)of the things mentioned in paragraph (a); and(iii)of how to obtain information about the person detained, including who to contact to obtain the information; and(c)as soon as reasonably practicable give the detained person a reasonable opportunity to contact persons with whom the detained person wants to communicate.It may be reasonably practicable for a person with a highly contagious condition to contact a person by telephone but not to have personal contact.s 360 amd 2020 No. 16 ss 61, 66
361Application to magistrate for order ending person’s detention
(1)This section applies if a person has been detained under a detention order.(2)The person’s lawyer or a person nominated by the person (the applicant) may apply to a magistrate for an order ending the detention.(3)The application may be made orally or in writing but if made orally can not be made in the absence of the emergency officer (medical) or a representative of the emergency officer (medical).(4)The applicant must immediately give the emergency officer (medical) notice of when and where the application will be made.(5)The notice may be given orally or in writing, but if given orally must be put in writing as soon as practicable.(6)The magistrate—(a)must decide the application as quickly as possible; and(b)must have regard to any submissions made by the parties to the application; and(c)may make an order ending the person’s detention only if satisfied the person’s continued detention is not reasonably necessary to effectively respond to the declared public health emergency; and(d)may not order the applicant to pay the respondent’s costs of the application; and(e)may refuse to consider the application until the applicant gives the magistrate all the information the magistrate requires about the application in the way the magistrate requires.The magistrate may require additional information supporting the application be given by statutory declaration.(7)The person detained is not entitled to be present when the application is being heard.
(1)The emergency officer (medical) or the chief executive or the person detained may appeal to the District Court against a decision of the magistrate on an application for an order ending a person’s detention.(2)If the emergency officer (medical) or the chief executive is the appellant, the decision appealed against is stayed on the filing of the notice of appeal and the detention order continues.(3)The District Court must hear and decide the appeal without delay.(4)If the emergency officer (medical) or the chief executive is the appellant, the District Court may make an order—(a)allowing the appeal; or(b)confirming the decision appealed against and dismissing the appeal.(5)If the person detained is the appellant, the District Court may make an order—(a)ending the detention order; or(b)confirming the decision appealed against and dismissing the appeal.(6)The District Court may make the other orders the court considers appropriate.(7)However, the District Court may not order a party other than the chief executive to pay the costs of the appeal.
ch 8 pt 7A hdg ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
ch 8 pt 7A div 1 hdg ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362A ins 2020 No. 11 s 36
sub 2021 No. 16 s 30A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
ch 8 pt 7A div 2 hdg ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362B ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362C ins 2020 No. 11 s 36
amd 2020 No. 16 s 62
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362D ins 2020 No. 11 s 36
amd 2020 No. 23 s 55X
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362E ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362F ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362FA ins 2020 No. 23 s 55Y
amd 2021 No. 16 s 30B
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
amd 2022 No. 34 s 365 sch 3 (amdt could not be given effect)
ch 8 pt 7A div 3 hdg ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362G ins 2020 No. 11 s 36
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s 362H ins 2020 No. 11 s 36
amd 2020 No. 16 s 63
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362HA ins 2021 No. 16 s 31
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362I ins 2020 No. 11 s 36
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s 362J ins 2020 No. 11 s 36
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s 362K ins 2020 No. 11 s 36
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ch 8 pt 7A div 4 hdg ins 2020 No. 11 s 36
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s 362L ins 2020 No. 11 s 36
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ch 8 pt 7A div 5 hdg ins 2020 No. 11 s 36
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s 362M ins 2020 No. 11 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
ch 8 pt 7A div 6 hdg ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAA ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAB ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAC ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAD ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAE ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAF ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAG ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAH ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAI ins 2021 No. 16 s 31A
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
ch 8 pt 7A div 7 hdg ins 2022 No. 6 s 26
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
s 362MAJ ins 2022 No. 6 s 26
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MAJ)
ch 8 pt 7AA hdg ins 2020 No. 19 s 141
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
ch 8 pt 7AA div 1 hdg ins 2021 No. 16 s 36
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MA ins 2020 No. 19 s 141
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MB ins 2020 No. 19 s 141
amd 2021 No. 16 s 38
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
ch 8 pt 7AA div 2 hdg ins 2021 No. 16 s 39
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MC ins 2020 No. 19 s 141
amd 2021 No. 16 s 40
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MD ins 2020 No. 19 s 141
amd 2021 No. 16 s 41
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362ME ins 2020 No. 19 s 141
sub 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MF ins 2020 No. 19 s 141
sub 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MG ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
ch 8 pt 7AA div 3 hdg ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MH ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MI ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MJ ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MK ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
ch 8 pt 7AA div 4 hdg ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362ML ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MM ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
ch 8 pt 7AA div 5 hdg ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)
s 362MN ins 2021 No. 16 s 43
exp 31 October 2022 the COVID-19 public health legislation expiry day (see s 362MP)