Minister: Minister for the Environment and the Great Barrier Reef and Minister for Science and Innovation
Agency: Department of Environment, Science and Innovation


Nature Conservation Act 1992


Queensland Crest
Nature Conservation Act 1992

An Act to provide for the conservation of nature

Part 1 Preliminary

1Short title

This Act may be cited as the Nature Conservation Act 1992.

2[Repealed]

s 2 om 28 November 1995 RA s 37

3Act binds all persons

(1)This Act binds all persons, including the State, and, to the extent the legislative power of the Parliament permits, the Commonwealth and the other States.
(2)Nothing in this Act makes the Commonwealth, the State or another State liable to be prosecuted for an offence.

s 3 sub 2004 No. 48 s 158

3ATerritorial application of Act

(1)This Act applies both within and outside the State.
(2)This Act applies outside the State to the full extent of the extraterritorial legislative power of the Parliament.

s 3A ins 2003 No. 96 s 17

amd 2004 No. 48 s 159

Part 2 Object of Act

4Object of Act

The object of this Act is the conservation of nature while allowing for the involvement of Aboriginal peoples and Torres Strait Islander peoples in the management of protected areas in which they have an interest under Aboriginal tradition or Ailan Kastom.

s 4 amd 2013 No. 55 s 24; 2016 No. 22 s 4; 2024 No. 17 s 183

5How object is to be achieved

The conservation of nature is to be achieved by an integrated and comprehensive conservation strategy for the whole of the State that involves, among other things, the following—
(a)Gathering of information and community education etc.
gathering, researching, analysing, monitoring and disseminating information on nature;
identifying critical habitats and areas of major interest;
encouraging the conservation of nature by the education and cooperative involvement of the community, particularly landholders;
(b)Dedication and declaration of protected areas
the dedication and declaration of areas representative of the biological diversity, natural features and wilderness of the State as protected areas;
(c)Management of protected areas
the management of protected areas in accordance with—
(i)the management principles; and
(ii)the interim and declared management intent; and
(iii)management plans; and
(iv)conservation agreements; and
(v)management programs;

for the areas;

the management of protected areas having regard to any management statement for the areas;
(d)Protection of native wildlife and its habitat
the protection of the biological diversity of native wildlife and its habitat by—
(i)the dedication and declaration of protected areas; and
(ii)prescribing protected and prohibited wildlife; and
(iii)the management of wildlife in accordance with—
(A)the management principles; and
(B)the declared management intent; and
(C)any conservation plan;

for the wildlife; and

(iv)entering into conservation agreements;
(e)Use of protected wildlife and areas to be ecologically sustainable
providing for the ecologically sustainable use of protected wildlife and areas by the preparation and implementation of management and conservation plans consistent with the values and needs of the wildlife or areas concerned, particularly plans dealing with the management of—
(i)protected areas; and
(ii)the taking or use of wildlife; and
(iii)protected wildlife and its habitat; and
(iv)critical habitats and areas of major interest;
providing for the ecologically sustainable use of protected areas by the preparation of management statements for use in managing the areas;
(f)Recognition of interest of Aboriginal peoples and Torres Strait Islander peoples in nature and their cooperative involvement in its conservation
the recognition of the interest of Aboriginal peoples and Torres Strait Islander peoples in protected areas and native wildlife;
the cooperative involvement of Aboriginal peoples and Torres Strait Islander peoples in the conservation of nature;
(g)Cooperative involvement of landholders
the cooperative involvement of landholders in the conservation of nature.

s 5 amd 1994 No. 42 ss 3, 2 sch; 2004 No. 48 s 160; 2013 No. 55 s 25; 2016 No. 22 s 5; 2019 No. 8 s 3; 2024 No. 17 s 184

6Community participation in administration of Act

This Act is to be administered, as far as practicable, in consultation with, and having regard to the views and interests of, landholders and interested groups and persons, including Aboriginal peoples and Torres Strait Islander peoples.

s 6 amd 1994 No. 42 s 2 sch; 2024 No. 17 s 185

Part 3 Interpretation

Division 1 Dictionary

pt 3 div 1 hdg ins 2000 No. 44 s 4

7Definitions

The dictionary in the schedule defines particular words used in this Act.

s 7 Note—s 7 prev contained definitions for this Act. Definitions are now located in the schedule—Dictionary.

amd 2000 No. 44 s 5 (1)

Division 2 Key definitions

pt 3 div 2 hdg ins 2000 No. 44 s 6

8Meaning of nature

(1)Nature includes all aspects of nature.
(2)Without limiting subsection (1), nature includes—
(a)ecosystems and their constituent parts; and
(b)all natural and physical resources; and
(c)natural dynamic processes; and
(d)the characteristics of places, however large or small, that contribute to—
(i)their biological diversity and integrity; or
(ii)their intrinsic or scientific value.

9Meaning of conservation

Conservation is the protection and maintenance of nature while allowing for its ecologically sustainable use.

10Meaning of biological diversity

(1)Biological diversity is the natural diversity of native wildlife, together with the environmental conditions necessary for their survival, and includes—
(a)regional diversity, that is, the diversity of the landscape components of a region, and the functional relationships that affect environmental conditions within ecosystems; and
(b)ecosystem diversity, that is, the diversity of the different types of communities formed by living organisms and the relations between them; and
(c)species diversity, that is, the diversity of species; and
(d)genetic diversity, that is, the diversity of genes within each species.
(2)In subsection (1)—
landscape components includes landforms, soils, water, climate, wildlife and land uses.

11Meaning of ecologically sustainable use

Ecologically sustainable use is—
(a)in relation to wildlife—the taking or use of the wildlife; or
(b)in relation to protected areas—the use of the areas;

within their capacity to sustain natural processes while—

(c)maintaining the life support systems of nature; and
(d)ensuring that the benefit of the use to present generations does not diminish the potential to meet the needs and aspirations of future generations.

12Meaning of threatening process

A threatening process is any process that is capable of—
(a)threatening the survival of any protected area, area of major interest, protected wildlife, community of native wildlife or native wildlife habitat; or
(b)affecting the capacity of any protected area, area of major interest, protected wildlife, community of native wildlife or native wildlife habitat to sustain natural processes.

13Meaning of critical habitat

(1)Critical habitat is habitat that is essential for the conservation of a viable population of protected wildlife or community of native wildlife, whether or not special management considerations and protection are required.
(2)A critical habitat may include an area of land that is considered essential for the conservation of protected wildlife, even though the area is not presently occupied by the wildlife.

Part 4 Protected areas

Division 1 Basic concepts

14Classes of protected areas to which Act applies

The classes of protected areas to which this Act applies are—
(a)national parks (scientific); and
(b)national parks; and
(c)national parks (Aboriginal land); and
(d)national parks (Torres Strait Islander land); and
(e)national parks (Cape York Peninsula Aboriginal land); and
(f)conservation parks; and
(g)resources reserves; and
(h)special wildlife reserves; and
(i)nature refuges; and
(j)coordinated conservation areas.

s 14 amd 2000 No. 44 s 7; 2007 No. 48 s 43; 2013 No. 55 ss 26, 114; 2016 No. 22 s 6; 2019 No. 8 s 4

15Management of protected areas

(1)Each protected area is to be managed in accordance with—
(a)the management principles prescribed by this division for the class of protected area; and
(b)if the area is—
(i)a national park (Aboriginal land) or national park (Torres Strait Islander land)—the lease or sublease of the area; or
(ii)a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area—any Indigenous land use agreement for the area and the Indigenous management agreement for the area; or
(iii)a special wildlife reserve—the conservation agreement and management program for the area; or
(iv)a nature refuge—the declared management intent, and the conservation agreement or covenant, for the area; or
(v)a coordinated conservation area—
(A)the interim management intent for the area until a management statement or management plan is approved for the area; and
(B)the conservation agreement for the area; and
(c)if a management plan is in effect for the area—the management plan for the area.
(2)The interim or declared management intent for a protected area is the management intent for the area specified in the regulation dedicating or declaring the area.
(3)The interim or declared management intent for a protected area must contain a statement of—
(a)the area’s significant cultural and natural resources and values; and
(b)the proposed management intent for, and any proposed use of, the area.
(4)If a management statement is in effect for a protected area, the statement is to be considered in managing the area.

s 15 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 42 sch; 2007 No. 48 s 44; 2011 No. 11 s 31; 2013 No. 55 s 27; 2019 No. 8 s 5; 2024 No. 17 s 192 sch 1pt 3

16Management principles of national parks (scientific)

(1)A national park (scientific) is to be managed to—
(a)protect the area’s exceptional scientific values and, in particular—
(i)to ensure that the processes of nature continue unaffected in the area; and
(ii)to protect the area’s biological diversity to the greatest possible extent; and
(b)allow controlled scientific study and monitoring of the area’s natural resources.
(2)However, if threatened wildlife is a significant natural resource for the area, management of the area may include—
(a)manipulation of the wildlife’s habitat; and
(b)the control of threatening processes relating to the wildlife, including threatening processes caused by other wildlife.
(3)Subject to subsections (1) and (2), a national park (scientific), or a part of a national park (scientific), that is also an Indigenous joint management area is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.

s 16 prev s 16 sub 1994 No. 42 s 5

amd 2011 No. 11 s 32

om 2013 No. 55 s 115

pres s 16 ins 2016 No. 22 s 7

amd 2024 No. 17 s 192 sch 1 pt 3

17Management principles of national parks

(1)A national park is to be managed to—
(a)provide, to the greatest possible extent, for the permanent preservation of the area’s natural condition and the protection of the area’s cultural resources and values; and
(b)present the area’s cultural and natural resources and their values; and
(c)ensure that the only use of the area is nature-based and ecologically sustainable; and
(d)provide opportunities for educational and recreational activities in a way consistent with the area’s natural and cultural resources and values; and
(e)provide opportunities for ecotourism in a way consistent with the area’s natural and cultural resources and values.
(1A)However, if the whole or part of a national park is declared as a special management area (controlled action), the management of the park or part may include the following—
(a)the manipulation of the area’s natural and cultural resources to protect or restore the area’s natural or cultural values;
(b)the continuation of an existing use of the area consistent with maintaining the area’s natural and cultural values.
(2)The management principle mentioned in subsection (1)(a) is the cardinal principle for the management of national parks.
(3)Subject to subsections (1) to (2), a national park, or a part of a national park, that is also an Indigenous joint management area is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.
(4)In this section—
existing use, of a special management area (controlled action), means a lawful use made of the area immediately before the declaration of the area as a special management area (controlled action).

s 17 sub 1994 No. 42 s 5

amd 2011 No. 11 s 33; 2013 No. 55 ss 26, 116; 2016 No. 22 s 8; 2019 No. 8 s 6; 2024 No. 17 s 192 sch 1pt 3

18Management principles of national parks (Aboriginal land)

(1)A national park (Aboriginal land) is to be managed as a national park.
(2)Subject to subsection (1), a national park (Aboriginal land) is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.

19Management principles of national parks (Torres Strait Islander land)

(1)A national park (Torres Strait Islander land) is to be managed as a national park.
(2)Subject to subsection (1), a national park (Torres Strait Islander land) is to be managed, as far as practicable, in a way that is consistent with any Ailan Kastom applicable to the area, including any Ailan Kastom relating to activities in the area.

s 19 amd 2024 No. 17 s 192 sch 1pt 3

19A[Repealed]

s 19A ins 2000 No. 44 s 8

amd 2011 No. 11 s 34

om 2013 No. 55 s 117

20Management principles of national parks (Cape York Peninsula Aboriginal land)

(1)A national park (Cape York Peninsula Aboriginal land) is to be managed as a national park.
(2)Subject to subsection (1), a national park (Cape York Peninsula Aboriginal land) is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.

s 20 prev s 20 amd 1994 No. 42 s 2 sch; 2011 No. 11 s 35

om 2013 No. 55 s 117

pres s 20 (prev s 19AA) ins 2007 No. 48 s 45

renum 2013 No. 55 s 118

21Management principles of conservation parks

(1)A conservation park is to be managed to—
(a)conserve and present the area’s cultural and natural resources and their values; and
(b)provide for the permanent conservation of the area’s natural condition to the greatest possible extent; and
(c)provide opportunities for educational and recreational activities in a way consistent with the area’s natural and cultural resources and values; and
(d)ensure that any commercial use of the area’s natural resources, including fishing and grazing, is ecologically sustainable.
(2)Subject to subsection (1), a conservation park, or a part of a conservation park, that is also an Indigenous joint management area is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.

s 21 amd 2000 No. 44 s 9; 2011 No. 11 s 36

sub 2013 No. 55 s 117; 2016 No. 22 s 9

amd 2024 No. 17 s 192 sch 1 pt 3

21AManagement principles of resources reserves

(1)Subject to subsection (2), a resources reserve is to be managed to—
(a)recognise and, if appropriate, protect the area’s cultural and natural resources; and
(b)provide for the controlled use of the area’s cultural and natural resources; and
(c)ensure that the area is maintained predominantly in its natural condition.
(2)The felling of timber for a commercial purpose must not be conducted in a resources reserve.
(3)Subject to subsections (1) and (2), a resources reserve, or a part of a resources reserve, that is also an Indigenous joint management area is to be managed, as far as practicable, in a way that is consistent with any Aboriginal tradition applicable to the area, including any tradition relating to activities in the area.

s 21A ins 2016 No. 22 s 9

amd 2024 No. 17 s 192 sch 1pt 3

21B Management principles of special wildlife reserves

(1)A special wildlife reserve is to be managed to—
(a)permanently protect the area’s exceptional natural and cultural resources and values; and
(b)protect the area’s exceptional scientific values; and
(c)present the area’s cultural and natural resources and values; and
(d)ensure the only use of the area is nature-based and ecologically sustainable.
(2)Also, a special wildlife reserve is to be managed to do any of the following stated in the conservation agreement for the reserve—
(a)allow controlled scientific study and monitoring of the area’s natural resources;
(b)provide opportunities for educational and recreational activities in a way consistent with the area’s natural and cultural resources and values;
(c)provide opportunities for ecotourism in a way consistent with the area’s natural and cultural resources and values;
(d)provide for the manipulation of the area’s natural and cultural resources to protect or restore the area’s natural or cultural values;
(e)provide for the manipulation of threatened wildlife’s habitat and the control of threatening processes relating to threatened wildlife, including threatening processes caused by other wildlife.

s 21B ins 2019 No. 8 s 7

22Management principles of nature refuges

A nature refuge is to be managed to—
(a)conserve the area’s significant cultural and natural resources; and
(b)provide for the controlled use of the area’s cultural and natural resources; and
(c)provide for the interests of landholders to be taken into account.

s 22 amd 2002 No. 72 s 26

23Management principles of coordinated conservation areas

A coordinated conservation area is to be managed to—
(a)conserve the area’s natural and cultural values by coordinated management involving the area’s various landholders; and
(b)take account of the area’s values, including its recreational, educational and commercial values; and
(c)provide for the interests of the various landholders to be maintained.

24[Repealed]

s 24 om 2013 No. 55 s 28

25[Repealed]

s 25 om 2013 No. 55 s 28

26[Repealed]

s 26 om 2013 No. 55 s 28

27Prohibition on mining, geothermal activities and GHG storage activities

(1)A mining interest, geothermal tenure or GHG authority can not be granted in relation to—
(a)a national park (scientific); or
(b)a national park; or
(c)a national park (Aboriginal land); or
(d)a national park (Torres Strait Islander land); or
(e)a national park (Cape York Peninsula Aboriginal land); or
(f)a conservation park; or
(g)a special wildlife reserve.
(2)However, subsection (1) does not apply if—
(a)the mining interest is—
(i)an authorised activity for a survey licence under the Petroleum and Gas (Production and Safety) Act 2004 (the P&G Act), section 394 other than in relation to a petroleum facility under that Act; or
(ii)an authorised activity for a pipeline licence under the P&G Act; and
(b)an authority under section 34, 35, 42AD, 42AE, 43F or 43G has been granted, made, issued or given for the licence.
(3)Subsection (1) applies in relation to land in a protected area even if the land is also subject to a tenure on which a mining interest, geothermal tenure or GHG authority could otherwise be granted.

Example of land in a protected area—

land in a special wildlife reserve that is subject to a lease under the Land Act 1994
(4)In this section—
mining interest means any activity authorised under—
(a)the Mineral Resources Act 1989; or
(b)the Petroleum Act 1923; or
(c)the P&G Act.

s 27 amd 2000 No. 44 s 10; 2004 No. 26 s 274; 2005 No. 53 s 159 sch; 2007 No. 48 s 46; 2009 No. 3 s 519; 2010 No. 20 s 41B; 2010 No. 31 s 585 sch 2 pt 4; 2013 No. 55 s 119; 2016 No. 22 s 10; 2019 No. 8 s 8

Division 2 Protected areas (State land)

Subdivision 1 Preliminary

pt 4 div 2 sdiv 1 hdg ins 2000 No. 44 s 11

28Meaning of protected area in division

In this division—
protected area means—
(a)a national park (scientific); or
(b)a national park; or
(c)a conservation park; or
(d)a resources reserve.

s 28 def protected area amd 2000 No. 44 s 12

sub 2013 No. 55 s 120; 2016 No. 22 s 11

Subdivision 2 Dedication, revocation and amalgamation of protected areas

pt 4 div 2 sdiv 2 hdg ins 2000 No. 44 s 13

amd 2013 No. 55 s 121

29Dedication of protected areas

(1)A regulation may dedicate a specified area of State land as—
(a)a national park (scientific); or
(b)a national park; or
(c)a conservation park; or
(d)a resources reserve.
(2)The classes of protected areas mentioned in subsection (1) are listed in descending order of the level of protection given to them under this Act.

s 29 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 14; 2004 No. 48 s 161; 2011 No. 6 s 102

sub 2013 No. 55 s 122

amd 2016 No. 22 s 12

30Revocation of State forests and timber reserves

(1)Despite the Forestry Act 1959, if an area that is to be dedicated as a protected area is, or includes part of, a State forest or timber reserve set apart and declared under that Act, the regulation dedicating the area may revoke, in whole or part, the setting apart and declaration of the State forest or timber reserve.
(2)The regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to dedicate the area.

s 30 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 42 sch; 2004 No. 48 s 162

31Trustees of protected areas

(1)If an area is dedicated as a conservation park or resources reserve, the Governor in Council may, by regulation, place the area under the management of trustees.
(2)The trustees are to be appointed by the Governor in Council.
(3)The trustees must comply with section 15 in the management of the protected area.
(4)The Acts Interpretation Act 1954, section 25 applies to an office as trustee.
(5)The Trusts Act 1973 does not apply to—
(a)trusts created under this section; and
(b)the trustees of such trusts.
(6)Trustees may, in their official name—
(a)sue or be sued; and
(b)take action for removal of trespassers or protection of property under their management.
(7)For the purpose of any legal proceeding, trustees are taken to be the owners of property under their management.
(8)The Governor in Council may, by gazette notice, revoke a trust created under this section.
(9)The persons who were the trustees of a trust immediately before its revocation must, within 30 days of receipt of written notice given to them by the Minister, repay to the State any unspent amount that—
(a)was paid to them by the State for the purposes of the trust; and
(b)was held by them when the trust was revoked.
(10)An amount payable to the State under subsection (9) is a debt due to the State and may be recovered in a court having jurisdiction for the recovery of debts up to the amount concerned.

s 31 amd 1994 No. 42 ss 6, 2 sch; 1995 No. 57 s 4 sch 1; 2013 No. 55 s 123; 2016 No. 22 s 13

32Revocation of protected areas

(1)The Governor in Council may, by regulation, revoke the dedication of a protected area in whole or part.
(2)The regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.
(3)This section does not apply to a protected area, or a part of a protected area, that is an Indigenous joint management area.

Note—

For a protected area that is also an Indigenous joint management area, see section 42AK. Also, note section 42AM.

s 32 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 15; 2004 No. 48 s 163; 2011 No. 11 s 37; 2024 No. 17 s 192 sch 1pt 3

33Amalgamation etc. of protected areas

(1)The Governor in Council may, by regulation—
(a)amalgamate protected areas of the same class, and assign a name to the amalgamated area; or
(b)change the class of a protected area by dedicating the area as another class of protected area; or
(c)change the boundaries of a protected area.
(2)If—
(a)because of the change in the class of a protected area, the area will be given less protection under this Act; or
(b)because of the change in the boundaries of a protected area, land will be removed from the area (other than for the purpose of dedicating the removed land as land with the same or a higher level of protection under this Act);

the regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.

(3)This section does not apply to a protected area, or a part of a protected area, that is an Indigenous joint management area.

Note—

For a protected area, or part of a protected area, that is an Indigenous joint management area, see section 42AL. Also, note section 42AM.

s 33 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 16; 2004 No. 48 s 164; 2008 No. 52 s 88; 2011 No. 11 s 38; 2024 No. 17 s 192 sch 1pt 3

33AChief executive to lodge document for dedication, revocation and amalgamation etc.

(1)This section applies if a regulation is made under this subdivision for—
(a)the dedication or revocation of a protected area under section 29 or 32; or
(b)the revocation of a State forest or timber reserve under section 30; or
(c)the amalgamation or other change to a protected area under section 33; or
(d)the appointment or revocation of trustees under section 31.
(2)The chief executive must lodge for registration with the registrar of titles a document evidencing the matter the subject of the regulation.
(3)The document must—
(a)be lodged as soon as practicable after the regulation is made; and
(b)comply with any requirements of the registrar of titles.
(4)If the dedication, revocation, amalgamation or other change to a protected area affects a part of a lot within the meaning of the Land Act 1994, the document lodged must be accompanied by a plan of subdivision for the change.

s 33A ins 2011 No. 31 s 338

amd 2013 No. 55 s 29; 2021 No. 12 s 148 sch 3

33B[Repealed]

s 33B ins 2011 No. 31 s 338

om 2013 No. 55 s 30

Subdivision 3 Interests in protected areas

pt 4 div 2 sdiv 3 hdg ins 2000 No. 44 s 17

34Leases etc. over protected areas

(1)A lease, agreement, licence, permit or other authority over, or in relation to, land in a protected area (other than an agreement or a licence, permit or other authority issued or given under a regulation) may be granted, made, issued or given only—
(a)by—
(i)if the area is a national park (scientific) or national park—the chief executive under this Act; or
(ii)if the area is a conservation park or resources reserve—the chief executive or trustees of the area with the consent of the chief executive; or
(b)under another Act by—
(i)the Governor in Council; or
(ii)someone else with the consent of the Minister or chief executive.
(2)A lease, agreement, licence, permit or other authority mentioned in subsection (1) must be consistent with—
(a)the management principles for the area; and
(b)if a management plan has been approved for the area, the management plan.
(3)This section does not apply to a protected area, or a part of a protected area, that is an Indigenous joint management area.

Note—

For a protected area, or part of a protected area, that is an Indigenous joint management area, see section 42AN.

s 34 sub 1994 No. 42 s 7

amd 2000 No. 44 s 18; 2005 No. 53 s 131; 2011 No. 11 s 39; 2013 No. 55 s 124; 2016 No. 22 s 14; 2024 No. 17 s 192 sch 1pt 3

35Chief executive’s powers about permitted uses in national parks

(1)The chief executive may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, land in a national park if—
(a)the use under the authority is only for a service facility or an ecotourism facility; and
(b)if the use under the authority is for a service facility, the chief executive is satisfied—
(i)the cardinal principle for the management of national parks will be observed to the greatest possible extent; and
(ii)the use will be in the public interest; and
(iii)the use is ecologically sustainable; and
(iv)there is no reasonably practicable alternative to the use; and
(c)if the use under the authority is for an ecotourism facility, the chief executive is satisfied—
(i)the use will be in the public interest; and
(ii)the use is ecologically sustainable; and
(iii)the use will provide, to the greatest possible extent, for the preservation of the land’s natural condition and the protection of the land’s cultural resources and values; and
(d)the use under the authority is prescribed under a regulation made for this section to be a permitted use for the area.
(2)Subsection (1)—
(a)has effect despite section 15; and
(b)does not limit, and is not limited by, section 34.
(3)This section does not apply to a national park, or a part of a national park, that is an Indigenous joint management area.

Note—

For an Indigenous joint management area, see section 42AO.

s 35 ins 1994 No. 42 s 7

amd 1995 No. 40 s 13; 2000 No. 44 ss 19, 39; 2003 No. 96 s 18; 2011 No. 11 s 40; 2013 No. 18 s 8; 2013 No. 55 s 125; 2021 No. 11 s 12; 2024 No. 17 s 192 sch 1pt 3

35AChief executive’s powers about permitted uses for existing service facilities in national parks

(1)The chief executive may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, land in a national park if—
(a)the use under the authority is only for an existing service facility; and
(b)the chief executive is satisfied—
(i)the use is ecologically sustainable; and
(ii)the use does not include carrying out substantial improvements to the existing service facility.

Examples of a substantial improvement to an existing service facility—

an upgrade of a road that provides access to a communications tower
the replacement of a pipeline with a larger pipeline
(2)Subsection (1) applies despite sections 15 and 34(2), and does not limit section 35.
(3)This section does not apply to a national park, or a part of a national park, that is an Indigenous joint management area.

Note—

For an Indigenous joint management area, see section 42AOA.

s 35A ins 2013 No. 18 s 9

amd 2013 No. 55 s 126; 2024 No. 17 s 192 sch 1pt 3

36Authorities for new national park

(1)This section applies if—
(a)land is dedicated as a national park; and
(b)immediately before the dedication, the land was being used (the previous use) in a way that is inconsistent with the management principles of the park.
(2)The chief executive may grant an authority (a previous use authority) over, or in relation to, the land to allow the previous use to continue for no more than the allowable term after the dedication.
(3)However, a previous use authority must not be granted for a national park if the previous use was under a sales permit under the Forestry Act 1959, section 56.
(4)A previous use authority must not be renewed.
(5)This section—
(a)applies despite sections 15 and 34(2); but
(b)does not limit sections 35 and 35A.
(5A)This section does not apply to a national park, or a part of a national park, that is an Indigenous joint management area.

Note—

For an Indigenous joint management area, see section 42AP.
(6)In this section—
allowable term, for a previous use of a national park, means a term no longer than—
(a)if the previous use was under a permit or lease as follows, the term that is the unexpired term of the permit or lease—
(i)an occupation permit under the Forestry Act 1959, section 35(1)(a) under which the right of occupation is only for a service facility;
(ii)a stock grazing permit under the Forestry Act 1959, section 35(1)(c);
(iii)an apiary permit under the Forestry Act 1959, section 35(1)(d);
(iv)a sales permit under the Forestry Act 1959, section 56, for the taking of plant parts if it does not authorise cutting or pruning of plants so severely that the plant is likely to die;
(v)a lease under the Land Act 1994; or
(b)otherwise—3 years after the dedication.
authority means an agreement or a lease, licence, permit or other authority.
plant parts means the flowers, foliage, seeds or stems of the plant.

s 36 ins 1994 No. 42 s 7

amd 1994 No. 81 s 527 sch 5

sub 2000 No. 44 s 20

amd 2003 No. 96 s 19; 2008 No. 52 s 89; 2011 No. 11 s 41; 2013 No. 18 s 10; 2013 No. 55 s 127; 2024 No. 17 s 192 sch 1pt 3

36AApiary permits for particular areas

(1)Despite sections 15 and 137, the chief executive may grant an apiary permit for a national park, even if the permit is inconsistent with the management strategy for the park.
(2)However, subsection (1) applies only if—
(a)the apiary permit is granted for an area (an apiary area) prescribed by regulation to be an apiary area; and
(b)the granting of the permit complies with any requirements prescribed by regulation for the apiary area.
(3)The Minister may recommend to the Governor in Council the making of a regulation prescribing an apiary area only if the Minister is satisfied—
(a)the area—
(i)was a prescribed forest reserve immediately before the commencement; and
(ii)is to be proposed for dedication as a national park after the commencement; or
(b)the area was a prescribed forest reserve before it was dedicated, or taken to be dedicated, as a national park before the commencement; or
(c)the area—
(i)was dedicated as a national park before the commencement; and
(ii)is subject to a previous use authority for beekeeping activities; or
(d)the area was, before the commencement, declared as a special management area (controlled action) for carrying out beekeeping activities; or
(e)the area is, after the commencement, dedicated as a national park and beekeeping activities were lawfully carried out or permitted on the area immediately before the dedication; or
(f)the area is, after the commencement, proposed for dedication as a national park and beekeeping activities are being lawfully carried out or are permitted on the area.
(4)Without limiting subsection (2)(b), a regulation may prescribe—
(a)requirements about sites designated for the placing of beehives in an apiary area; or
(b)limits on the number of sites for the apiary area or beehives for each site.
(5)This section does not limit, and is not limited by, section 36.
(6)This section stops applying on 1 January 2045.
(7)In this section—
apiary permit means a permit, issued or given under a regulation, to take, use, keep or interfere with a cultural or natural resource for beekeeping.
management strategy, for a national park, means any of the following for the park—
(a)the management principles;
(b)the interim or declared management intent;
(c)a management plan.
prescribed forest reserve means a forest reserve prescribed by regulation under section 184, as in force from time to time before the commencement.
previous use authority see section 36(2).

s 36A ins 2022 No. 21 s 25

37Chief executive’s powers to renew existing authorities for national parks

(1)In this section—
authority means a lease, agreement, permit or other authority (other than an authority permitting stock grazing or the location of beehives)—
(a)granted, made, issued or given under the former Act or the Land Act 1962 over, or in relation to, a national park under the former Act; and
(b)in force immediately before the repeal of the former Act; and
(c)continued in force under this Act.
former Act means the National Parks and Wildlife Act 1975.
(2)The chief executive may renew, or consent to the renewal of, an authority for the national park if the use under the authority is prescribed under a regulation made for this section to be a permitted use for the area.
(3)The authority may only be renewed for—
(a)if no management plan is in force for the area when the renewal is granted—not longer than 10 years; or
(b)if a management plan is in force for the area when the renewal is granted—the term authorised under the plan.
(4)The authority may be renewed subject to the conditions the chief executive considers appropriate.
(5)This section has effect despite sections 15 and 34(2).

s 37 ins 1994 No. 42 s 7

amd 1995 No. 40 s 14; 2000 No. 44 s 39; 2014 No. 29 s 120; 2016 No. 22 s 14A

37ALeases must be registered

As soon as practicable after a lease is granted under section 34, 35, 35A or 36, or renewed under section 37, the chief executive must lodge the lease or renewed lease with the registrar of titles for registration.

s 37A ins 2011 No. 31 s 339

amd 2013 No. 55 s 31; 2021 No. 12 s 148 sch 3

38Leases may be granted under Land Act 1994

(1)Subject to subsection (2), a term lease under the Land Act 1994 may be granted over any land within a protected area as if the land were reserved and set apart under that Act for public purposes.
(2)The lease must—
(a)be consistent with—
(i)the management principles for the area; and
(ii)if a management plan is in effect for the area—the management plan for the area; and
(b)for a lease other than a rolling term lease under the Land Act 1994—be granted only with the consent of, and subject to the conditions decided by, the chief executive.
(3)The Land Act 1994 applies to the lease to the extent that it is not inconsistent with this Act.

s 38 amd 1994 No. 42 s 8; 1994 No. 81 s 527 sch 5; 2013 No. 55 s 32; 2014 No. 29 s 121; 2016 No. 22 s 14B

39Creation of interests in protected areas

Despite any other Act, an interest in land in a protected area may be created only in accordance with this Act.

s 39 ins 1994 No. 42 s 9

Subdivision 4A Carbon abatement products

pt 4 div 2 sdiv 4A hdg ins 2011 No. 31 s 340

39DDefinition for sdiv 4A

In this subdivision—
owner, of land in the area of a conservation park or resources reserve, means the trustee appointed for the land under section 31.

s 39D def owner amd 2013 No. 55 s 128; 2016 No. 22 s 15

s 39D ins 2011 No. 31 s 340

39EChief executive may keep guidelines

(1)The chief executive may keep guidelines about the making of an application under this part.
(2)The Land Act 1994, section 420B applies to the chief executive for the making of the guidelines—
(a)as if a reference to the chief executive in that section were a reference to the chief executive administering this Act; and
(b)with other necessary changes.

s 39E ins 2011 No. 31 s 340

39FApplication for right to deal with carbon abatement products

(1)An owner may apply to the chief executive to be granted a right to deal with carbon abatement products on the land.
(2)The application must be in the approved form.

s 39F ins 2011 No. 31 s 340

39GDeciding application

(1)The chief executive must decide whether to approve the application.
(2)In deciding the application, the chief executive must consider whether the land the subject of the application will, or is likely to, be used or dealt with under this Act in a way that is inconsistent with the grant of the proposed right.
(3)The chief executive may grant the application subject to conditions.

s 39G ins 2011 No. 31 s 340

39HNotice of decision

(1)As soon as practicable after deciding the application, the chief executive must give written notice of the decision to the following—
(a)the applicant; and
(b)if the chief executive approves the application—the registrar of titles.
(2)The notice must state—
(a)the decision; and
(b)if the chief executive refuses the application, or approves the application with conditions not agreed to in writing by the applicant—
(i)the reasons for the decision; and
(ii)that the applicant may seek an internal review of the decision; and
(iii)how the review is started.

s 39H ins 2011 No. 31 s 340

amd 2021 No. 12 s 148 sch 3

39IInternal review of chief executive’s decision

(1)The applicant may apply to the Minister for an internal review of the chief executive’s decision.
(2)The application must—
(a)be made within 42 days after notice of the decision was given to the applicant, or any longer period allowed by the Minister; and
(b)be written; and
(c)include details of the grounds on which the applicant seeks review of the decision.

s 39I ins 2011 No. 31 s 340

39JDecision on reconsideration

(1)After reviewing the decision (the original decision), the Minister must make a further decision (the review decision) to confirm the original decision or substitute a new decision.
(2)The Minister must immediately give written notice of the review decision to—
(a)the applicant; and
(b)if notice of the original decision was given to the registrar of titles and the Minister substitutes a new decision—the registrar of titles.

s 39J ins 2011 No. 31 s 340

amd 2021 No. 12 s 148 sch 3

Division 3 Protected areas (Aboriginal land and Torres Strait Islander land) and Indigenous joint management areas

pt 4 div 3 hdg amd 2011 No. 11 s 42; 2024 No. 17 s 192 sch 1pt 3

Subdivision 1 National parks (Aboriginal land) and national parks (Torres Strait Islander land)

pt 4 div 3 sdiv 1 hdg ins 2007 No. 48 s 47

40Dedication of national park as national park (Aboriginal land) or national park (Torres Strait Islander land)

(1)This section applies to land in a national park (the national park land) if—
(a)it is not in the Cape York Peninsula region, North Stradbroke Island Region or on Moreton Island; and
(b)it becomes Aboriginal land or Torres Strait Islander land.
(2)On approval of the management statement or management plan for the national park land under section 113A or 118, the Governor in Council must, by regulation, dedicate the national park land as national park (Aboriginal land) or national park (Torres Strait Islander land).
(3)Despite any other Act, a regulation under this section takes effect on the delivery of the deed of grant over the national park land to the Indigenous landholder for the land.

s 40 amd 1994 No. 42 s 2 sch; 2007 No. 48 s 48; 2011 No. 11 s 43; 2011 No. 26 s 113; 2013 No. 55 s 33; 2021 No. 11 s 13; 2024 No. 17 s 192 sch 1pt 3

41Dedication of Aboriginal land as national park (Aboriginal land) or Torres Strait Islander land as national park (Torres Strait Islander land)

(1)This section applies to Aboriginal land or Torres Strait Islander land that is not a national park or included in a national park.
(2)If the Indigenous landholder for the land and the Minister agree on a proposal for the lease of the land, or part of the land, to the State for the purpose of the land being managed as a national park (Aboriginal land) or national park (Torres Strait Islander land)—
(a)the chief executive may prepare a management statement for the land; or
(b)the Minister may prepare a management plan for the land.
(3)Part 7 applies to the management statement or management plan as if it were a management statement or management plan for a protected area.
(4)The management statement or management plan must be prepared in cooperation with the Indigenous landholder, and the board of management, for the land.
(5)On—
(a)the signing of the lease; and
(b)the approval of a management statement or management plan for the land;

the Governor in Council must, by regulation, dedicate the land as national park (Aboriginal land) or national park (Torres Strait Islander land).

(6)Despite any other Act, a regulation under this section takes effect on the registration of the lease.

s 41 amd 1994 No. 42 s 2 sch; 2011 No. 26 s 114; 2013 No. 55 ss 34, 129; 2024 No. 17 s 192 sch 1pt 3

42Dedication of leasehold land as national park (Aboriginal land) or national park (Torres Strait Islander land)

(1)Despite the Land Act 1994, an authorised lessee may, under this section, sublease land to the State for the purpose of the land being managed as a national park (Aboriginal land) or national park (Torres Strait Islander land).
(2)If an authorised lessee and the Minister agree on a proposal for the sublease of land to the State for the purpose of the land being managed as a national park (Aboriginal land) or national park (Torres Strait Islander land)—
(a)the chief executive may prepare a management statement for the land; or
(b)the Minister may prepare a management plan for the land.
(3)Part 7 applies to the management statement or management plan as if it were a management statement or management plan for a protected area.
(4)The management statement or management plan must be prepared in cooperation with the lessees of, and the board of management for, the land.
(5)On—
(a)the signing of a sublease; and
(b)the approval of a management statement or management plan for the land;

the Governor in Council must, by regulation, dedicate the area as national park (Aboriginal land) or national park (Torres Strait Islander land).

(6)Despite any other Act, a regulation under this section takes effect on the registration of the sublease.
(7)In this section—
authorised lessee means a lessee of land under the Land Act 1994 who the Governor in Council, by regulation, has declared to be an authorised lessee for the purpose of this section.

s 42 amd 1994 No. 42 s 2 sch; 2013 No. 55 ss 35, 130

Subdivision 2 National parks (Cape York Peninsula Aboriginal land)

pt 4 div 3 sdiv 2 hdg ins 2007 No. 48 s 49

42AADedication of national park as national park (Cape York Peninsula Aboriginal land)

(1)This section applies to a national park, or part of a national park, (the national park land) if—
(a)the national park land is in the Cape York Peninsula Region and becomes Aboriginal land; and
(b)the Minister is satisfied an Indigenous management agreement about the management of the Aboriginal land has been entered into.
(2)On the land becoming Aboriginal land, the Minister must recommend to the Governor in Council the making of a regulation dedicating the land as a national park (Cape York Peninsula Aboriginal land).
(3)Despite any other Act, the dedication under the regulation is taken to have effect on the delivery of the deed of grant over the national park land to the Indigenous landholder for the land.

s 42AA ins 2007 No. 48 s 49

amd 2011 No. 26 s 115; 2024 No. 17 s 192 sch 1pt 3

42ABDedication of Aboriginal land as national park (Cape York Peninsula Aboriginal land)

(1)This section applies to Aboriginal land that is not a national park or included in a national park if—
(a)the Indigenous landholder for the land has entered into an Indigenous management agreement for it; and
(b)the Minister and the Indigenous landholder agree that the land is to be managed as a national park (Cape York Peninsula Aboriginal land).
(2)The Minister must recommend to the Governor in Council the making of a regulation dedicating the land as a national park (Cape York Peninsula Aboriginal land).

s 42AB ins 2007 No. 48 s 49

amd 2011 No. 26 s 116; 2013 No. 55 s 131; 2024 No. 17 s 192 sch 1pt 3

42ACDedication of other land as national park (Cape York Peninsula Aboriginal land)

(1)This section applies to land, other than land to which section 42AB applies, that is not a national park or included in a national park if—
(a)under the Aboriginal Land Act 1991, an entity has entered into an Indigenous management agreement for the land; and
(b)the Minister and the entity agree that the land is to be managed as a national park (Cape York Peninsula Aboriginal land).
(2)If the land becomes Aboriginal land—
(a)the grant of the land as Aboriginal land is subject to a condition that the land must become a national park (Cape York Peninsula Aboriginal land); and
(b)the Minister must recommend to the Governor in Council the making of a regulation dedicating the land as a national park (Cape York Peninsula Aboriginal land).

s 42AC ins 2007 No. 48 s 49

amd 2011 No. 26 s 117; 2013 No. 55 s 132; 2024 No. 17 s 192 sch 1pt 3

42ADLeases etc. over national park (Cape York Peninsula Aboriginal land)

(1)A lease, agreement, licence, permit or other authority over, or in relation to, land in a national park (Cape York Peninsula Aboriginal land), other than an agreement or a licence, permit or other authority issued or given under a regulation, may be granted, made, issued or given only—
(a)by the chief executive with the consent of the Indigenous landholder for the land; or
(b)by the Indigenous landholder for the land with the consent of the chief executive.
(2)A lease, agreement, licence, permit or other authority mentioned in subsection (1) must be consistent with—
(a)the management principles and any management plan for the national park (Cape York Peninsula Aboriginal land); and
(b)any Indigenous land use agreement for the land; and
(c)the Indigenous management agreement for the land.
(3)If a lease is granted under subsection (1), the chief executive must, as soon as practicable after the grant, lodge the lease with the registrar of titles for registration.

s 42AD ins 2007 No. 48 s 49

amd 2011 No. 26 s 118; 2011 No. 31 s 341; 2013 No. 55 s 175 sch 1 pt 1; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AEParticular powers about permitted uses in national park (Cape York Peninsula Aboriginal land)

(1)The chief executive and the Indigenous landholder for land in a national park (Cape York Peninsula Aboriginal land), may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, the land if—
(a)the use under the authority is only for a service facility or an ecotourism facility; and
(b)if the use under the authority is for a service facility, the chief executive and the Indigenous landholder are satisfied—
(i)the cardinal principle for the management of national parks will be observed to the greatest possible extent; and
(ii)the use will be in the public interest; and
(iii)the use is ecologically sustainable; and
(iv)there is no reasonably practicable alternative to the use; and
(c)if the use under the authority is for an ecotourism facility, the chief executive and the Indigenous landholder are satisfied—
(i)the use will be in the public interest; and
(ii)the use is ecologically sustainable; and
(iii)the use will provide, to the greatest possible extent, for the preservation of the land’s natural condition and the protection of the land’s cultural resources and values; and
(d)the use under the authority is prescribed under a regulation made for this section to be a permitted use for the protected area.
(2)Subsection (1)—
(a)has effect despite section 15; and
(b)does not limit, and is not limited by, section 42AD.
(3)If a lease is granted under subsection (1), the chief executive must, as soon as practicable after the grant, lodge the lease with the registrar of titles for registration.

s 42AE ins 2007 No. 48 s 49

amd 2011 No. 26 s 119; 2013 No. 18 s 11; 2011 No. 31 s 342; 2021 No. 11 s 14; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AEA Particular powers about permitted uses for existing service facilities in national park (Cape York Peninsula Aboriginal land)

(1)The chief executive and the Indigenous landholder for land in a national park (Cape York Peninsula Aboriginal land) may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, the land if—
(a)the use under the authority is only for an existing service facility; and
(b)the chief executive and the Indigenous landholder are satisfied—
(i)the use is ecologically sustainable; and
(ii)the use does not include carrying out substantial improvements to the existing service facility.

Examples of a substantial improvement to an existing service facility—

an upgrade of a road that provides access to a communications tower
the replacement of a pipeline with a larger pipeline
(2)Subsection (1) applies despite sections 15 and 42AD(2), and does not limit section 42AE.
(3)As soon as practicable after a lease is granted under subsection (1), the chief executive must lodge the lease with the registrar of titles for registration.

s 42AEA ins 2013 No. 18 s 12

amd 2013 No. 55 ss 36, 133; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AFRevocation of national park (Cape York Peninsula Aboriginal land)

(1)A regulation may revoke the dedication of all or a part of a national park (Cape York Peninsula Aboriginal land) if the land in the national park or the part of the national park has been surrendered to the State.
(2)The regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.

s 42AF ins 2011 No. 26 s 120

Subdivision 3 Indigenous joint management areas

pt 4 div 3 sdiv 3 hdg ins 2011 No. 11 s 44

42AGPurpose of subdivision

The purpose of this subdivision is to provide for the declaration of prescribed protected areas situated in the North Stradbroke Island Region or on Moreton Island as Indigenous joint management areas.

s 42AG ins 2011 No. 11 s 44

sub 2021 No. 11 s 15

amd 2024 No. 17 s 192 sch 1pt 3

42AHDeclaration of a prescribed protected area as Indigenous joint management area

(1)This section applies to land in a prescribed protected area (the protected area land) if—
(a)the protected area land is—
(i)in the North Stradbroke Island Region; or
(ii)on Moreton Island; and
(b)the protected area land becomes Aboriginal land; and
(c)the Minister is satisfied an Indigenous management agreement about the management of the Aboriginal land has been entered into.
(2)On the land becoming Aboriginal land, the Minister must recommend to the Governor in Council the making of a regulation declaring the protected area land as an Indigenous joint management area.
(3)Despite any other Act, the declaration under the regulation is taken to have effect on the delivery of the deed of grant over the protected area land to the Indigenous landholder for the land.

s 42AH ins 2011 No. 11 s 44

amd 2021 No. 11 s 16; 2024 No. 17 s 192 sch 1pt 3

42AIDeclaration of Aboriginal land as Indigenous joint management area

(1)This section applies to Aboriginal land that is not a prescribed protected area or included in a prescribed protected area if—
(a)the land is—
(i)in the North Stradbroke Island Region; or
(ii)on Moreton Island; and
(b)the Indigenous landholder for the land has entered into an Indigenous management agreement for it; and
(c)the Minister and the Indigenous landholder agree that the land is to be managed as an Indigenous joint management area.
(2)The Minister must recommend to the Governor in Council the making of a regulation—
(a)dedicating the land as a prescribed protected area; and
(b)declaring the land as an Indigenous joint management area.

s 42AI ins 2011 No. 11 s 44

amd 2013 No. 55 s 134; 2021 No. 11 s 17; 2024 No. 17 s 192 sch 1pt 3

42AJDeclaration of other land as an Indigenous joint management area

(1)This section applies to land in the North Stradbroke Island Region, other than land to which section 42AI applies, that is not a prescribed protected area or included in a prescribed protected area if—
(a)under the Aboriginal Land Act 1991, an entity has entered into an Indigenous management agreement for the land; and
(b)the Minister and the entity agree that the land is to be managed as an Indigenous joint management area.
(2)If the land becomes Aboriginal land—
(a)the grant of the land as Aboriginal land is subject to a condition that the land must become—
(i)a prescribed protected area; and
(ii)an Indigenous joint management area; and
(b)the Minister must recommend to the Governor in Council the making of a regulation—
(i)dedicating the land as a prescribed protected area; and
(ii)declaring the land as an Indigenous joint management area.

s 42AJ ins 2011 No. 11 s 44

amd 2013 No. 55 s 135; 2024 No. 17 s 192 sch 1pt 3

42AKRevocation of dedication of protected area or declaration of Indigenous joint management areas

(1)A regulation may—
(a)revoke the dedication of a protected area, or part of a protected area, that is an Indigenous joint management area; or
(b)revoke the declaration of all or a part of an Indigenous joint management area;

only if the land the subject of the revocation has been surrendered to the State.

(2)A regulation under subsection (1)(a) may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.

s 42AK ins 2011 No. 11 s 44

amd 2024 No. 17 s 192 sch 1pt 3

42ALAmalgamation etc. of protected areas that are Indigenous joint management areas

(1)This section applies only to protected areas that are Indigenous joint management areas.
(2)The Governor in Council may, by regulation—
(a)amalgamate protected areas of the same class, and assign a name to the amalgamated area; or
(b)change the class of a protected area by dedicating the area as another class of protected area; or
(c)change the boundaries of a protected area.
(3)If, because of the change in the class of a protected area, the area will be given less protection under this Act, the regulation may be made—
(a)only with the consent of the Indigenous landholder for the land; and
(b)only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.
(4)If, because of the change in the boundaries of a protected area, land will be removed from the area (other than for the purpose of dedicating the removed land as land with the same or a higher level of protection under this Act), the regulation may be made only if—
(a)the land to be removed has been surrendered to the State; and
(b)the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.
(5)This section applies despite section 42AK.

s 42AL ins 2011 No. 11 s 44

amd 2024 No. 17 s 192 sch 1pt 3

42AMEffect of revocation of prescribed protected area on Indigenous joint management area

(1)This section applies if—
(a)the dedication of a prescribed protected area, or part of a prescribed protected area, that is an Indigenous joint management area is revoked under this Act; or
(b)a prescribed protected area, or part of a prescribed protected area, that is an Indigenous joint management area is removed under section 42AL(2).
(2)On the revocation of the dedication of, or the removal of, the prescribed protected area or part—
(a)if the area or part is dedicated as another class of prescribed protected area—the declaration of the Indigenous joint management area continues in force; or
(b)otherwise—the declaration of the Indigenous joint management area for the protected area or part is taken to have been revoked.

s 42AM ins 2011 No. 11 s 44

amd 2024 No. 17 s 192 sch 1pt 3

42ANLeases etc. over land in Indigenous joint management area

(1)A lease, agreement, licence, permit or other authority over, or in relation to, land in an Indigenous joint management area, other than an agreement or a licence, permit or other authority issued or given under a regulation, may be granted, made, issued or given only—
(a)by the chief executive with the consent of the Indigenous landholder for the land; or
(b)by the Indigenous landholder for the land with the consent of the chief executive.
(2)A lease, agreement, licence, permit or other authority mentioned in subsection (1) must be consistent with—
(a)the management principles and any management plan for the Indigenous joint management area; and
(b)any Indigenous land use agreement for the land; and
(c)the Indigenous management agreement for the land.
(3)If a lease is granted under subsection (1), the chief executive must, as soon as practicable after the grant, lodge the lease with the registrar of titles for registration.

s 42AN ins 2011 No. 11 s 44

amd 2011 No. 31 s 343; 2013 No. 55 s 175 sch 1 pt 1; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AOParticular powers about permitted uses on land in particular Indigenous joint management areas

(1)The chief executive and the Indigenous landholder for land in a national park, or part of a national park, that is an Indigenous joint management area, may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, the land if—
(a)the use under the authority is only for a service facility or an ecotourism facility; and
(b)if the use under the authority is for a service facility, the chief executive and the Indigenous landholder are satisfied—
(i)the cardinal principle for the management of national parks will be observed to the greatest possible extent; and
(ii)the use will be in the public interest; and
(iii)the use is ecologically sustainable; and
(iv)there is no reasonably practicable alternative to the use; and
(c)if the use under the authority is for an ecotourism facility, the chief executive and the Indigenous landholder are satisfied—
(i)the use will be in the public interest; and
(ii)the use is ecologically sustainable; and
(iii)the use will provide, to the greatest possible extent, for the preservation of the land’s natural condition and the protection of the land’s cultural resources and values; and
(d)the use under the authority is prescribed under a regulation made for this section to be a permitted use for the Indigenous joint management area.
(2)Subsection (1)—
(a)has effect despite section 15; and
(b)does not limit, and is not limited by, section 42AN.
(3)As soon as practicable after a lease is granted under subsection (1), the chief executive must lodge the lease with the registrar of titles for registration.

s 42AO ins 2011 No. 11 s 44

amd 2013 No. 18 s 13; 2013 No. 55 ss 37, 136; 2021 No. 11 s 18; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AOA Particular powers about permitted uses for existing service facilities on land in particular Indigenous joint management areas

(1)The chief executive and the Indigenous landholder for land in a national park, or part of a national park, that is an Indigenous joint management area, may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, the land if—
(a)the use under the authority is only for an existing service facility; and
(b)the chief executive and the Indigenous landholder are satisfied—
(i)the use is ecologically sustainable; and
(ii)the use does not include carrying out substantial improvements to the existing service facility.

Examples of a substantial improvement to an existing service facility—

an upgrade of a road that provides access to a communications tower
the replacement of a pipeline with a larger pipeline
(2)Subsection (1) applies despite sections 15 and 42AN(2), and does not limit section 42AO.
(3)As soon as practicable after a lease is granted under subsection (1), the chief executive must lodge the lease with the registrar of titles for registration.

s 42AOA ins 2013 No. 18 s 14

amd 2013 No. 55 ss 38, 137; 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42APAuthorities for new national park that is an Indigenous joint management area

(1)This section applies if—
(a)land is, or is part of, an Indigenous joint management area; and
(b)the land is dedicated as a national park; and
(c)immediately before the dedication, the land was being used (the previous use) in a way that is inconsistent with the management principles of the park.
(2)The chief executive and the Indigenous landholder for land in the national park, or a part of the national park, that is an Indigenous joint management area, may grant an authority (a previous use authority) over, or in relation to, the land to allow the previous use to continue for no more than the allowable term after the dedication.
(3)However, a previous use authority must not be granted for a national park if the previous use was under a sales permit under the Forestry Act 1959, section 56.
(4)A previous use authority must not be renewed.
(5)This section applies despite sections 15 and 42AN(2), and does not limit sections 42AO and 42AOA.
(6)In this section—
allowable term, in relation to a previous use authority, means a term no longer than—
(a)if the previous use was under a permit or lease as follows, the term that is the unexpired term of the permit or lease—
(i)an occupation permit under the Forestry Act 1959, section 35(1)(a) under which the right of occupation is only for a service facility;
(ii)a stock grazing permit under the Forestry Act 1959, section 35(1)(c);
(iii)an apiary permit under the Forestry Act 1959, section 35(1)(d);
(iv)a sales permit under the Forestry Act 1959, section 56, for the taking of plant parts if it does not authorise cutting or pruning of plants so severely that the plant is likely to die;
(v)a lease under the Land Act 1994; or
(b)otherwise—3 years after the dedication.
authority means an agreement or a lease, licence, permit or other authority.
plant parts means the flowers, foliage, seeds or stems of the plant.

s 42AP ins 2011 No. 11 s 44

amd 2013 No. 18 s 15; 2013 No. 5 s 138; 2024 No. 17 s 192 sch 1pt 3

Subdivision 4 Registration

pt 4 div 3 sdiv 4 hdg ins 2011 No. 31 s 344

42AQChief executive to lodge document for dedication, declaration or change

(1)This section applies if a regulation is made for—
(a)the dedication or declaration of the following under this division—
(i)a national park (Aboriginal land);
(ii)a national park (Torres Strait Islander land);
(iii)a national park (Cape York Peninsula Aboriginal land);
(iv)an Indigenous joint management area; or
(b)the revocation, amalgamation or other change to an Indigenous joint management area under subdivision 3.
(2)The chief executive must lodge for registration with the registrar of titles a document evidencing the matter the subject of the regulation.
(3)The document must—
(a)be lodged as soon as practicable after the dedication, declaration, revocation, amalgamation or change is made; and
(b)comply with any requirements of the registrar of titles.
(4)If the dedication, declaration, revocation, amalgamation or other change mentioned in subsection (1) affects a part of a lot with the meaning of the Land Act 1994, the document must be accompanied by a plan of subdivision for the change.

s 42AQ ins 2011 No. 31 s 344

amd 2021 No. 12 s 148 sch 3; 2024 No. 17 s 192 sch 1pt 3

42AR[Repealed]

s 42AR ins 2011 No. 31 s 344

om 2013 No. 55 s 39

Division 3A Special management areas (controlled action)

pt 4 div 3A hdg ins 2000 No. 44 s 22

sub 2013 No. 55 s 139; 2016 No. 22 s 16

42ADeclaration of special management area (controlled action)

(1)The chief executive may, by notice, declare a prescribed national park, or part of a prescribed national park, as a special management area (controlled action) to allow activities of a type, or for a purpose, stated in—
(a)section 17(1A)(a); or
(b)section 17(1A)(b); or
(c)section 17(1A)(a) and (b).
(1A)However, if the prescribed national park is a national park (Cape York Peninsula Aboriginal land), the chief executive may only declare the special management area (controlled action) with the consent of the Indigenous landholder for the land.
(2)The notice declaring the special management area (controlled action) must—
(a)be erected or displayed at the entrance of the prescribed national park or part of the prescribed national park declared as a special management area (controlled action); and
(b)be easily visible to passers-by; and
(c)identify the limits of the area to which the notice applies; and
(d)state the prescribed activities that may be carried out in the special management area (controlled action).
(3)When the notice is erected or displayed, the chief executive must publish—
(a)a copy of the notice on the department’s website; and
(b)a notice in the gazette about the declaration of the special management area (controlled action).
(4)In this section—
prescribed activities means the activities of a kind, or for a purpose, mentioned in section 17(1A) for which the special management area (controlled action) was declared.
prescribed national park means—
(a)a national park; or
(b)a national park (Aboriginal land); or
(c)a national park (Torres Strait Islander land); or
(d)a national park (Cape York Peninsula Aboriginal land).

s 42A ins 2000 No. 44 s 22

sub 2013 No. 55 s 139

amd 2016 No. 22 s 17; 2024 No. 17 s 192 sch 1pt 3

42BWhen declaration of special management area (controlled action) ends

(1)A declaration made under section 42A(1) ends on the day the chief executive removes the notice declaring the special management area (controlled action).
(2)When the notice is removed, the chief executive must—
(a)remove the copy of the notice on the department’s website; and
(b)publish a notice in the gazette about the ending of the declaration of the special management area (controlled action).

s 42B ins 2000 No. 44 s 22

sub 2013 No. 55 s 139

amd 2016 No. 22 s 18

42C[Repealed]

s 42C ins 2000 No. 44 s 22

sub 2013 No. 55 s 139

om 2016 No. 22 s 19

42D[Repealed]

s 42D ins 2000 No. 44 s 22

om 2013 No. 55 s 139

42E[Repealed]

s 42E ins 2000 No. 44 s 22

om 2013 No. 55 s 139

42F[Repealed]

s 42F ins 2000 No. 44 s 22

om 2013 No. 55 s 139

Division 3B Special wildlife reserves

pt 4 div 3B hdg ins 2019 No. 8 s 12

43Application of division

(1)This division applies to the following land—
(a)freehold land;
(b)Aboriginal land and Torres Strait Islander land;
(c)land subject to a lease under the Land Act 1994;
(d)land that is a reserve under the Land Act 1994.
(2)However, this division does not apply to transferable land under the Aboriginal Land Act 1991 or the Torres Strait Islander Land Act 1991.
(3)If a relevant provision is inconsistent with a provision of another Act applying to land to which this division applies, the relevant provision prevails to the extent of the inconsistency.
(4)In this section—
relevant provision means—
(a)a provision of this division; and
(b)another provision of this Act applying to land to which this division applies because the land is in a special wildlife reserve.

s 43 prev s 43 om 2013 No. 55 s 41

pres s 43 ins 2019 No. 8 s 12

43AProposal for declaration of special wildlife reserve

(1)This section applies if, after considering the following matters in relation to an area of land, the Minister is satisfied the area should be declared as a special wildlife reserve—
(a)the State interest;
(b)the area’s exceptional natural and cultural resources and values.
(2)The Minister must prepare a proposal for the declaration.
(3)The proposal must describe the area (the proposed reserve area) to be included in the special wildlife reserve.
(4)The description of the proposed reserve area must include the following details—
(a)the geographical area of the proposed reserve area;
(b)the proposed reserve area’s exceptional natural and cultural resources and values.
(5)The Minister must give written notice about the proposal to—
(a)each person who has an interest in land in the proposed reserve area; and
(b)each holder of an exploration permit under the Mineral Resources Act 1989 for land in the proposed reserve area; and
(c)each holder of an authority to prospect under the Petroleum Act 1923 or the Petroleum and Gas (Production and Safety) Act 2004 for land in the proposed reserve area; and
(d)each holder of a mining interest, geothermal tenure or GHG authority to which land in the proposed reserve area is subject.
(6)The notice must state a day by which the person may make submissions to the Minister about the proposal.
(7)If the Minister considers it is impracticable to give written notice under subsection (5) to persons of a particular class, the Minister may give the notice by taking reasonable steps to ensure the class is made aware of the proposal.

Examples of taking reasonable steps—

advertising in newspapers or other publications
publishing a notice on the department’s website
(8)In this section—
State interest means an interest the Minister considers to be an economic, environmental or community interest of the State.

s 43A ins 2019 No. 8 s 12

43BMaking conservation agreement for special wildlife reserve

(1)The Minister must, for the State, enter into a conservation agreement for a proposed special wildlife reserve if—
(a)the Minister and the landholder of land in the proposed reserve area for the special wildlife reserve agree—
(i)the land should be a special wildlife reserve; and
(ii)on the terms of the agreement for the reserve; and
(b)there is an approved management program for the reserve.
(2)However, if the rights or interests of a person mentioned in section 43A(5) will be materially affected by the conservation agreement, the Minister must not enter into the agreement without the person’s written consent.
(3)Also, the Minister may enter into a conservation agreement for a proposed special wildlife reserve in the Cape York Peninsula Region only if—
(a)native title for the area has been extinguished; or
(b)for an area for which native title has not been extinguished—
(i)there is an Indigenous land use agreement for the area; and
(ii)the dedication of a special wildlife reserve over the area is allowed under the Indigenous land use agreement; and
(iii)the conservation agreement is consistent with the Indigenous land use agreement.
(4)In this section—
approved management program, for a special wildlife reserve, means a management program for the reserve approved by the Minister under section 120EC.

s 43B ins 2019 No. 8 s 12

amd 2024 No. 17 s 192 sch 1pt 3

43CTerms of conservation agreement for special wildlife reserve

(1)A conservation agreement must—
(a)be consistent with the management principles for a special wildlife reserve; and
(b)state it is binding on the landholder of the land and the landholder’s successors in title; and
(c)contain details of the management program for the special wildlife reserve; and
(d)contain terms prohibiting the following—
(i)the granting of a mining interest, geothermal tenure or GHG authority in relation to the land that can not be granted in relation to a special wildlife reserve under section 27;
(ii)the carrying out of an activity under the Forestry Act 1959 on the land that is prohibited from being carried out on a special wildlife reserve under that Act;
(iii)the granting of a licence or permit under the Fossicking Act 1994 in relation to the land.
(2)A conservation agreement may contain terms—
(a)requiring the State to provide financial or other assistance; or
(b)requiring the State to provide technical advice; or
(c)requiring the State to carry out stated activities; or
(d)allowing a landholder to carry out stated activities; or
(e)prohibiting a stated use of land in the special wildlife reserve; or
(f)restricting the use or management of land in the special wildlife reserve; or
(g)requiring a landholder to refrain from, or not to permit, stated activities; or
(h)requiring a landholder to carry out stated activities; or
(i)requiring a landholder to permit or restrict access to the special wildlife reserve by stated persons; or
(j)stating the way in which amounts provided to a landholder under the agreement are to be applied by the landholder; or
(k)requiring a landholder to repay amounts paid under the agreement if the landholder contravenes the agreement or the agreement ends; or
(l)providing for any other matter relating to the conservation of nature in the special wildlife reserve, including the implementation of the management program for the reserve.

s 43C ins 2019 No. 8 s 12

43DDeclaration of special wildlife reserve

A regulation may declare an area of land the subject of a conservation agreement as a special wildlife reserve.

s 43D ins 2019 No. 8 s 12

43EAgreeing to amend conservation agreement

(1)The Minister and landholders bound by a conservation agreement for a special wildlife reserve may agree to amend the agreement.
(2)However, the amendment must not adversely affect the conservation of nature in the special wildlife reserve.
(3)If the amendment materially affects the rights or interests of a person mentioned in section 43A(5), the amendment may be made only with the written consent of the person.
(4)If a regulation under section 43J is required because of the amendment, the amendment does not take effect until the regulation commences.
(5)Subsection (1) is subject to section 43C(1).

s 43E ins 2019 No. 8 s 12

43FLeases etc. over land in special wildlife reserve

(1)A lease, agreement, licence, permit or other authority over, or in relation to, land in a special wildlife reserve (other than an agreement or a licence, permit or other authority issued or given under a regulation) may be granted, made, issued or given only—
(a)by the chief executive under this Act with the consent of the landholder of the land; or
(b)under another Act by—
(i)the Governor in Council; or
(ii)someone else with the consent of the Minister or chief executive; or
(c)if the landholder of the land gives a lease or sublease of the land to another person—by the landholder with the consent of the chief executive.
(2)A lease, agreement, licence, permit or other authority mentioned in subsection (1) must be consistent with the management principles and the conservation agreement for the special wildlife reserve.
(3)As soon as practicable after a lease is granted or given under subsection (1), the person who granted or gave the lease must lodge the lease for registration with the registrar of titles.

s 43F ins 2019 No. 8 s 12

amd 2021 No. 12 s 148 sch 3

43GService facilities over land in special wildlife reserve

(1)The chief executive may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, land in a special wildlife reserve if—
(a)the use under the authority is only for a new service facility; and
(b)the landholder of the land consents to the use; and
(c)the chief executive is satisfied—
(i)the management principles and the conservation agreement for the special wildlife reserve will be observed to the greatest possible extent; and
(ii)the use will be in the public interest; and
(iii)the use is ecologically sustainable; and
(iv)there is no reasonably practicable alternative to the use; and
(d)the use is prescribed by regulation to be a permitted use for the special wildlife reserve.
(2)The chief executive may grant, make, issue or give a lease, agreement, licence, permit or other authority over, or in relation to, land in a special wildlife reserve if—
(a)the use under the authority is only for an existing service facility; and
(b)the chief executive is satisfied the use—
(i)is ecologically sustainable; and
(ii)does not include carrying out substantial improvements to the existing service facility.

Examples of a substantial improvement to an existing service facility—

an upgrade of a road that provides access to a communications tower
the replacement of a pipeline with a larger pipeline
(3)Subsections (1) and (2)—
(a)have effect despite section 15; and
(b)do not limit, and are not limited by, section 43F.
(4)In this section—
new service facility means a service facility, other than an existing service facility.

s 43G ins 2019 No. 8 s 12

amd 2021 No. 11 s 19

43HPrevious use authorities in special wildlife reserve

(1)This section applies if—
(a)land is declared as a special wildlife reserve; and
(b)immediately before the declaration, the land was being used (the previous use) by a person other than the landholder of the land in a way that is inconsistent with the management principles and conservation agreement for the special wildlife reserve.
(2)The chief executive may grant an authority (a previous use authority) to the person over, or in relation to, the land to allow the previous use to continue for no longer than the allowable term.
(3)A previous use authority must not be renewed.
(4)This section—
(a)applies despite sections 15, 43F(1)(a) and 43F(2); and
(b)does not limit section 43G(2).
(5)In this section—
allowable term, in relation to previous use on a special wildlife reserve, means—
(a)if the previous use was under an authority—the unexpired term of the authority; or
(b)otherwise—3 years after the declaration of the reserve.
authority means an agreement, lease, licence, permit or other authority.

s 43H ins 2019 No. 8 s 12

43IAmalgamation of special wildlife reserves

A regulation may—
(a)amalgamate the areas of 2 or more special wildlife reserves; and
(b)assign a name to the amalgamated area.

s 43I ins 2019 No. 8 s 12

43JRevocation of special wildlife reserves

(1)A regulation may revoke the declaration of all or part of a special wildlife reserve.
(2)The regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.
(3)Subsection (2) does not apply if the regulation—
(a)makes a minor change to the boundaries of a special wildlife reserve and the Minister is satisfied the change does not adversely affect the conservation of nature; or

Example for paragraph (a)—

changing the boundaries of a special wildlife reserve to align with a new survey of an existing road
(b)increases the area of land in a special wildlife reserve and the Minister is satisfied the increase does not adversely affect the conservation of nature; or
(c)dedicates the land subject of the revocation as a national park (scientific) or a national park.
(4)If the regulation revokes the declaration of all of a special wildlife reserve, the conservation agreement and management program for the reserve end on the revocation.
(5)If the regulation revokes the declaration of part of a special wildlife reserve, on the revocation, the conservation agreement and management program for the reserve stop having effect in relation to the land removed from the reserve.

s 43J ins 2019 No. 8 s 12

43KConservation agreements for special wildlife reserves binding

(1)A conservation agreement for a special wildlife reserve is binding on—
(a)the landholder of the land in the reserve; and
(b)the landholder’s successors in title; and
(c)any other person with an interest in land in the reserve who consented to the agreement.
(2)Subsection (1) applies even if—
(a)there is a lease or reserve under the Land Act 1994 over the land in the special wildlife reserve; and
(b)under the Land Act 1994
(i)the lease is renewed or extended; or
(ii)the lease is converted to freehold land or a different type of lease; or
(iii)the reserve is converted to freehold land or a different type of reserve.

s 43K ins 2019 No. 8 s 12

43LConsent for transfer or surrender of land or expiry of lease

(1)This section applies if—
(a)a special wildlife reserve is declared over freehold land or land in a lease under the Land Act 1994; and
(b)a person intends, under the Land Act 1994, to do any of the following—
(i)surrender all or part of the freehold land or lease;
(ii)allow the lease to expire at the end of its term;
(iii)transfer the lease.
(2)The person must obtain the chief executive’s written consent—
(a)for the surrender or transfer before seeking approval from the chief executive (lands) to surrender the freehold land or lease, or transfer the lease; or
(b)for the expiry before giving an expiry advice under the Land Act 1994 to the chief executive (lands).

s 43L ins 2019 No. 8 s 12

amd 2019 No. 17 s 360 sch 1

Division 4 Nature refuges and coordinated conservation areas

pt 4 div 4 hdg sub 2013 No. 55 s 40

44Proposal for declaration of nature refuge

(1)If the Minister is satisfied that an area should be declared a nature refuge, the Minister must prepare a proposal for the declaration.
(2)The proposal for the declaration must—
(a)describe the lands to be included in the nature refuge; and
(b)specify the proposed management intent for the nature refuge.
(3)The Minister must give written notice to all landholders affected by the proposal.
(4)The notice must specify a day by which the landholders may make submissions to the Minister relating to the proposal.
(5)If the Minister considers that it is impracticable to give notice to each landholder of a particular class, it is sufficient compliance with subsection (3) if the Minister gives notice to the class by publishing a notice in such newspapers as the Minister determines.
(6)In this section—
landholder includes a person having an interest in land.

s 44 amd 2013 No. 55 s 42

45Conservation agreements for nature refuges

(1)If the Minister and landholders concerned agree on—
(a)a proposal that an area should be a nature refuge; and
(b)the management intent for the nature refuge; and
(c)the terms of a proposed conservation agreement for the nature refuge to be made between the State and the landholders;

the Minister must, for the State, enter into the conservation agreement.

(2)However, if the rights of any of the following persons will be materially affected by the conservation agreement, the Minister must not enter into it without that person’s written consent—
(a)if land in the area is subject to a lease, mining interest, geothermal tenure or GHG authority—the lessee, interest holder or authority holder;
(b)if land in the area is subject to an encumbrance—the person entitled to the benefit of the encumbrance.
(3)The conservation agreement must be consistent with the management principles for a nature refuge.
(4)The conservation agreement may contain terms that are binding on—
(a)the State; and
(b)a landholder and the landholder’s successors in title.
(5)Without limiting subsection (4), the conservation agreement may contain terms—
(a)requiring the State to provide financial or other assistance; or
(b)requiring the State to provide technical advice; or
(c)requiring the State to carry out specified activities; or
(d)allowing a landholder to carry out specified activities; or
(e)prohibiting a specified use of land in the nature refuge; or
(f)restricting the use or management of land in the nature refuge; or
(g)requiring a landholder to refrain from, or not to permit, specified activities; or
(h)requiring a landholder to carry out specified activities; or
(i)requiring a landholder to permit or restrict access to the nature refuge by specified persons; or
(j)specifying the way in which amounts provided to a landholder under the agreement are to be applied by the landholder; or
(k)requiring a landholder to repay amounts paid under the agreement if the landholder contravenes the agreement or the agreement is terminated under section 47(2); or
(l)providing for any other matter relating to the conservation of the nature refuge, including the implementation of any management plan for the nature refuge.

s 45 amd 1994 No. 42 s 2 sch; 2005 No. 53 s 132; 2009 No. 3 s 520; 2011 No. 26 s 189 sch; 2010 No. 31 s 585 sch 2 pt 4; 2013 No. 55 s 43

46Declaration of nature refuges

(1)A regulation may declare a specified area of State land, or the area the subject of a conservation agreement, as a nature refuge.
(2)The regulation must specify—
(a)the declared management intent for the nature refuge; and
(b)the duration of the declaration, which must, if the area is the subject of a conservation agreement, be the duration of the agreement.
(3)For subsection (2)(b), a reference in the regulation to the duration of the conservation agreement for the area is, if the agreement is terminated and replaced by another agreement under section 48, a reference to the duration of the other agreement.
(4)In subsection (1)—
State land includes a reserve under the Land Act 1994.

s 46 amd 1994 No. 42 s 2 sch; 1995 No. 57 s 4 sch 1; 2008 No. 52 s 90; 2013 No. 55 ss 44, 140

47Duration and termination of conservation agreements

(1)A conservation agreement has effect until it expires under its terms unless—
(a)it is terminated under subsection (2) or by another agreement under section 48; or
(b)the declaration of the nature refuge or coordinated conservation area to which it relates is revoked.
(2)Subject to section 48, a conservation agreement may be terminated only if—
(a)in the case of a nature refuge—
(i)the landholder who entered into the agreement requests its termination under the terms of the agreement; and
(ii)the Minister is of the opinion that the nature refuge to which the agreement relates is no longer needed for, or is no longer capable of being used to achieve, the declared management intent for the nature refuge; or
(b)in the case of a coordinated conservation area—the landholder requests its termination under the terms of the agreement.

s 47 amd 2008 No. 52 s 91; 2013 No. 55 s 45

48Variation or replacement of conservation agreements

(1)The State and the landholders bound by a conservation agreement for a nature refuge or coordinated conservation area (the earlier agreement) may enter into another conservation agreement for the nature refuge or coordinated conservation area (the later agreement) that varies, or terminates and replaces, the earlier agreement.
(2)The earlier agreement may be varied, for example—
(a)in the case of a nature refuge—by removing, at the request of the landholder who entered into the agreement, a part of the nature refuge that, in the Minister’s opinion, is no longer needed for, or capable of being used to achieve, the declared management intent for the nature refuge; and
(b)in the case of a coordinated conservation area—by removing a part of the coordinated conservation area at the request of one of the landholders.
(3)Section 45(2) to (5) applies to the later agreement.
(3A)For a later agreement for a coordinated conservation area, section 45(2) to (5) applies to the later agreement as if a reference to the nature refuge were a reference to the coordinated conservation area.
(4)However, section 45(2) does not apply in relation to a person whose rights will only be affected by the later agreement in the same way as by the earlier agreement.

s 48 amd 2008 No. 52 s 92; 2013 No. 55 s 46

49Compulsory declaration of nature refuge

(1)If—
(a)the Minister and landholders concerned are unable to agree on—
(i)a proposal to declare a nature refuge; or
(ii)the terms of a conservation agreement for the area concerned; and
(b)the Minister is of the opinion that the area is, or includes—
(i)an area of major interest; or
(ii)a critical habitat;

and should be declared a nature refuge;

the Minister may give written notice to the landholders, and persons having an interest in the landholders’ land, advising that a recommendation may be made to the Governor in Council that the area be compulsorily declared as a nature refuge.

(2)The notice must specify—
(a)the proposed management intent for the area; and
(b)the reasons why the Minister has reached the opinion; and
(c)a day by which objections relating to the recommendation must be received by the Minister.
(3)After consideration of any objections properly received by the Minister, the Governor in Council may, by regulation, declare the area, or part of the area, as a nature refuge.
(4)The regulation must—
(a)describe the area for which the declaration is made; and
(b)specify the declared management intent for the area; and
(c)specify the covenant applying to the declaration; and
(d)specify such other particulars as are prescribed.

s 49 amd 1994 No. 42 s 2 sch

50Revocation of nature refuge or coordinated conservation area

The Governor in Council may, by regulation, revoke the declaration of a nature refuge or coordinated conservation area in whole or part.

s 50 amd 1994 No. 42 s 2 sch; 2013 No. 55 s 175 sch 1 pt 1

50A[Repealed]

s 50A ins 2011 No. 31 s 345

om 2019 No. 8 s 13

51Conservation agreements and conservation covenants for nature refuges binding

(1)A conservation agreement in relation to the land in a nature refuge is binding on—
(a)the landholder of the land; and
(b)the landholder’s successors in title; and
(c)any other person with an interest in land in the nature refuge to the extent the agreement contains terms to that effect.
(2)A conservation covenant in relation to the land in a nature refuge is binding on persons with an interest in the land to the extent stated in the covenant.
(3)Subsection (1) applies even if—
(a)there is a lease or reserve under the Land Act 1994 over the land in the nature refuge; and
(b)under the Land Act 1994
(i)the lease is renewed or extended; or
(ii)the lease is converted to freehold land or a different type of lease; or
(iii)the reserve is converted to freehold land or a different type of reserve.

s 51 amd 1994 No. 42 s 10; 2000 No. 44 s 39; 2013 No. 55 s 47

sub 2019 No. 8 s 14

52[Repealed]

s 52 ins 1994 No. 42 s 11; 2000 No. 44 s 39

amd 2013 No. 55 s 48

om 2019 No. 8 s 15

Division 4A Environmental impact statements

pt 4 div 4A hdg (prev pt 4 div 2 sdiv 4 hdg) ins 2000 No. 44 s 21

renum and reloc 2019 No. 8 s 9

53Application of division

(1)This division applies if a person seeks, under section 34, 35, 38, 43F or 43G(1), an interest in relation to land in a protected area.
(2)This division applies despite any other Act under which the interest is to be created.

s 53 prev s 53 amd 1994 No. 42 s 2 sch; 2004 No. 48 s 165

om 2013 No. 55 s 49

pres s 53 (prev s 39A) ins 2000 No. 44 s 21

amd 2019 No. 8 s 10

renum and reloc 2019 No. 8 s 11

54Chief executive may require EIS

(1)The chief executive may, before the interest is created, require the person to give the chief executive an EIS for the use, or a stated use, of the land under the interest.
(2)The EIS process under the Environmental Protection Act 1994 applies for the EIS as if the use or stated use were a project to which chapter 3, part 1 of that Act applies.
(3)The person must pay the costs of preparing the EIS.

s 54 prev s 54 amd 1994 No. 42 s 2 sch

om 2013 No. 55 s 49

pres s 54 (prev s 39B) ins 2000 No. 44 s 21

amd 1994 No. 62 s 616 (2) (as ins 2000 No. 64 s 52)

renum and reloc 2019 No. 8 s 11

55EIS must be considered

(1)If an EIS has been required, the interest must not be created before the EIS has been given to the chief executive.
(2)If an EIS has been given, the chief executive or other person who may create the interest must take the EIS into account before deciding whether or not to create the interest.

s 55 prev s 55 amd 1994 No. 42 s 2 sch

om 2013 No. 55 s 49

pres s 55 (prev s 39C) ins 2000 No. 44 s 21

renum and reloc 2019 No. 8 s 11

56[Repealed]

s 56 amd 1994 No. 42 s 2 sch; 2004 No. 48 s 166

om 2013 No. 55 s 49

57[Repealed]

s 57 amd 1994 No. 42 s 2 sch; 2004 No. 48 s 167

om 2013 No. 55 s 49

58[Repealed]

s 58 amd 1994 No. 42 s 2 sch

om 2013 No. 55 s 49

59[Repealed]

s 59 amd 1994 No. 42 s 2 sch

om 2013 No. 55 s 49

60[Repealed]

s 60 amd 1995 No. 42 s 2 sch

om 2013 No. 55 s 49

Division 5 Cultural and natural resources

pt 4 div 5 hdg prev pt 4 div 5 hdg om 2013 No. 55 s 49

pres pt 4 div 5 hdg (prev pt 4 div 7 hdg) renum 2013 No. 55 s 50

61Property in cultural and natural resources

(1)All cultural and natural resources of a national park (scientific), national park, conservation park or resources reserve are the property of the State.
(2)However, if land in a protected area mentioned in subsection (1) was included in a forest reserve immediately before the dedication of the protected area, subsection (1) does not extinguish or affect native title or native title rights and interests in relation to the land.
(3)Also, subsection (1) has effect subject to—
(a)the Aboriginal Cultural Heritage Act 2003 to the extent it provides for the ownership of Aboriginal cultural heritage other than by the State; and
(b)the Torres Strait Islander Cultural Heritage Act 2003 to the extent it provides for the ownership of Torres Strait Islander cultural heritage other than by the State.

s 61 amd 2000 No. 44 s 23; 2003 No. 79 s 170 sch 1; 2013 No. 55 s 141; 2016 No. 22 s 20

62Restriction on taking etc. of cultural and natural resources of protected areas

(1)A person, other than an authorised person, must not take, use, keep or interfere with a cultural or natural resource of a protected area, other than under—
(a)the interim or declared management intent for the area; or
(b)an Indigenous management agreement in relation to the area or any conservation agreement, conservation covenant or management program applicable to the area; or
(c)a lease, agreement, licence, permit or other authority granted, made, issued or given—
(i)by the chief executive under a prescribed provision; or
(ii)under the Forestry Act 1959 or Mineral Resources Act 1989; or
(iii)under another Act by the Governor in Council, or someone else with the consent of the Minister or chief executive; or
(d)a licence, permit or other authority issued or given under a regulation; or
(e)if the area is a conservation park, resources reserve, nature refuge or a coordinated conservation area—an exemption under a regulation.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(2)It is a defence to a charge of taking or interfering with a cultural or natural resource in contravention of subsection (1) to prove that—
(a)the taking or interference happened in the course of a lawful activity that was not directed towards the taking or interference; and
(b)the taking or interference could not have been reasonably avoided.
(3)Subsection (2) does not allow a person to use or keep the resource.
(4)Despite subsection (1) and section 15, but subject to the conditions prescribed under a regulation, a person may take—
(a)a fish in a prescribed place; or
(b)an invertebrate animal in a prescribed place for use as bait to take fish under paragraph (a); or
(c)a mud crab (Scylla serrata) in a prescribed place.
(5)However, subsection (4) does not authorise a person to take—
(a)an animal for a commercial purpose; or
(b)an animal prescribed under this Act as threatened or near threatened wildlife; or
(c)an animal prescribed under a regulation for this paragraph.
(6)Also, subsection (4) does not, in itself, authorise a person to enter a prescribed place.
(7)In this section—
national park includes a national park (Aboriginal land), national park (Torres Strait Islander land) and national park (Cape York Peninsula Aboriginal land).
prescribed place means a national park, or part of a national park, prescribed under a regulation for subsection (4)(a), (b) or (c).
prescribed provision means section 34, 35, 35A, 36, 37, 38, 42AD, 42AE, 42AEA, 42AN, 42AO, 42AOA, 42AP, 43F, 43G or 43H.

s 62 amd 1994 No. 42 s 12; 1997 No. 8 s 4; 2000 No. 44 s 24; 2004 No. 14 s 4; 2005 No. 53 s 133; 2007 No. 48 s 49A; 2013 No. 55 ss 142, 175 sch 1 pt 1; 2016 No. 22 s 21; 2019 No. 8 s 16; 2022 No. 21 s 10; 2024 No. 17 s 192 sch 1pt 3

Division 6 General

pt 4 div 6 hdg prev pt 4 div 6 hdg om 2013 No. 55 s 49

pres pt 4 div 6 hdg (prev pt 4 div 8 hdg) renum 2013 No. 55 s 50

63Meaning of landholder in division

In this division—
landholder includes a person having an interest in land.

64Naming of protected areas

The Governor in Council may, by regulation, assign a name to, or alter the name of, a protected area or aggregation of protected areas.

s 64 amd 1994 No. 42 s 2 sch

65Effect of change in class of protected area

(1)If a protected area, or part of a protected area, is dedicated or declared under this Act to be a protected area of a different class, the later dedication or declaration revokes the earlier dedication or declaration of the area or the part of the area to which the dedication or declaration relates.
(2)To allay any doubt—
(a)subsection (1) applies subject to sections 32, 33 and 43J; and
(b)subsection (1) does not apply to the declaration of a protected area that includes another class of protected area.

s 65 amd 1994 No. 42 s 2 sch; 2007 No. 56 s 34; 2019 No. 8 s 17

66Offset condition for protected area authority

(1)A condition of a protected area authority may require or otherwise relate to an environmental offset (an offset condition).

Note—

The Environmental Offsets Act 2014, part 6, states further conditions that apply to a protected area authority and those further conditions are called deemed conditions. A breach of a deemed condition may be dealt with under this Act.
(2)An offset condition may require an environmental offset to be undertaken on land to which a protected area authority applies or on other land in the State.
(3)If an applicant for a protected area authority has entered into an agreement about an environmental offset, an offset condition may require the applicant to comply with the agreement.
(4)An agreement entered into under subsection (3) is not an environmental offset agreement under the Environmental Offsets Act 2014.
(5)In this section—
environmental offset see the Environmental Offsets Act 2014, schedule 2.
protected area authority means a lease, agreement, licence, permit or other authority under this Act (including under a regulation) over, or in relation to, land in a protected area.

s 66 prev s 66 amd 1994 No. 42 s 13

om 2013 No. 55 s 51

pres s 66 ins 2014 No. 33 s 130

66AConditions of protected area authority

(1)This section applies if, on or after the commencement of this section, a protected area authority becomes, under this Act, subject to an offset condition.
(2)To the extent the offset condition is inconsistent with a deemed condition, the deemed condition prevails.

Note—

See the Environmental Offsets Act 2014, section 5(3). Under that provision, particular imposed conditions prevail over deemed conditions.
(3)In this section—
deemed condition see the Environmental Offsets Act 2014, schedule 2.
offset condition see section 66(1).
protected area authority see section 66(5).

s 66A ins 2014 No. 33 s 130

67Compensation when nature refuge declared

(1)This section applies if a nature refuge is declared under section 49.
(2)If a landholder’s interest in land is injuriously affected by a restriction or prohibition imposed under the declaration on the landholder’s existing use of the land, the landholder is entitled to be paid by the State the reasonable compensation because of the restriction or prohibition that is agreed between the State and the landholder or, failing agreement, decided by the Land Court.
(3)The landholder’s interest in the land is not injuriously affected if the restriction or prohibition under the declaration is the same, or to the same effect, as a provision of another law applying to the land immediately before the commencement of the declaration.
(4)Compensation is not payable if compensation has already been paid for—
(a)the restriction or prohibition; or
(b)a restriction or prohibition to the same effect.
(5)A claim for compensation must—
(a)be made in a form approved by the chief executive; and
(b)be made to the chief executive within 6 months after the declaration of the nature refuge, or the longer period the chief executive or Land Court in special circumstances allows.
(6)In making a determination, the Land Court must have regard to the following matters—
(a)the capacity of the land to sustain the existing use;
(b)any change in the value of the land because of the declaration;
(c)any change in the profitability of the land because of the declaration.
(7)Subsection (6) does not limit the matters to which the Land Court may have regard in making a determination.
(8)Subsection (2) does not apply to land if—
(a)when the nature refuge is declared, the area the subject of the declaration is identified as, or including, a critical habitat or an area of major interest in—
(i)a regulation (the first regulation); or
(ii)a conservation plan; and
(b)the regulation making the declaration declares that the first regulation or conservation plan continues to apply to the area after the declaration; and
(c)the landholder receives, or is entitled to receive, compensation under section 137A in relation to the land because of the making of the first regulation or approval of the conservation plan.
(9)In this section—
existing use of land includes a lawful use made of the land immediately before the restriction or prohibition imposed under the declaration or regulation mentioned in subsection (1) started applying to the land.

s 67 sub 1994 No. 42 s 14

amd 2000 No. 44 s 39; 2013 No. 55 s 143; 2013 No. 50 s 4 (1)–(3) (amdts could not be given effect); 2013 No. 50 s 4 (4)

68No compensation on termination of conservation agreements or revocation of protected areas

If—
(a)a conservation agreement is terminated under this Act; or
(b)a declaration of a protected area is revoked, in whole or part;

the landholders concerned are not entitled to compensation because of the termination or revocation.

68ALiability of State

(1)The State is not legally liable for an act or omission on, or in relation to, private land merely because—
(a)a conservation agreement has been entered into for the land; or
(b)the land has been declared as, or as part of, a special wildlife reserve, nature refuge or coordinated conservation area.
(2)In this section—
private land means land other than State land.

s 68A ins 2019 No. 8 s 18

69Preservation of landholders’ interests

(1)The interests of a landholder of land forming part of a protected area are not affected by—
(a)the dedication or declaration of the protected area; or
(b)the declaration of the protected area, or part of the protected area, as a special management area (controlled action).
(2)Subsection (1) does not apply to the extent—
(a)the landholder is bound by a conservation agreement or conservation covenant in relation to the land; or
(b)of a regulation giving effect to a management plan for the protected area.
(3)Subsection (1) is subject to section 43L.

s 69 amd 1994 No. 42 s 2 sch; 2013 No. 55 s 175 sch 1 pt 1

sub 2013 No. 55 s 144

amd 2016 No. 22 s 22; 2019 No. 8 s 19

70Unlawful use of certain words

(1)A person must not use words about an area that is not a protected area in a way that is likely to cause someone else reasonably to believe the area is a protected area.

Maximum penalty—50 penalty units.

(2)A person must not use words about a protected area in a way that is likely to cause someone else reasonably to believe the area is a protected area of a different class.

Maximum penalty—50 penalty units.

(3)However, subsections (1) and (2) do not stop a person using the words ‘national park’ or ‘conservation park’ in referring to the name of—
(a)a zone of a marine park set apart and declared under the Marine Parks Act 1982; or
(b)an area declared to be part of the Great Barrier Reef Marine Park under the Great Barrier Reef Marine Park Act 1975 (Cwlth).

s 70 sub 1994 No. 42 s 15

amd 2003 No. 96 s 20; 2013 No. 55 s 145; 2016 No. 22 s 23

70AARegulations may define extent of area

(1)This section applies to a regulation made under a prescribed provision.
(2)The regulation may define the extent of the area or land dedicated or declared under the regulation by reference to—
(a)a specified depth below the surface of land; or
(b)a specified height above the surface of land.
(3)In this section—
prescribed provision means section 29(1), 41(5), 42(5), 42AB(2), 42AC(2), 42AI(2), 42AJ(2), 43D or 46(1).

s 70AA ins 2013 No. 55 s 146

amd 2016 No. 22 s 24; 2019 No. 8 s 20

Part 4A Forest reserves

pt 4A hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Division 1 Preliminary

pt 4A div 1 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70APurpose of pt 4A and its achievement

(1)The purpose of this part is to assist the dedication of forest reserves as protected areas.
(2)It is Parliament’s intention that, subject to any revocation under this part or the land ceasing to be forest reserve under the Forestry Act 1959, section 25A, each area of land dedicated as a forest reserve will become a protected area as soon as practicable after its dedication.

s 70A ins 2000 No. 44 s 25

amd 2007 No. 36 s 2 sch; 2013 No. 55 s 52

exp 31 December 2025 (see s 70R)

70BDefinitions for pt 4A

In this part—
authority means an agreement or a lease, licence, permit or other authority.
forest reserve means an area of land dedicated as a forest reserve under section 70C as in force before the commencement of the Nature Conservation and Other Legislation Amendment Act (No. 2) 2013, section 55 if—
(a)the dedication has not been revoked under section 70E; and
(b)the land has not ceased to be land in a forest reserve under the Forestry Act 1959, section 25A.

s 70B def forest reserve sub 2013 No. 55 s 53

Land Act reserve means a reserve under the Land Act 1994.
proposed protected area means an area designated as a proposed protected area under section 70K(1), the designation for which has not ended under section 70M.
proposed protected area register means the register that the chief executive keeps under section 70N.
protected area means—
(a)a national park (scientific); or
(b)a national park; or
(c)a conservation park; or
(d)a resources reserve.

s 70B def protected area sub 2013 No. 55 s 147; 2016 No. 22 s 25

SEQ horse riding trail network see section 70BA.

s 70B def SEQ horse riding trail network ins 2008 No. 52 s 93

State forest means a State forest under the Forestry Act 1959.
timber reserve means a timber reserve under the Forestry Act 1959.
unallocated State land means unallocated State land under the Land Act 1994.

s 70B def unallocated State land ins 2007 No. 36 s 2 sch

s 70B ins 2000 No. 44 s 25

amd 2013 No. 55 s 53

exp 31 December 2025 (see s 70R)

70BASEQ horse riding trail network

(1)The SEQ horse riding trail network is the network of horse riding trails in south-east Queensland designated as ‘finalised horse trails’ on maps held by the department for this section.
(2)Copies of the maps may be inspected, free of charge, on the department’s website and, during office hours on business days, at the department’s head office.

s 70BA ins 2008 No. 52 s 94

exp 31 December 2025 (see s 70R)

70C[Repealed]

s 70C ins 2000 No. 44 s 25

amd 2002 No. 72 s 27

om 2013 No. 55 s 55

70D[Repealed]

s 70D ins 2000 No. 44 s 25

om 2013 No. 55 s 56

Division 2 Revocation of forest reserves

pt 4A div 2 hdg ins 2000 No. 44 s 25

sub 2013 No. 55 s 54

exp 31 December 2025 (see s 70R)

70ERevocation of forest reserves

(1)The Governor in Council may, under a regulation, revoke the dedication of a forest reserve or a part of a forest reserve.
(2)The regulation may be made only if the Legislative Assembly has, on a motion of which at least 28 days notice has been given, passed a resolution requesting the Governor in Council to make the revocation.
(3)However, subsection (2) does not apply if the regulation states the purpose of the revocation is to allow the forest reserve to become a protected area.
(4)Also, subsection (2) does not affect the power of the Governor in Council to make a regulation under the Forestry Act 1959, section 25 to set apart and declare as a State forest any forest reserve or part of a forest reserve.

s 70E ins 2000 No. 44 s 25

amd 2004 No. 48 s 168; 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect); 2013 No. 55 s 57

exp 31 December 2025 (see s 70R)

70EAChief executive to lodge document for revocation

(1)If a regulation is made under section 70E for the revocation of a forest reserve, the chief executive must lodge for registration with the registrar of titles a document evidencing the matter the subject of the regulation.
(2)The document must—
(a)be lodged as soon as practicable after the regulation is made; and
(b)comply with any requirements of the registrar of titles.
(3)If the revocation affects a part of a lot within the meaning of the Land Act 1994, the document lodged must be accompanied by a plan of subdivision for the change.

s 70EA ins 2011 No. 31 s 346

amd 2013 No. 55 s 58; 2021 No. 12 s 148 sch 3

exp 31 December 2025 (see s 70R)

70EB[Repealed]

s 70EB ins 2011 No. 31 s 346

om 2013 No. 55 s 59

Division 3 Management of forest reserves

pt 4A div 3 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Subdivision 1 Management principles of forest reserves

pt 4A div 3 sdiv 1 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70FManagement principles

(1)A forest reserve is to be managed to do the following—
(a)protect the biological diversity, cultural resources and values and conservation values of land included in the reserve, having regard to the purpose of this part;
(b)provide for the continuation of any lawful existing use of the land;

Examples of existing uses that may be lawful existing uses—

1apiculture, foliage harvesting, recreation and salvage timber harvesting under the Forestry Act 1959
2grazing under the Forestry Act 1959 or the Land Act 1994
3maintenance and use of existing roads used for timber extraction and other forest management activities under the Forestry Act 1959
4mining under the Mineral Resources Act 1989
(c)ensure all uses of the land under an authority in relation to the forest reserve made after its dedication are ecologically sustainable;
(d)ensure all uses of the land under an authority made after any designation of land in the forest reserve as a proposed protected area are consistent with the management principles for the class of protected area that the land is proposed to become.
(2)However, subsection (1)(b) only applies to the use of the land for commercial logging if the purpose of the logging is to remove plantation trees to restore the land’s conservation values.
(3)To remove any doubt, it is declared that the dedication of the land as a forest reserve or any designation of land in the forest reserve as a proposed protected area does not extinguish or affect native title or native title rights and interests in relation to the land.
(4)In this section—
commercial logging means taking timber for commercial gain, other than—
(a)to build, maintain or repair public infrastructure or utilities relating to the forest reserve; or
(b)to enhance or protect a lawful use of the land, or to ensure the use may be carried out safely; or
(c)to allow native vegetation on the land to be regenerated under a written approval given by the chief executive; or
(d)for use as firewood; or
(e)incidentally to a lawful use of the land that does not involve taking timber.

Example for paragraph (e)—

If collecting seeds from trees on the land is lawful, collecting the seeds may involve taking branches from trees that have the seeds on them.
ecologically sustainable, for use of the land, means use within the capacity of the land to sustain natural processes while—
(a)maintaining the life support systems of nature; and
(b)ensuring the benefit of the use to present generations does not diminish the potential to meet the needs and aspirations of future generations.
make, for an authority, includes renew the authority.

s 70F ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Subdivision 2 Management

pt 4A div 3 sdiv 2 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70GState forest or timber reserve dedicated as a forest reserve

(1)This section applies if land in a State forest or timber reserve is dedicated as a forest reserve.
(2)The land ceases to be land in a State forest or timber reserve.
(3)However—
(a)the Forestry Act 1959 continues to apply, with necessary changes, in relation to the land and its management as if the land were, and had continued to be, a State forest or timber reserve; but
(b)the Forestry Act 1959, section 33 does not apply to the management of the land.
(4)This section applies despite the Forestry Act 1959.

Note—

See, however, the Forestry Act 1959, section 25A.

s 70G ins 2000 No. 44 s 25

amd 2013 No. 55 s 175 sch 1 pt 1

exp 31 December 2025 (see s 70R)

70HLand Act reserve dedicated as a forest reserve

(1)This section applies if land in a Land Act reserve is dedicated as a forest reserve.
(2)The land ceases to be land in a Land Act reserve.
(3)However, the Land Act 1994 continues to apply, with necessary changes, in relation to the land and its management as if the land were, and had continued to be, a Land Act reserve.
(4)Also, if a person was, immediately before the dedication, a trustee of the land under the Land Act 1994, the person continues to be a trustee of the land under that Act.
(5)This section applies despite the Land Act 1994.

s 70H ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70IManagement principles prevail

(1)A forest reserve must be managed under the management principles under section 70F.
(2)If there is an inconsistency between the management principles and a provision of the Forestry Act 1959 or the Land Act 1994, the management principles prevail to the extent of the inconsistency.
(3)Despite sections 70G and 70H, an action must not be done in relation to the management of a forest reserve if it is inconsistent with the management principles.
(4)In this section—
action includes any of the following—
(a)making, amending or renewing an authority in relation to a forest reserve;
(b)converting an authority to another form of authority;
(c)changing the purpose of an authority;
(d)offering or agreeing to carry out an action under paragraphs (a) to (c).

s 70I ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Division 4 Progression to protected area

pt 4A div 4 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Subdivision 1 Review of forest reserves

pt 4A div 4 sdiv 1 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70JReview

(1)The chief executive must review each forest reserve to consider the most appropriate class of protected area for land in the reserve.
(2)The review must start as soon as practicable after the dedication of the forest reserve.

s 70J ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70JAReview of impact of horse riding trails

(1)The chief executive must review the areas within forest reserves that comprise horse riding trails in the SEQ horse riding trail network.
(2)In conducting the review, the chief executive must—
(a)have assessments conducted under section 70JB; and
(b)consider how to address any significant adverse impacts identified by the assessments including, if appropriate, removing a trail from the SEQ horse riding trail network.
(3)The review must start as soon as practicable after the commencement of this section and must be completed for all areas by 31 December 2025.

s 70JA ins 2008 No. 52 s 95

exp 31 December 2025 (see s 70R)

70JBAssessment by independent scientific advisory committee

(1)This section applies to an assessment required under section 70JA(2)(a).
(2)The assessment must be of the impact, on horse riding trails and adjacent areas, of horse riding use.
(3)The assessment must be conducted by an advisory committee, established under section 132, comprising members who—
(a)have expertise in relevant disciplines for the assessment; and

Examples of disciplines that may be relevant—

aquatic science, conservation biology, conservation management, environmental impact assessment, social science, soil science, statistical analysis, sustainable recreation, weed management
(b)are independent of government or non-government entities that might reasonably be perceived to be particularly interested in decisions affecting horse riding in forest reserves.
(4)The assessment must be based on monitoring and evaluation conducted over a period long enough to assess the likely impacts of horse riding use.
(5)The assessment must take account of the cumulative impacts of horse riding and other activities conducted in the areas to which the assessment relates.
(6)To the extent the assessment relates to a particular horse riding trail, the assessment need not be based on measurement or monitoring of the trail, or of every part of the trail, but may be based on appropriate information obtained from measuring or monitoring, and evaluating, other trails or parts of the trail with relevant characteristics.
(7)In this section—
adjacent areas, in relation to horse riding trails, means areas adjacent to the trails whether or not the areas are part of a forest reserve.

s 70JB ins 2008 No. 52 s 95

exp 31 December 2025 (see s 70R)

Subdivision 2 Proposed protected areas

pt 4A div 4 sdiv 2 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70KDesignation

(1)The chief executive may, by an entry in the proposed protected area register, designate the whole or part of a forest reserve as a proposed protected area if—
(a)under section 70J the chief executive has reviewed the reserve; and
(b)for a proposed protected area that includes a horse riding trail in the SEQ horse riding trail network, the chief executive has completed the review under section 70JA to the extent the review relates to the proposed protected area; and
(c)subsections (2) to (5) have been complied with.
(2)The chief executive must publish a notice of a proposed designation in a newspaper likely to be read by people particularly affected by it.
(3)The notice must state the following—
(a)the location and area of the proposed protected area;
(b)the class of protected area that the area is proposed to become;
(c)that any entity may comment about the proposal to the chief executive;
(d)the period during which comments may be made.
(4)The stated period must be at least 35 days after the publication of the notice.
(5)The chief executive must consider any comment about the proposal made during the period.

s 70K ins 2000 No. 44 s 25

amd 2008 No. 52 s 96

exp 31 December 2025 (see s 70R)

70LEffect of designation

(1)Subject to the management principle under section 70F(1)(d), a proposed protected area designation acts as a proposal only and the area continues to be a forest reserve.
(2)A proposed protected area designation does not—
(a)make, or have the effect of making, the area a protected area or a protected area of the class it is proposed to become; or
(b)bind the Governor in Council to dedicate, or the chief executive to take action to dedicate, the area as a protected area or as a protected area of that class.

s 70L ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70MWhen designation ends

The designation of an area as a proposed protected area ends if—
(a)the dedication of the area as a forest reserve is revoked; or
(b)the area is dedicated as a protected area; or
(c)the area ceases to be forest reserve under the Forestry Act 1959, section 25A.

s 70M ins 2000 No. 44 s 25

amd 2013 No. 55 s 60

exp 31 December 2025 (see s 70R)

70NRegister of proposed protected areas

(1)The chief executive must keep a register of proposed protected areas.
(2)The register must, for each proposed protected area, state—
(a)its location and area; and
(b)the class of protected area that it is proposed to become; and
(c)any other information the chief executive considers desirable.
(3)The chief executive may keep the register in the way the chief executive considers appropriate, including, for example, in electronic form.
(4)The chief executive must keep the register open for inspection during office hours on business days at—
(a)the department’s head office; and
(b)each regional office of the department in whose area the proposed protected area is situated; and
(c)other places the chief executive considers appropriate.

s 70N ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70OAmendment of designation

(1)The chief executive may, by an entry in the proposed protected area register, amend the designation of an area as a proposed protected area if subsections (2) to (5) have been complied with.
(2)The chief executive must publish a notice of a proposed amendment in a newspaper likely to be read by people particularly affected by it.
(3)The notice must state the following—
(a)the location of the area;
(b)the proposed amendment;
(c)that any entity may comment about the proposal to the chief executive;
(d)the period during which comments may be made.
(4)The stated period must be at least 35 days after the publication of the notice.
(5)The chief executive must consider any comment about the proposal made during the period.

s 70O ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

Division 5 Miscellaneous provisions

pt 4A div 5 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70PReferences to State forest or timber reserve in other legislation

(1)A reference in another Act or in subordinate legislation to a State forest or timber reserve is, if the context permits, taken to include a forest reserve.
(2)However, subsection (1) does not apply if—
(a)the reference is in or under the Forestry Act 1959; or

Note—

For State forests or timber reserves, see section 70G(3) (State forest or timber reserve dedicated as a forest reserve).
(b)the reference is only to the setting apart and dedication of an area as a State forest or timber reserve.

s 70P ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70QReferences to Land Act reserves in other legislation

(1)A reference in this or another Act or in subordinate legislation to a Land Act reserve is, if the context permits, taken to include a forest reserve.
(2)However, subsection (1) does not apply if the reference is in or under the Land Act 1994.

s 70Q ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70QAProhibition on mining, geothermal activities and GHG storage activities in forest reserves

A mining interest under section 27, a geothermal tenure or a GHG authority can not be granted in relation to land in a forest reserve.

s 70QA ins 2004 No. 26 s 275

amd 2009 No. 3 s 521; 2010 No. 31 s 585 sch 2 pt 4

exp 31 December 2025 (see s 70R)

Division 6 Expiry of pt 4A

pt 4A div 6 hdg ins 2000 No. 44 s 25

exp 31 December 2025 (see s 70R)

70RExpiry

This part expires on 31 December 2025.

s 70R ins 2000 No. 44 s 25

sub 2005 No. 53 s 134

exp 31 December 2025 (see s 70R)

Part 5 Wildlife and habitat conservation

Division 1 Basic concepts

71Classes of wildlife to which Act applies

The classes of wildlife to which this Act applies are—
(a)protected wildlife, that is—
(i)extinct wildlife; and
(ii)extinct in the wild wildlife; and
(iii)critically endangered wildlife; and
(iv)endangered wildlife; and
(v)vulnerable wildlife; and
(vi)near threatened wildlife; and
(vii)least concern wildlife; and
(b)international wildlife; and
(c)prohibited wildlife.

s 71 amd 2004 No. 14 s 5; 2013 No. 55 s 175 sch 1 pt 1; 2019 No. 28 s 30

72Management of wildlife—general

(1)Wildlife is to be managed in accordance with—
(a)the management principles prescribed by this division for the class of the wildlife; and
(b)the declared management intent for the wildlife; and
(c)any conservation plan for the wildlife.
(2)The declared management intent for wildlife is the management intent applicable to the wildlife under the regulations.
(3)The declared management intent for wildlife must contain a statement of—
(a)the significance of the wildlife to nature and its value; and
(b)the proposed management intent for the wildlife; and
(c)the principles relating to any proposed taking and use of the wildlife.

73Management principles of protected wildlife

Protected wildlife is to be managed to—
(a)conserve the wildlife and its values and, in particular to—
(i)ensure the survival and natural development of the wildlife in the wild; and
(ii)conserve the biological diversity of the wildlife to the greatest possible extent; and
(iii)identify, and reduce or remove, the effects of threatening processes relating to the wildlife; and
(iv)identify the wildlife’s critical habitat and conserve it to the greatest possible extent; and
(b)ensure that any use of the wildlife—
(i)for scientific study and monitoring; or
(ii)for educational, recreational, commercial and authorised purposes; or
(iii)by Aboriginal peoples under Aboriginal tradition or Torres Strait Islander peoples under Ailan Kastom;

is ecologically sustainable.

s 73 amd 2024 No. 17 s 192 sch 1pt 3

74Management principles of international wildlife

International wildlife is to be managed in accordance with the wildlife’s international conservation significance and, in particular—
(a)to ensure the protection of protected wildlife from any threatening process that may be posed by the wildlife; and
(b)to prevent unlawful introduction of the wildlife into the State; and
(c)to prohibit the release of the wildlife into the wild except under a licence, permit or other authority issued or given under a regulation.

s 74 amd 2004 No. 48 s 169; 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect)

75Management principles of prohibited wildlife

Prohibited wildlife is to be managed to—
(a)prohibit the release of the wildlife into the wild except under a licence, permit or other authority issued or given under a regulation; and
(b)identify and, if practicable, control any threatening process caused by the wildlife; and
(c)reduce and, if possible, eliminate the population and distribution of the wildlife in the wild; and
(d)encourage the humane taking and use of the wildlife.

Division 2 Classes of wildlife

76Native wildlife may be prescribed as extinct wildlife

A regulation may prescribe native wildlife as extinct wildlife if there is no reasonable doubt the last member of the species has died.

s 76 sub 2004 No. 14 s 6; 2019 No. 28 s 31

77Native wildlife may be prescribed as extinct in the wild wildlife

A regulation may prescribe native wildlife as extinct in the wild wildlife if—
(a)the wildlife is known only to survive in cultivation, in captivity or as a naturalised population well outside its past range; or
(b)the wildlife is not known to survive in its known or expected habitat, in its past range, over a period appropriate to the life cycle or form of the wildlife.

s 77 sub 2004 No. 14 s 6; 2019 No. 28 s 31

78Native wildlife may be prescribed as critically endangered wildlife

A regulation may prescribe native wildlife as critically endangered wildlife if—

(a)the wildlife has undergone or is suspected to have undergone a very large reduction in numbers; or
(b)it is likely that a very large reduction in the wildlife’s numbers is imminent; or
(c)the wildlife’s geographic distribution is—
(i)precarious for the survival of the wildlife; and
(ii)very restricted; or
(d)the estimated total number of mature individuals is very low and it is likely the number will—
(i)continue to decline at a very high rate; or
(ii)continue to decline and its geographic distribution is precarious for the survival of the wildlife; or
(e)the estimated total number of mature individuals is extremely low; or
(f)the probability of the wildlife’s extinction in the wild is at least 50% in the immediate future.

s 78 sub 2004 No. 14 s 6; 2019 No. 28 s 31

78ANative wildlife may be prescribed as endangered wildlife

(1)A regulation may prescribe native wildlife as endangered wildlife if the wildlife is not critically endangered and any of the following apply—
(a)the wildlife has undergone or is suspected to have undergone a large reduction in numbers;
(b)it is likely that a large reduction in the wildlife’s numbers is imminent;
(c)the wildlife’s geographical distribution is—
(i)precarious for the survival of the wildlife; and
(ii)restricted;
(d)the estimated total number of mature individuals is low and it is likely the number will—
(i)continue to decline at a high rate; or
(ii)continue to decline and its geographical distribution is precarious for the survival of the wildlife;
(e)the estimated total number of mature individuals is very low;
(f)the probability of the wildlife’s extinction in the wild is at least 20% in the near future.
(2)In this section—
critically endangered, in relation to wildlife, means the wildlife falls within a description mentioned in section 78.

s 78A prev s 78A ins 2004 No. 14 s 6

exp 25 June 2010 (see s 78A(3))

pres s 78A ins 2019 No. 28 s 31

78BNative wildlife may be prescribed as vulnerable wildlife

(1)A regulation may prescribe native wildlife as vulnerable wildlife if the wildlife is not critically endangered or endangered and any of the following apply—
(a)the wildlife has undergone or is suspected to have undergone a moderate reduction in numbers;
(b)it is likely a moderate reduction in the wildlife’s numbers is imminent;
(c)the wildlife’s geographical distribution is—
(i)precarious for the survival of the wildlife; and
(ii)limited;
(d)the estimated total number of mature individuals is limited and it is likely the number will—
(i)continue to decline at a substantial rate; or
(ii)continue to decline and its geographical distribution is precarious for the survival of the wildlife;
(e)the estimated total number of mature individuals is low;
(f)the probability of the wildlife’s extinction in the wild is at least 10% in the medium-term future.
(2)In this section—
critically endangered, in relation to wildlife, means the wildlife falls within a description mentioned in section 78.
endangered, in relation to wildlife, means the wildlife falls within a description mentioned in section 78A(1).

s 78B ins 2019 No. 28 s 31

79Native wildlife may be prescribed as near threatened wildlife

(1)A regulation may prescribe native wildlife as near threatened wildlife if—
(a)the population size or distribution of the wildlife is small and may become smaller; or
(b)the population size of the wildlife has declined, or is likely to decline, at a rate higher than the usual rate for population changes for the wildlife; or
(c)the survival of the wildlife in the wild is affected to an extent that the wildlife is in danger of becoming vulnerable.
(2)Native wildlife may be prescribed as near threatened wildlife even if the wildlife is the subject of a threatening process.
(3)In this section—
vulnerable, in relation to wildlife, means the wildlife falls within a description mentioned in section 78B(1).

s 79 sub 2004 No. 14 s 6

amd 2019 No. 28 s 32

80Native wildlife may be prescribed as least concern wildlife

(1)A regulation may prescribe native wildlife as least concern wildlife if the wildlife is common or abundant and is likely to survive in the wild.
(2)Native wildlife may be prescribed as least concern wildlife even if—
(a)the wildlife is the subject of a threatening process; or
(b)the population size or distribution of the wildlife has declined; or
(c)there is insufficient information about the wildlife to conclude whether the wildlife is common or abundant or likely to survive in the wild.

s 80 sub 2004 No. 14 s 6

81Wildlife may be prescribed as international wildlife

If the Governor in Council is of the opinion that wildlife included in appendix I or II of CITES is not indigenous to Australia, the wildlife may be prescribed as international wildlife.

82Wildlife may be prescribed as prohibited wildlife

If the Governor in Council is of the opinion that wildlife is—
(a)an unnatural hybrid or not indigenous to Australia; and
(b)likely to constitute a threatening process to protected wildlife;

the wildlife may be prescribed as prohibited wildlife.

Division 3 Ownership of protected wildlife

83Property in protected animals

(1)Subject to subsections (2) to (5), sections 85 and 86 and the provisions of any captive breeding agreement, all protected animals are the property of the State.
(2)A protected animal ceases to be the property of the State if—
(a)the animal is taken under a licence, permit or other authority issued or given under a regulation; and
(b)under a conservation plan property in the animal passes from the State on that taking of the animal.
(3)A protected animal to which subsection (2) applies becomes the property of the holder of the authority, subject to the rights in the animal of any other person (other than the rights of the State under subsection (1)).
(4)A protected animal that is the progeny of an animal to which subsection (2) applies is the property of the owner of the progeny’s female parent, subject to the rights in the animal of any other person (other than the rights of the State under subsection (1)).
(5)If—
(a)a person is keeping an animal that is not a protected animal; and
(b)the animal becomes a protected animal because of the making of a regulation under this Act;

the animal and its progeny do not become the property of the State merely because of the making of the regulation.

s 83 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 39; 2004 No. 48 s 170

84Property in protected plants

(1)Subject to subsections (2) to (4), section 86 and the provisions of any captive breeding agreement, all protected plants (other than protected plants on private land) are the property of the State.
(2)A protected plant ceases to be the property of the State if—
(a)the plant is taken under a licence, permit or other authority issued or given under a regulation; and
(b)under a regulation or conservation plan property in the plant passes from the State on that taking of the plant.
(3)A protected plant to which subsection (2) applies becomes the property of the holder of the authority, subject to the rights in the plant of any other person (other than the rights of the State under subsection (1)).
(4)The progeny of a plant to which subsection (2) applies is the property of the owner of the plant from which the progeny is propagated, subject to the rights in the plant of any other person (other than the rights of the State under subsection (1)).
(5)In this section—
private land means—
(a)freehold land; or
(b)land the subject of a lease under any Act containing an entitlement to a deed of grant in fee simple.
protected plant means a protected plant that is in the wild.

s 84 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 39; 2004 No. 48 s 171; 2004 No. 14 s 7; 2013 No. 50 s 5

85Property in newly protected animals

(1)In this section—
commencing day means the day on which this division commences.
declaration day for an animal means the day on which the animal becomes a newly protected animal.
newly protected animal means a protected animal that, immediately before the commencing day, was not fauna under the Fauna Conservation Act 1974.
(2)If a person is keeping a newly protected animal at the beginning of the declaration day, the animal and its progeny do not become the property of the State merely because of the animal becoming a protected animal.

s 85 ins 1994 No. 42 s 16

86Preservation of existing property rights

Sections 83 and 84 do not affect property rights a person (other than the State) has in native wildlife immediately before the wildlife becomes protected wildlife.

s 86 ins 1994 No. 42 s 16

amd 2000 No. 44 s 39

87Liability of State

The State is not legally liable for an act or omission merely because protected animals and plants are the property of the State.

Division 4 Restrictions on activities relating to protected wildlife

Subdivision 1 Particular restrictions relating to protected animals

pt 5 div 4 sdiv 1 hdg ins 2013 No. 50 s 6

88Restrictions on taking protected animal and keeping or use of unlawfully taken protected animal

(1)This section—
(a)is subject to section 93; and
(b)does not apply to the taking of protected animals in a protected area.

Note—

For the taking of protected animals in protected areas, see section 62 (Restriction on taking etc. of cultural and natural resources of protected areas).
(2)A person must not take a protected animal unless the person is an authorised person or the taking is authorised under this Act.

Maximum penalty—

(a)for a class 1 offence—3,000 penalty units or 2 years imprisonment; or
(b)for a class 2 offence—1,000 penalty units or 1 year’s imprisonment; or
(c)for a class 3 offence—225 penalty units; or
(d)for a class 4 offence—100 penalty units.

(3)It is a defence to a charge of taking a protected animal in contravention of subsection (2) to prove that—
(a)the taking happened in the course of a lawful activity that was not directed towards the taking; and
(b)the taking could not have been reasonably avoided.
(4)Subsection (3) does not allow a person to keep or use the animal.
(5)A person must not keep or use an animal that is either of the following unless the person is an authorised person or the keeping or use is authorised under this Act—
(a)a protected animal if, at any time, it has been taken and the taking was not authorised under this Act or a law of another State;
(b)a descendant of an animal mentioned in paragraph (a).

Maximum penalty—

(a)for a class 1 offence—3,000 penalty units or 2 years imprisonment; or
(b)for a class 2 offence—1,000 penalty units or 1 year’s imprisonment; or
(c)for a class 3 offence—225 penalty units; or
(d)for a class 4 offence—100 penalty units.

(6)In this section—
class 1 offence means an offence against this section that involves—
(a)1 or more animals that are extinct, extinct in the wild, critically endangered or endangered wildlife; or
(b)5 or more animals that are vulnerable or near threatened wildlife; or
(c)1 or more echidna, koala or platypus.
class 2 offence means an offence against this section that is not a class 1 offence and involves—
(a)3 or 4 animals that are vulnerable or near threatened wildlife; or
(b)10 or more animals that are least concern wildlife.
class 3 offence means an offence against this section that is not a class 1 or class 2 offence and involves—
(a)1 or 2 animals that are vulnerable or near threatened wildlife; or
(b)5 or more, but less than 10, animals that are least concern wildlife.
class 4 offence means an offence against this section other than a class 1, 2 or 3 offence.

s 88 amd 1994 No. 42 s 17; 2000 No. 44 s 26

sub 2004 No. 48 s 172

amd 2004 No. 14 s 7A (amd 2004 No. 48 s 191); 2005 No. 53 s 135; 2007 No. 36 s 2 sch; 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect); 2013 No. 55 s 175 sch 1 pt 1; 2019 No. 28 s 33

88ARestriction on keeping or use of lawfully taken protected animal

(1)Subject to section 93, a person, other than an authorised person, must not keep or use a protected animal that is either of the following unless the keeping or use is authorised under this Act or the Exhibited Animals Act 2015
(a)a protected animal, if the animal has, at any time, been taken and the taking was authorised under this Act or a law of another State;
(b)a descendant of an animal mentioned in paragraph (a).

Maximum penalty—

(a)generally—1,000 penalty units; or
(b)if a circumstance mentioned in subsection (2) applies—100 penalty units.

(2)For subsection (1), the circumstances are that—
(a)in the 12 months before the commission of the offence, the person held a licence, permit or other authority (the former authority) under this Act and—
(i)the former authority is no longer in force; and
(ii)had the former authority still been in force, the offence would not have been committed; and
(iii)the former authority ceased to be in force for a reason other than its cancellation or suspension; and
(iv)an application to renew the former authority has not been refused; or
(b)the offence only relates to moving the animal.

s 88A ins 2004 No. 48 s 172

amd 2005 No. 53 s 136; 2015 No. 5 s 279

88BARestrictions relating to dugongs and marine turtles

(1)A person must not sell or give away, at commercial food premises, a prescribed animal or prescribed product.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(2)In this section—
commercial food premises
(a)means premises on or from which food is sold or given away as a part of a business operating from the premises; but

Examples of a business for paragraph (a)—

restaurant, cafe, recreation club
(b)does not include premises—
(i)being used in association with a public event; and
(ii)on or from which the selling or giving away of food takes place only occasionally.

Examples of premises for paragraph (b)—

a hall at which a community fair is being held, a temporary stall at a cultural fair
dugong means the mammal Dugong dugon.
marine turtle means a turtle of the family Cheloniidae or Dermochelyidae.
prescribed animal means a protected marine turtle or dugong.
prescribed product means anything made or derived from a prescribed animal.

s 88BA ins 2013 No. 55 s 61

amd 2022 No. 21 s 64 sch 1 pt 1

88CRestrictions relating to flying-foxes and flying-fox roosts

(1)A person must not destroy a flying-fox roost unless the person is an authorised person or the destruction is authorised under this Act.

Maximum penalty—1,000 penalty units or 1 year’s imprisonment.

(2)A person must not drive away, or attempt to drive away, a flying-fox from a flying-fox roost unless the person is an authorised person or the driving away is authorised under this Act.

Maximum penalty—1,000 penalty units or 1 year’s imprisonment.

(3)A person must not disturb a flying fox in a flying-fox roost unless the person is an authorised person or the disturbance is authorised under this Act.

Maximum penalty—100 penalty units.

(4)This section does not apply if the flying-fox roost is in a protected area.

Note—

For interfering with natural resources in protected areas, see section 62 (Restriction on taking etc. of cultural and natural resources of protected areas).
(5)Also, this section does not apply for an Aboriginal or Torres Strait Islander person taking, using or keeping a flying-fox under section 93.
(6)In this section—
breeding includes gestating.
drive away, a flying-fox from a flying-fox roost, means—
(a)cause the flying-fox to move away from the roost; or
(b)if the flying-fox has moved away from the roost, deter the flying-fox from returning to the roost.

Examples of ways of driving away a flying-fox—

using sound, light, smoke, electric current or chemicals
flying-fox means a protected animal of the genus Pteropus.
flying-fox roost means a tree or other place where flying-foxes congregate from time to time for breeding or rearing their young.

s 88C ins 2007 No. 56 s 35

amd 2024 No. 17 s 192 sch 1pt 3

Subdivision 2 Particular restrictions relating to protected plants

pt 5 div 4 sdiv 2 hdg ins 2013 No. 50 s 8

88DRegulation may prescribe special least concern plants

(1)A regulation may prescribe a least concern plant to be a special least concern plant for this subdivision.
(2)A least concern plant may be prescribed under subsection (1) if the taking or use of the plant is at risk of not being ecologically sustainable, including, for example, because of—
(a)high commercial demand for the plant or a part of the plant; or
(b)the biological traits of the plant.

s 88D ins 2013 No. 50 s 8

89Restriction on taking etc. particular protected plants

(1)Subject to section 93, a person, other than an authorised person, must not take a protected plant that is in the wild unless the plant is taken under—
(a)a conservation plan applicable to the plant; or
(b)a licence, permit or other authority issued or given under a regulation; or
(c)an exemption under a regulation.

Maximum penalty—

(a)for a class 1 offence—3,000 penalty units or 2 years imprisonment; or
(b)for a class 2 offence—1,000 penalty units or 1 year’s imprisonment; or
(c)for a class 3 offence—225 penalty units; or
(d)for a class 4 offence—165 penalty units.

(2)Subsection (1) does not apply to the taking of protected plants in a protected area.
(3)It is a defence to a charge of taking a protected plant in contravention of subsection (1) to prove that—
(a)the taking happened in the course of a lawful activity that was not directed towards the taking; and
(b)the taking could not have been reasonably avoided.
(4)A person must not use or keep a protected plant that has been taken in contravention of subsection (1).

Maximum penalty—

(a)for a class 1 offence—3,000 penalty units or 2 years imprisonment; or
(b)for a class 2 offence—1,000 penalty units or 1 year’s imprisonment; or
(c)for a class 3 offence—225 penalty units; or
(d)for a class 4 offence—165 penalty units.

(5)In this section—
class 1 offence means an offence against this section that involves—
(a)1 or more plants that are extinct, extinct in the wild, critically endangered or endangered wildlife; or
(b)5 or more plants that are vulnerable or near threatened wildlife; or
(c)10 or more plants that are special least concern wildlife.
class 2 offence means an offence against this section that is not a class 1 offence and involves—
(a)3 or 4 plants that are vulnerable or near threatened wildlife; or
(b)4 or more, but no more than 9, plants that are special least concern wildlife.
class 3 offence means an offence against this section that is not a class 1 or class 2 offence and involves—
(a)1 or 2 plants that are vulnerable or near threatened wildlife; or
(b)2 or 3 plants that are special least concern wildlife.
class 4 offence means an offence against this section other than a class 1, 2 or 3 offence.

s 89 amd 1994 No. 42 s 18; 2000 No. 44 s 27; 2003 No. 96 s 28 sch; 2004 No. 14 s 8; 2005 No. 53 s 138; 2007 No. 56 s 36; 2010 No. 52 s 34; 2013 No. 50 s 9; 2019 No. 28 s 34

90Restriction on using particular protected plants

(1)Subject to section 93, a person, other than an authorised person, must not use a protected plant, other than under—
(a)a licence, permit or other authority issued or given under a regulation; or
(b)an exemption under a regulation.

Maximum penalty—

(a)for a class 1 offence—1,000 penalty units; or
(b)for a class 2 offence—165 penalty units.

(2)In this section—
class 1 offence means an offence against this section that involves 1 or more plants that are threatened, near threatened or special least concern wildlife.
class 2 offence means an offence against this section other than a class 1 offence.

s 90 ins 1994 No. 42 s 19

amd 2000 No. 44 ss 28, 39; 2004 No. 14 s 9; 2005 No. 53 s 139; 2007 No. 56 s 37; 2013 No. 50 s 10

Subdivision 3 Other restrictions

pt 5 div 4 sdiv 3 hdg ins 2013 No. 50 s 11

90AOffence to keep or use native wildlife reasonably suspected to have been unlawfully taken

(1)A person must not keep or use native wildlife if a reasonable person in the person’s circumstances ought to have suspected that the wildlife may have been unlawfully taken unless—
(a)the person is an authorised person; or
(b)the State has, under this Act, disposed of the native wildlife to the person.

Maximum penalty—

(a)if the wildlife ought to have been suspected to have been taken in contravention of section 88(2), 89 or 97—the maximum penalty under that section that applies to an unlawful taking of the wildlife; or
(b)if the wildlife ought to have been suspected to have been taken in contravention of a law of another State—the maximum penalty under that law that applies to the unlawful taking of the wildlife.

Examples of when an offence is committed under subsection (1)—

A buys and keeps the native wildlife mentioned in item 1 or 2, under the circumstances mentioned in the item. A is not an authorised person. A did not buy the wildlife from the State. A reasonable person in A’s circumstances ought to have suspected that the wildlife may have been unlawfully taken.

1A buys protected wildlife from B at a market stall. Before buying the wildlife A asked B for evidence that it had been lawfully taken. In response, B replied that B did not have that evidence and that B bought the wildlife from someone else whom B did not know.
2A holds a licence under this Act to keep particular protected wildlife. A buys protected wildlife of that type from B. Under this Act, to keep or deal with the wildlife, B must hold a particular type of licence. A regulation requires that B must, before the sale is completed, fill in a movement advice in the approved form for the movement of the wildlife because of the sale. The approved form requires a written acknowledgement by A as the person to whom the wildlife is being moved. B has not shown to A that B holds a licence to keep and deal with the wildlife. A did not give the acknowledgement.

(2)If a person is charged with an offence against subsection (1), it is a defence to the charge if the person satisfies the court that the person had no reasonable grounds for suspecting the wildlife was unlawfully taken.
(3)In this section—
unlawfully taken means taken in contravention of section 88(2), 89 or 97 or of a law of another State.

s 90A (prev s 88B) ins 2004 No. 48 s 172

amd 2005 No. 53 s 137

renum and reloc 2013 No. 50 s 7

91Restriction on release etc. of international and prohibited wildlife

(1)A person, other than an authorised person, must not, unless authorised under this Act—
(a)abandon or release international or prohibited wildlife into the wild; or
(b)introduce international or prohibited wildlife into the State; or
(c)keep or use international or prohibited wildlife that, in contravention of paragraph (b), has been introduced into the State.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(2)A person, other than an authorised person, must not otherwise keep or use international or prohibited wildlife unless—
(a)the wildlife is dead and, if the wildlife is international wildlife, an approved tag is, under a regulation, attached to the animal or the part of the animal that is being kept or used; or
(b)the keeping or use is the keeping or use of milk obtained from prohibited wildlife; or
(c)the keeping or use is otherwise authorised under this Act or the Exhibited Animals Act 2015.

Maximum penalty—100 penalty units.

s 91 amd 2000 No. 44 s 29; 2004 No. 53 s 2 sch; 2004 No. 48 s 173; 2005 No. 53 s 140; 2015 No. 5 s 280

92Restriction on breeding etc. hybrids of protected animals

(1)A person must not—
(a)knowingly breed a hybrid or mutation of a protected animal; or
(b)abandon a hybrid or mutation of a protected animal in the wild;

other than under a regulation or exemption under a regulation.

Maximum penalty—165 penalty units.

(2)A person must not release a hybrid or mutation of a protected animal into the wild other than under a conservation plan for the protected animal.

Maximum penalty—165 penalty units or 1 year’s imprisonment.

s 92 amd 1994 No. 42 s 2 sch; 2004 No. 53 s 2 sch

93Aboriginal peoples’ and Torres Strait Islander peoples’ rights to take etc. protected wildlife

(1)Despite any other Act, but subject to the Animal Care and Protection Act 2001, an Aboriginal or Torres Strait Islander person may take, use or keep protected wildlife under Aboriginal tradition or Ailan Kastom.
(2)Subsection (1) applies subject to any provision of a conservation plan that expressly applies to the taking, using or keeping of protected wildlife under Aboriginal tradition or Ailan Kastom.
(3)An Aboriginal or Torres Strait Islander person who takes, uses or keeps protected wildlife in contravention of a provision of a conservation plan that expressly prohibits the taking, using or keeping of protected wildlife under Aboriginal tradition or Ailan Kastom commits an offence against this Act.

Maximum penalty—3,000 penalty units or imprisonment for 2 years.

(4)Subsection (1) does not apply to the taking, using or keeping of protected wildlife in a protected area.

s 93 amd 1994 No. 42 s 20; 2012 No. 23 s 14; 2024 No. 17 s 192 sch 1pt 3

94Conservation officers prohibited in dealing with protected wildlife

A conservation officer must not acquire or hold an interest in—
(a)a licence, permit or other authority issued or given under a regulation for the purpose of conducting the business of dealing in protected wildlife; or
(b)any business dealing in protected wildlife; or
(c)any place at or in which the business of dealing in protected wildlife is conducted; or
(d)any contract or arrangement made for the purpose of dealing in protected wildlife.

Maximum penalty—50 penalty units.

Division 5 Conservation value for protected wildlife

95Payment of conservation value

(1)Subject to subsections (8) and (9), there is payable to the State for protected wildlife taken under a licence, permit or other authority issued or given under a regulation, the conservation value (if any) prescribed under this Act for the wildlife.
(2)The conservation value of protected wildlife is an expression in monetary terms of the State’s conservation concern for the wildlife.
(3)Despite any Act or law, payment of the conservation value does not, of itself, transfer property in protected wildlife from the State.
(4)A person who lawfully takes protected wildlife must pay the conservation value for the wildlife within 30 days after the wildlife is taken.

Maximum penalty—50 penalty units.

(5)A person who lawfully takes protected wildlife must not give up or surrender possession of the wildlife unless the conservation value for the wildlife has been paid.

Maximum penalty—50 penalty units.

(6)A person must not keep protected wildlife knowing that the conservation value for the wildlife has not been paid.

Maximum penalty—50 penalty units.

(7)If a person lawfully takes wildlife, subsection (6) does not apply to the keeping of the wildlife by the person during the period allowed under subsection (4) for the payment of the conservation value for the wildlife.
(8)The conservation value of wildlife is not payable by a person if the person—
(a)is exempt from the payment under a regulation; or
(b)takes the wildlife for an authorised purpose under a conservation plan applicable to the wildlife; or
(c)takes the wildlife under a captive breeding agreement and pays the amount that the agreement provides must be paid for the taking of the wildlife.
(9)Also, the conservation value of a protected plant is not payable by a person if the person takes a protected plant under an authority and pays, within 30 days after the plant is taken, the amount, if any, that the authority states must be paid for the taking of the plant.
(10)For subsection (9), the amount stated on the authority must not be more than the conservation value for the protected plant.
(11)In this section—
authority means a licence, permit or other authority issued or given under a regulation or conservation plan.

s 95 amd 2004 No. 48 s 174; 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect); 2013 No. 50 s 12

96Recovery of unpaid conservation value

(1)An amount of conservation value payable under this Act is a debt due to the State and may be recovered in a court having jurisdiction for the recovery of debts up to the amount concerned.
(2)A proceeding may be instituted against a person for the recovery of an amount of conservation value payable under this Act whether or not—
(a)a prosecution has been instituted against the person for an offence in relation to the non-payment; or
(b)the person has been convicted of an offence in relation to the non-payment.

Division 6 Specific restriction on activities relating to native wildlife

97Restriction on taking etc. of native wildlife in areas of major interest and critical habitats

(1)This section applies to native wildlife (other than protected wildlife) in an area that is identified under a regulation or conservation plan as, or including—
(a)a critical habitat; or
(b)an area of major interest.
(2)A person, other than an authorised person, must not take or interfere with the wildlife, other than under—
(a)the regulation or conservation plan; or
(b)a licence, permit or other authority issued or given under a regulation.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(3)A person, other than an authorised person, must not use or keep the wildlife, other than under—
(a)the regulation or conservation plan; or
(b)a licence, permit or other authority issued or given under a regulation or the Exhibited Animals Act 2015.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(4)It is a defence to a charge of taking or interfering with wildlife in contravention of subsection (2) to prove that—
(a)the taking or interference happened in the course of a lawful activity that was not directed towards the taking or interference; and
(b)the taking or interference could not have been reasonably avoided.
(5)Subsection (4) does not allow a person to use or keep the wildlife.

s 97 amd 2000 No. 44 s 30; 2005 No. 53 s 141; 2013 No. 50 s 13; 2015 No. 5 s 281

97AAdditional restriction on hunting native ducks or native quails

(1)A regulation or conservation plan under this Act does not and can not authorise, whether directly or indirectly—
(a)the recreational hunting of native ducks or native quails; or
(b)the issue or giving of a licence, permit or other authority authorising the recreational hunting of native ducks or native quails; or
(c)the entry into an agreement or other arrangement authorising the recreational hunting of native ducks or native quails.
(2)The recreational hunting of native ducks or native quails is not and can not be authorised, for section 62(1), 88(2) or another provision of this Act, in any other way provided for under this Act, including, for example, under anything mentioned in section 62(1)(a), (b), (c), (d) or (e).
(3)An authorisation, however called, under this Act that is in existence immediately before the commencement of this section is of no legal effect to the extent it authorises, or purports to authorise, the recreational hunting of native ducks or native quails.
(4)In this section—
recreational hunting, of native ducks or native quails, means hunting directed at killing (including, for example, by shooting) native ducks or native quails for a recreational purpose.

s 97A ins 2006 No. 47 s 3

Division 7 Provisions for landholders

pt 5 div 7 hdg sub 2004 No. 48 s 175

98No right to enter land

Nothing in this Act gives—
(a)the holder of a licence, permit or other authority issued or given under a regulation; or
(b)an Aboriginal or Torres Strait Islander person;

the right to enter any land for the purpose of taking wildlife without the landholder’s consent.

s 98 amd 2024 No. 17 s 192 sch 1pt 3

99Offence to trespass—general

(1)A person must not—
(a)take wildlife on any land; or
(b)enter or be on any land for the purpose of taking wildlife;

without the landholder’s consent.

Maximum penalty—165 penalty units.

(2)Subsection (1) does not apply to a conservation officer who—
(a)has entered the land under part 9; and
(b)exercises a power under the part.

s 99 amd 2000 No. 44 s 31

100Offence to trespass—landholders’ rights

(1)This section applies to a person who a landholder suspects on reasonable grounds—
(a)is trespassing on the landholder’s land; and
(b)is committing on the land, has committed on the land or is on the land for the purpose of committing, an offence against this Act.
(2)The landholder may—
(a)require the person to state—
(i)the person’s name and address; and
(ii)the person’s purpose for being on the land; and
(b)if the person is on the land without lawful authority—require the person to leave the land immediately.
(3)If—
(a)the person fails to give—
(i)his or her name and address; or
(ii)the person’s purpose for being on the land;

if required to do so by the landholder; or

(b)the person—
(i)is on the land without lawful authority; and
(ii)fails to leave the land immediately if required to do so by the landholder;

the person commits an offence against this Act.

Maximum penalty—165 penalty units.

(4)This section does not affect any other right or remedy that the landholder may have against the trespasser.

Division 8 Captive breeding agreements and captive breeding for conservation

pt 5 div 8 hdg ins 2004 No. 48 s 176

Subdivision 1 Preliminary

100AMain purpose of div 8 and its achievement

(1)The main purpose of this division is to facilitate the conservation of native wildlife in the wild through captive breeding programs and the introduction of captive-bred wildlife into the wild.
(2)The purpose is achieved by—
(a)providing for agreements between the State and other entities about captive breeding; and
(b)authorising the taking of protected wildlife in the wild for use in captive breeding programs.

s 100A ins 2004 No. 48 s 176

amd 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect)

Subdivision 2 Captive breeding agreements

100BMinister’s power to enter into captive breeding agreement

(1)The Minister may, for the State, enter into an agreement (a captive breeding agreement) with someone else about captive breeding of protected wildlife to—
(a)reintroduce it into the wild, in the State or elsewhere; or
(b)otherwise ensure the survival in the wild of the protected wildlife or another species of wildlife.
(2)However, the agreement may provide for the reintroduction of the protected wildlife only if the Minister is satisfied—
(a)suitable habitat exists, or will exist, for the wildlife at the place where it is to be released; and
(b)threatening processes for the wildlife or its habitat will be minimised at the place.
(3)The agreement may be made even though no conservation plan or recovery plan has been made for the wildlife.
(4)In this section—
captive breeding, of protected wildlife, means doing, in the State or elsewhere, any of the following for a purpose mentioned in subsection (1)—
(a)growing or propagating protected plants under controlled conditions;
(b)breeding, hand-rearing or incubating protected animals in captivity;
(c)removing eggs, sperm or other reproductive material from protected wildlife in captivity or the wild for embryo transfer, fertilisation, artificial insemination or incubation.
protected wildlife includes wildlife that, under a law of another State, is an equivalent (however called) of protected wildlife as defined under this Act.
recovery plan, for wildlife, is a document stating what research and management is necessary to stop the decline, support the recovery, or enhance the chance of long-term survival in the wild, of the wildlife.

Example—

a recovery plan made or adopted under the Environment Protection and Biodiversity Conservation Act 1999 (Cwlth), section 269A
reproductive material, of protected wildlife, means any part of the wildlife that is capable of, or contributes to, asexual or sexual reproduction.

Examples of reproductive material of a plant—

all or part of a bulb, rhizome, root, seed, stolon or tuber

s 100B ins 2004 No. 48 s 176

amd 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect)

100CThings a captive breeding agreement may provide for

(1)A captive breeding agreement may do any of the following in relation to protected wildlife to which the agreement applies—
(a)authorise, for this Act, a party to the agreement to—
(i)take the wildlife in a protected or other area; or
(ii)keep or use the wildlife;
(b)provide for the passing of property rights in relation to the wildlife to a party to the agreement.
(2)However, the authorisation is subject to section 100E.
(3)A captive breeding agreement may provide that wildlife that is the property of the State is, under the agreement, to pass to another party to the agreement.

s 100C ins 2004 No. 48 s 176

100DRequired provisions for captive breeding agreement

(1)A captive breeding agreement must state or provide for each of the following—
(a)the species of wildlife to which the agreement applies;
(b)how many of the wildlife are to be taken in the wild, their sex and place of taking;
(c)whether the conservation value or a stated different amount must be paid for any of the wildlife that, under the agreement, is to be taken in the wild;
(d)arrangements to be made to distinguish the wildlife from others of the same species;
(e)the taking of tissue samples of the wildlife for genetic typing;
(f)where the wildlife are to be kept;
(g)requirements for keeping stud books and other records;
(h)arrangements to be made for releasing the wildlife or their descendants or to dispose of any of the wildlife that are no longer suitable for breeding or release;
(i)how the agreement may be enforced or terminated;
(j)any other matter prescribed under a regulation.
(2)To remove any doubt, it is declared that subsection (1) does not limit section 100B(1).

s 100D ins 2004 No. 48 s 176

100ERestriction on the taking, under a captive breeding agreement, of wildlife in the wild

A person who, under a captive breeding agreement, takes wildlife in the wild must carry a copy of the agreement while taking or moving the wildlife.

Maximum penalty—50 penalty units.

s 100E ins 2004 No. 48 s 176

100FAdditional provisions for termination of captive breeding agreement

(1)The Minister may, by written notice to each other party to a captive breeding agreement, terminate the agreement if a party to the agreement is convicted of an offence against section 88, 88A or 89.
(2)A regulation may terminate a captive breeding agreement.
(3)This section—
(a)applies despite any provision of a captive breeding agreement; and
(b)does not limit the ways in which a captive breeding agreement may be terminated.

s 100F ins 2004 No. 48 s 176

100GObligation to surrender protected wildlife on termination of captive breeding agreement

(1)If a captive breeding agreement is terminated, the chief executive may give a written notice to any person who is, or who appears to be, in charge of protected wildlife that, under the agreement, is the property of the State, to surrender the wildlife to the State.
(2)The notice may be given even if the wildlife is being kept or used at a place outside the State.
(3)The person must comply with the notice.

Maximum penalty—1,000 penalty units.

(4)This section does not limit—
(a)section 88, 88A or 89; or
(b)the State’s property in the wildlife; or
(c)a conservation officer’s powers in relation to the wildlife.

s 100G ins 2004 No. 48 s 176

Subdivision 3 Chief executive’s power for captive breeding

100HPowers

The chief executive may take, keep or use protected wildlife for captive breeding or to give effect to a captive breeding agreement.

Division 9 Offset conditions

pt 5 div 9 hdg ins 2014 No. 33 s 131

100IOffset condition for wildlife authority

(1)A condition of a wildlife authority may require or otherwise relate to an environmental offset (an offset condition).

Note—

The Environmental Offsets Act 2014, part 6, states further conditions that apply to a wildlife authority and those further conditions are called deemed conditions. A breach of a deemed condition may be dealt with under this Act.
(2)An offset condition may require an environmental offset to be undertaken on land to which a wildlife authority applies or on other land in the State.
(3)If an applicant for a wildlife authority has entered into an agreement about an environmental offset, an offset condition may require the applicant to comply with the agreement.
(4)An agreement entered into under subsection (3) is not an environmental offset agreement under the Environmental Offsets Act 2014.
(5)In this section—
environmental offset see the Environmental Offsets Act 2014, schedule 2.
wildlife authority means a lease, agreement, licence, permit or other authority under this Act (including under a regulation) in relation to a protected animal or protected plant.

s 100I ins 2014 No. 33 s 131

100JConditions of wildlife authority

(1)This section applies if, on or after the commencement of this section, a wildlife authority becomes, under this Act, subject to an offset condition.
(2)To the extent the offset condition is inconsistent with a deemed condition, the deemed condition prevails.

Note—

See the Environmental Offsets Act 2014, section 5(3). Under that provision, particular imposed conditions prevail over deemed conditions.
(3)In this section—
deemed condition see the Environmental Offsets Act 2014, schedule 2.
offset condition see section 100I(1).
wildlife authority see section 100I(5).

s 100J ins 2014 No. 33 s 131

Division 10 Statements of management intent

pt 5 div 10 hdg ins 2014 No. 59 s 144

100KLocal government’s statement of management intent

(1)This section applies if a local government is lawfully dealing with protected wildlife in the local government area, other than under a wildlife authority.
(2)The Minister may, by written notice, require the local government to prepare and publish a statement of management intent for the protected wildlife, within a reasonable period stated in the notice.
(3)The notice may require that the statement of management intent include stated information.
(4)The local government must, within the stated period—
(a)prepare a statement of management intent for the protected wildlife; and
(b)publish the statement on the local government’s website.
(5)The statement of management intent must include—
(a)any information required under subsection (3); and
(b)any information prescribed by regulation.
(6)In this section—
statement of management intent, for protected wildlife, means a statement about the local government’s proposed management intent for the protected wildlife.

s 100K ins 2014 No. 59 s 144

Part 6 Interim conservation orders

101Definitions

In this part—
landholder includes a person having an interest in land.
protected area includes the wet tropics area within the meaning of the Wet Tropics World Heritage Protection and Management Act 1993.

s 101 def protected area amd 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect)

s 101 sub 1993 No. 50 s 86 sch 3

102Issue of order

If the Minister is of the opinion that—
(a)threatened or near threatened wildlife; or
(b)a protected wildlife habitat that is, in the Minister’s opinion, a critical habitat; or
(c)an area of major interest; or
(d)a protected area;

is subject to a threatening process that is likely to have significant detrimental effect on the wildlife, habitat or area, the Minister may make an interim conservation order for the conservation, protection or management of the wildlife, habitat or area.

s 102 amd 2004 No. 14 s 10; 2013 No. 55 s 175 sch 1 pt 1

103Effect of order

(1)An interim conservation order may provide for—
(a)the prohibition or control of a specified threatening process; or
(b)such other matters as are prescribed.
(2)An order may be made in relation to land even though—
(a)the wildlife or habitat is not within the land; or
(b)the land is not within an area of major interest or protected area.

104Notice of order

(1)On the day an interim conservation order is made, the Minister must give or send written notice to—
(a)all landholders of land to which the order relates; and
(b)the local government for the area in which the land is situated;

that the order has been made and of the terms of the order.

(2)It is sufficient compliance with subsection (1)(a) in relation to a landholder if the Minister gives notice of the order to the landholder by displaying the notice in a prominent place on the land.

s 104 amd 1994 No. 42 s 2 sch

105Duration of order

(1)An interim conservation order has effect from the time it is made and continues in force for not more than 60 days.
(2)The Governor in Council may, by gazette notice, extend the order by not more than 90 days.

s 105 amd 1994 No. 42 s 2 sch

106[Repealed]

s 106 om 2016 No. 27 s 334

107Suspension of licences etc.

(1)If a licence, permit or other authority issued or given under any Act permits the holder to do an act that would contravene an interim conservation order, the Minister may, by order, suspend the operation of the authority to the extent that it permits the doing of the act.
(2)The Minister must give written notice of the order to the authority holder.
(3)If the Minister considers that it is impracticable to give notice to each holder of a particular class of authority, it is sufficient compliance with subsection (2) if the Minister gives notice of the order to the authority holders by publishing a notice in such newspapers as the Minister determines.
(4)The suspension—
(a)takes effect from—
(i)if notice is given under subsection (2)—the day the notice is received by the holder; or
(ii)if notice is given under subsection (3)—the day the notice is first published in a newspaper; or
(iii)if a later day is specified in the notice—the later day; and
(b)ends—
(i)when the interim conservation order ends; or
(ii)if an earlier day is specified in the notice—on the earlier day.
(5)This section applies despite any other Act.

s 107 amd 1994 No. 42 s 2 sch

108Compensation

(1)A landholder of land subject to an interim conservation order is entitled to be paid by the State such reasonable compensation because of the making of the order as is agreed between the State and the landholder or, failing agreement, as is determined by the Land Court.
(2)A claim for compensation must—
(a)be made in a form approved by the chief executive; and
(b)be made to the chief executive within 6 months after the making of the order or the longer period the chief executive or the Land Court in special circumstances allows.

s 108 amd 1994 No. 42 s 21

109Compliance with order

A person must not contravene an interim conservation order.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

Part 7 Management statements, management plans, management programs and conservation plans

pt 7 hdg sub 1994 No. 42 s 2 sch; 2013 No. 55 s 62

amd 2019 No. 8 s 21

Division 1 Preparing management statement or management plan

pt 7 div 1 hdg prev pt 7 div 1 hdg ins 2013 No. 55 s 63

om 2019 No. 8 s 22

pres pt 7 div 1 hdg (prev pt 7 div 2 hdg) ins 2013 No. 55 s 64

renum 2019 No. 8 s 26

110[Repealed]

s 110 prev s 110 om 1994 No. 42 s 28

pres s 110 ins 1994 No. 42 s 22

om 2019 No. 8 s 22

111Chief executive to prepare management statement

(1)The chief executive must, as soon as practicable after—
(a)the dedication of—
(i)a national park (scientific); or
(ii)a national park; or
(iii)a national park (Cape York Peninsula Aboriginal land); or
(iv)a conservation park; or
(v)a resources reserve; or
(b)the declaration of—
(i)a nature refuge, under section 49; or
(ii)a coordinated conservation area; or
(iii)an Indigenous joint management area;

prepare a management statement for the area.

(2)However, the chief executive is not required to prepare a management statement for the area (the newly dedicated protected area) if—
(a)the area is dedicated or declared as a protected area in connection with any of the following changes to a protected area (an existing protected area) for which a management statement (an existing management statement) or management plan (an existing management plan) is in force—
(i)renaming the existing protected area;
(ii)changing the class of the existing protected area;
(iii)adding an area to the existing protected area;
(iv)removing an area from the existing protected area;
(v)amalgamating the existing protected area with another protected area;
(vi)dividing the existing protected area into 2 or more separate protected areas; and
(b)any of the following applies—
(i)the regulation dedicating or declaring the newly dedicated protected area declares that the existing management statement or existing management plan applies to the newly dedicated protected area;
(ii)if there is an existing management statement in effect for the existing protected area—the chief executive amends the existing management statement to apply to the newly dedicated protected area; or
(iii)if there is an existing management plan in effect for the existing protected area—the Minister amends the existing management plan to apply to the newly dedicated protected area.
(3)Also, the chief executive is not required to prepare a management statement for the area if the Minister notifies the chief executive that the Minister is preparing a management plan for the area.
(4)If—
(a)on or after the dedication or declaration of a protected area, the area is included in an aggregation of protected areas assigned a name under section 64; and
(b)a management statement is required to be prepared for the area under this section;

the chief executive may prepare a management statement for the aggregation of areas instead of a statement for the area (whether or not statements have been prepared for other areas included in the aggregation of areas).

(5)If the chief executive decides to prepare a management statement for an amalgamated area or aggregation of areas, this part applies to the preparation and approval of the statement.
(6)The chief executive may after the declaration of a nature refuge, other than under section 49, prepare a management statement for the area of the refuge if the landholder of the area agrees.
(7)A management statement for a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area must—
(a)be prepared jointly with the Indigenous landholder for the protected area; and
(b)be consistent with any Indigenous land use agreement, and the Indigenous management agreement, for the protected area.
(8)A management statement for an area may be combined with a management statement for another area dedicated or declared under this Act.

s 111 amd 1994 No. 42 ss 23, 2 sch; 2000 No. 44 ss 32, 39; 2005 No. 53 s 142; 2007 No. 48 s 50; 2007 No. 56 s 38; 2011 No. 11 s 45; 2011 No. 26 s 121; 2013 No. 55 ss 65, 148; 2016 No. 22 s 26; 2024 No. 17 s 192 sch 1pt 3

112Minister may prepare management plan

(1)This section applies to—
(a)an area mentioned in section 111(1); or
(b)an area that is an aggregation of areas assigned a name under section 64.
(2)The Minister may prepare a management plan for the area if the Minister is satisfied it is appropriate in the circumstances having regard to the following—
(a)the importance of the area’s natural or cultural resources and values;
(b)any significant or particular threats to the area’s natural or cultural resources and values;
(c)any significant public interest concerns for the area’s natural or cultural resources and values;
(d)the nature of any proposed commercial or recreational uses of, and opportunities for, the area and the proposed management of those uses.
(3)The Minister may after the declaration of a nature refuge, other than under section 49, prepare a management plan for the area of the refuge if the landholder of the area agrees.
(4)A management plan for a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area must—
(a)be prepared jointly with the Indigenous landholder for the protected area; and
(b)be consistent with any Indigenous land use agreement, and the Indigenous management agreement, for the protected area.

s 112 ins 2013 No. 55 s 67

amd 2024 No. 17 s 192 sch 1pt 3

Division 2 Making and implementing management statements

pt 7 div 2 hdg (prev pt 7 div 3 hdg) ins 2013 No. 55 s 67

renum 2019 No. 8 s 26

113Management statements to be consistent with management principles etc.

A management statement for an area must—
(a)be consistent with the management principles for the class of the area; and
(b)if the area is a nature refuge or coordinated conservation area—be consistent with any conservation agreement or conservation covenant for the area; and
(c)state management outcomes for the protection, presentation and use of the area and the policies, guidelines and actions to achieve the outcomes.

s 113 amd 1994 No. 42 s 2 sch

sub 2013 No. 55 s 68

amd 2014 No. 40 s 154 sch 1 pt 2

113ANotice of making of management statement

(1)The chief executive must notify the making of a management statement by gazette notice.
(2)The gazette notice must state where a copy of the management statement is available for inspection.

s 113A ins 2013 No. 55 s 68

113BWhen management statement has effect

A management statement has effect on and from the later of the following days—
(a)the day the gazette notice for the statement is published under section 113A;
(b)the commencement day stated in the statement.

Note—

See, however, section 119B.

s 113B ins 2013 No. 55 s 68

113CImplementation of management statement

On the making of a management statement for an area, the following persons must give effect to the statement—
(a)if the area is a national park (Aboriginal land) or national park (Torres Strait Islander land)—the board of management for the area;
(b)if the area is a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area—the Indigenous landholder for the area and the chief executive;
(c)if the area is under the control of trustees appointed under section 31—the trustees;
(d)if paragraphs (a), (b) and (c) do not apply—the chief executive.

s 113C ins 2013 No. 55 s 68

amd 2024 No. 17 s 192 sch 1pt 3

Division 3 Preparing, approving and implementing management plans

pt 7 div 3 hdg (prev pt 7 div 4 hdg) ins 2013 No. 55 s 68

renum 2019 No. 8 s 26

114Application of division

This division applies if the Minister decides to prepare a management plan for an area under section 112.

s 114 amd 1994 No. 42 s 2 sch

sub 2013 No. 55 s 68

amd 2019 No. 8 s 23

115Preparation of draft plan

The Minister must prepare a draft of the management plan (a draft plan).

s 115 amd 1994 No. 42 ss 25, 2 sch

sub 2013 No. 55 s 68

115ANotice of draft plan

(1)This section applies to a draft plan other than a draft plan for a nature refuge that is subject to a conservation agreement.
(2)The Minister must—
(a)publish a notice about the draft plan on the department’s website; and
(b)ensure the draft plan is available for inspection as stated in the notice.
(3)The notice must—
(a)state the area to which the draft plan relates; and
(b)state that a copy of the draft plan is available for inspection without charge—
(i)during business hours at the department’s head office and at each departmental office in the general area in which the area is located; and
(ii)on the department’s website; and
(c)invite members of the public, including landholders and Aboriginal peoples and Torres Strait Islander peoples with an interest in the area, to make written submissions about the draft plan to the Minister, within a stated period.
(4)The stated period must be at least 20 business days after the notice is published.
(5)Subsection (3)(c) does not apply if—
(a)the draft plan is substantially uniform or complementary with—
(i)another Act; or
(ii)a law of the Commonwealth or another State; or
(b)the following applies—
(i)the draft plan adopts an Australian or international protocol, standard, code, or intergovernmental agreement or instrument;
(ii)an assessment of the benefits and costs associated with the plan has already been made;
(iii)the assessment was made for, or is relevant to, Queensland; or
(c)the Minister considers there has already been adequate other public consultation about the matters the subject of the plan.
(6)In this section—
landholder includes a person having an interest in land.

s 115A ins 2013 No. 55 s 68

amd 2019 No. 8 s 24; 2024 No. 17 s 192 sch 1pt 3

115BObtaining copy of draft plan

(1)On payment of the fee, if any, decided by the chief executive, a person may obtain a copy of the draft plan from the chief executive.
(2)The fee must not be more than the reasonable cost incurred by the chief executive for printing the copy and giving it to the person.
(3)For subsection (2), if the person asks for the copy to be mailed to the person, the fee may include the reasonable cost of mailing the copy to the person.

s 115B ins 2013 No. 55 s 68

116Submissions to be considered when preparing final management plan

When preparing a final management plan, the Minister must consider all submissions made to the Minister about the draft plan under section 115A(3)(c).

s 116 sub 1994 No. 42 s 26; 2013 No. 55 s 68

117Final management plans

(1)A final management plan for a protected area must—
(a)be consistent with the management principles for the class of the area and, if the area is a nature refuge or coordinated conservation area, any conservation agreement or covenant for the area; and
(b)specify management outcomes for the protection, presentation and use of the area and the policies, guidelines and actions to achieve the outcomes.
(2)A final management plan for a protected area may divide the area into management zones.

s 117 ins 1994 No. 42 s 26

amd 2005 No. 42 s 52 sch 1; 2013 No. 55 s 69; 2014 No. 40 s 154 sch 1 pt 2

118Approval of final management plan

(1)The Governor in Council may, by gazette notice, approve a final management plan.
(2)The gazette notice must state—
(a)where a copy of the management plan is available for inspection; and
(b)if, immediately before the approval of the management plan, a management statement is in effect for the area—the management statement ceases to have effect on the day the management plan takes effect.

s 118 ins 1994 No. 42 s 26

sub 2013 No. 55 s 70

119Management plan may be combined with another plan

A management plan for an area may be combined with 1 or more of the following—
(a)a management plan for another area dedicated or declared under this Act;
(b)a management plan for a marine park under the Marine Parks Act 2004;
(c)a management plan for a recreation area under the Recreation Areas Management Act 2006.

s 119 amd 1994 No. 42 s 27

sub 2013 No. 55 s 70

119AWhen management plan has effect

A management plan has effect on and from the later of the following days—
(a)the day the gazette notice approving the plan is published;
(b)the commencement day stated in the plan.

s 119A ins 2013 No. 55 s 70

119BManagement statement ceases to have effect if management plan takes effect

(1)This section applies if—
(a)a management statement is in effect for an area; and
(b)a management plan for the area takes effect under section 119A.
(2)On the management plan taking effect, the management statement ceases to have effect for the area.

s 119B ins 2013 No. 55 s 70

120Implementation of management plan

On approval of a management plan for a protected area or an Indigenous joint management area, the following persons must give effect to the plan—
(a)if the area is a national park (Aboriginal land) or national park (Torres Strait Islander land)—the board of management for the area;
(b)if the area is a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area—the Indigenous landholder for the area and the chief executive;
(c)if the area is under the control of trustees appointed under section 31—the trustees;
(d)if paragraphs (a), (b) and (c) do not apply—the chief executive.

s 120 amd 1994 No. 42 s 2 sch; 2007 No. 48 s 51; 2011 No. 11 s 46; 2011 No. 26 s 122; 2013 No. 55 s 71; 2024 No. 17 s 192 sch 1pt 3

Division 4 Amendment of management plans

pt 7 div 4 hdg (prev pt 7 div 5 hdg) ins 2013 No. 55 s 72

renum 2019 No. 8 s 26

120AProcedures for amending management plan

(1)Sections 114 to 117 apply to the amendment of a management plan as if a reference to a management plan were a reference to an amendment of a management plan.
(2)However, sections 115 to 116 do not apply to the amendment of a management plan if—
(a)the amendment contains only amendments to—
(i)correct an error in the plan; or
(ii)make a change other than a change of substance in the plan; or
(iii)if the plan or a regulation provides that an amendment of a stated type may be made to the plan by amendment under this subsection—make an amendment of that type; or
(b)for a management plan that is substantially uniform or complementary with another Act or a law of the Commonwealth or another State—the amendment contains only amendments needed to ensure the plan remains substantially uniform or complementary; or
(c)the amendment only adopts an Australian or international protocol, standard, code, or intergovernmental agreement or instrument, and an assessment of the benefits and costs associated with the amendment has already been made and the assessment was made for, or is relevant to, Queensland; or
(d)the Minister considers there has already been adequate other public consultation about the matters the subject of the amendment.

s 120A ins 2013 No. 55 s 72

amd 2016 No. 22 s 27

120ABAmendment of management plans for particular land

(1)This section applies in relation to the amendment of a management plan for land in a national park (Cape York Peninsula Aboriginal land) or an Indigenous joint management area.
(2)The amendment of the management plan must be prepared jointly with the Indigenous landholder for the land.
(3)The management plan as amended must be consistent with any Indigenous land use agreement or Indigenous management agreement for the land.
(4)This section does not limit section 120A.

s 120AB ins 2016 No. 22 s 27A

amd 2024 No. 17 s 192 sch 1pt 3

120BApproval of amendment

(1)An amendment of a management plan may be approved, by gazette notice, by—
(a)for an amendment to which section 120A(2) applies—the Minister; or
(b)otherwise—the Governor in Council.
(2)The gazette notice must state where a copy of each of the following is available for inspection—
(a)the amendment of the management plan;
(b)the management plan as amended.

s 120B ins 2013 No. 55 s 72

120CWhen amendment has effect

The amendment of a management plan has effect on and from the later of the following days—
(a)the day the gazette notice approving the amendment is published;
(b)the commencement day stated in the amendment.

s 120C ins 2013 No. 55 s 72

Division 5 Publication of management statements and management plans

pt 7 div 5 hdg (prev pt 7 div 6 hdg) ins 2013 No. 55 s 72

renum 2019 No. 8 s 26

120DPublication and availability of management statements and management plans

(1)The chief executive must publish a copy of each management statement and management plan, as amended from time to time, on the department’s website.
(2)The copy must be published—
(a)within 20 business days after the statement or plan first takes effect under this part; or
(b)for a copy incorporating an amendment of the statement or plan—within 20 business days after the day on which the amendment takes effect.
(3)Also, the chief executive must keep a copy of each management statement and management plan, as amended from time to time, available for inspection, without charge by the chief executive, by members of the public during normal business hours at—
(a)the department’s head office; and
(b)each departmental office in the general area in which the area the subject of the statement or plan is located.

s 120D ins 2013 No. 55 s 72

120EObtaining copies of management statements or management plans

(1)On payment of the fee decided by the chief executive, a person may obtain a copy of a management statement or management plan, as in effect at a particular time, from the chief executive.
(2)The fee must not be more than the reasonable cost incurred by the chief executive for printing the copy and giving it to the person.
(3)For subsection (2), if the person asks for the copy to be mailed to the person, the fee may include the reasonable cost of mailing the copy to the person.

s 120E ins 2013 No. 55 s 72

Division 6 Management programs

pt 7 div 6 hdg (prev pt 7 div 6A hdg) ins 2019 No. 8 s 25

renum 2019 No. 8 s 26

120EAPreparation of management program

A landholder who intends to enter into a conservation agreement for a special wildlife reserve must prepare and give the Minister a management program for the reserve.

s 120EA ins 2019 No. 8 s 25

120EBContent of management program

(1)A management program must state management outcomes for the protection, presentation and use of the special wildlife reserve and actions to achieve the outcomes.
(2)A management program may also—
(a)divide the area of the special wildlife reserve into management zones; and
(b)authorise or restrict the taking, using or keeping of, or interfering with, a cultural or natural resource of the reserve.

s 120EB ins 2019 No. 8 s 25

120ECApproval of management program

The Minister may approve a management program for a special wildlife reserve only if the Minister is satisfied—
(a)the program is consistent with the management principles and proposed conservation agreement for the reserve; and
(b)the program states appropriate management outcomes for the protection, presentation and use of the reserve and appropriate actions to achieve the outcomes; and
(c)if the program authorises or restricts the taking, using or keeping of, or interfering with, a cultural or natural resource—that the authorisation or restriction is ecologically sustainable.

s 120EC ins 2019 No. 8 s 25

120EDWhen management program has effect

A management program for a special wildlife reserve has effect when the reserve is declared under this Act.

s 120ED ins 2019 No. 8 s 25

120EEImplementation of management program

The landholder of land in a special wildlife reserve must give effect to the management program for the reserve.

s 120EE ins 2019 No. 8 s 25

120EFAmendment of management program

(1)The landholder of land in a special wildlife reserve may, at any time, prepare an amended management program for the reserve for approval by the chief executive.
(2)Section 120EC applies to the amended management program as if—
(a)a reference to the Minister were a reference to the chief executive; and
(b)a reference to a management program were a reference to the amended management program.
(3)An amended management program for a special wildlife reserve has effect when it is approved by the chief executive.

s 120EF ins 2019 No. 8 s 25

Division 7 Reviewing management statements, management plans and management programs

pt 7 div 7 hdg ins 2013 No. 55 s 72

amd 2019 No. 8 s 27

120FReview of management statements

(1)The chief executive must review the management statement for an area not later than 10 years after it is made.
(2)On completing the review, the chief executive may—
(a)prepare a new management statement for the area; or
(b)amend the existing management statement for the area; or
(c)leave the existing management statement for the area unchanged.

s 120F ins 2013 No. 55 s 72

120GReview of management plans

(1)The Minister must review the operation of a management plan for an area not later than 10 years after its approval.
(2)On completing the review, the Minister may—
(a)prepare a new management plan for the area; or
(b)amend the existing management plan for the area; or
(c)leave the existing management plan for the area unchanged; or
(d)if the Minister is satisfied it is appropriate in the circumstances, decide that the existing management plan be replaced with a management statement for the area.
(3)If the Minister decides, under subsection (2)(d), that the existing management plan be replaced with a management statement for the area—
(a)the Governor in Council may revoke the approval of the existing management plan; and
(b)if the approval is revoked—the chief executive must prepare a management statement for the area under this part to take effect immediately after the revocation.
(4)Subsection (3)(b) does not apply if the area is amalgamated with another area for which a management statement is required under section 111, and either—
(a)the regulation dedicating or declaring the amalgamated area declares that an existing management statement or existing management plan applies to the amalgamated area; or
(b)an existing management statement or existing management plan is amended to apply it to the amalgamated area.
(5)Also, if the area is a protected area, section 111(4) applies to the area as if section 111(4)(b) also included a reference to a management statement required to be prepared under subsection (3)(b).

s 120G ins 2013 No. 55 s 72

120GAReview of management program

(1)The chief executive and the landholder of land in a special wildlife reserve must jointly review the management program for the reserve—
(a)no later than 5 years after the program first takes effect (the first review); and
(b)subsequently, at intervals of not more than 5 years after the first review.
(2)Subsection (1) applies even if the management program has been amended in the period before the review is required.
(3)On completing a review under subsection (1), the chief executive and landholder may agree—
(a)that the landholder will prepare an amended management program under section 120EF; or
(b)to leave the management program unchanged.

s 120GA ins 2019 No. 8 s 28

Division 8 Conservation plans

pt 7 div 8 hdg ins 2013 No. 55 s 72

120HPreparation of conservation plans

(1)The Minister may prepare a conservation plan for any native wildlife, class of wildlife, native wildlife habitat or area that is, in the Minister’s opinion, an area of major interest.
(2)If a person applies for a licence, permit or other authority under a regulation to—
(a)take or use protected wildlife; or
(b)release international or prohibited wildlife into the wild; or
(c)introduce international or prohibited wildlife into the State;

the Minister may, before the authority is given—

(d)require the person, at the person’s cost, to prepare a draft conservation plan; or
(e)prepare a draft conservation plan;

for the taking, use, release or introduction of the wildlife.

(3)The Minister may require the person to pay—
(a)if subsection (2)(d) applies—the reasonable costs incurred by the Minister in relation to the preparation and approval of a final conservation plan; or
(b)if subsection (2)(e) applies—the reasonable costs incurred by the Minister in relation to—
(i)the preparation of the draft and final conservation plans; and
(ii)the approval of the final conservation plan.
(4)If the conservation plan is to provide for matters for which a regulation may be made under this Act, subsection (3) only applies if the Minister is satisfied it is more appropriate in the circumstances for a conservation plan to provide for the matters.
(5)A conservation plan may make provision about the following matters—
(a)any matter for which a regulation may be made under this Act, including, for example, prescribing offences for contraventions of the plan, and fixing a maximum penalty of a fine of not more than 165 penalty units for the contravention;
(b)the use or development of land, and activities, in an area identified under the plan as, or including, a critical habitat or an area of major interest.

s 120H (prev s 112) amd 1994 No. 42 s 24; 1995 No. 40 s 15; 2004 No. 48 s 177; 2013 No. 55 s 66

reloc and renum 2013 No. 55 s 66 (5)

120IConservation plans to be consistent with management principles etc.

(1)A conservation plan for wildlife must be consistent with the management principles for the class of wildlife.
(2)A conservation plan for wildlife, or a class of wildlife, may provide for the State to be divided into wildlife districts.

s 120I ins 2013 No. 55 s 72

120JApproval of conservation plan

(1)A conservation plan does not have effect until it has been approved by the Governor in Council.
(2)A conservation plan is subordinate legislation.

s 120J ins 2013 No. 55 s 72

120KImplementation of conservation plan

On approval of a conservation plan, the chief executive must give effect to the plan.

s 120K ins 2013 No. 55 s 72

Division 9 Miscellaneous provisions

pt 7 div 9 hdg ins 2013 No. 55 s 72

121Plan replaces interim or declared management intent

(1)A management statement or management plan for a coordinated conservation area replaces the interim management intent for the area.
(2)A conservation plan for wildlife, or a class of wildlife, replaces the declared management intent for the wildlife, or class of wildlife, unless the plan declares that this subsection does not apply to the plan.

s 121 sub 1994 No. 42 s 29

amd 2013 No. 55 s 73

122[Repealed]

s 122 sub 1994 No. 42 s 30

om 2016 No. 27 s 335

123Local governments’ decisions to be consistent with plans

(1)This section applies to land in—
(a)a protected area for which a regulation is in force giving effect to a management plan for the area; or
(b)an area identified under a conservation plan as, or including, a critical habitat or an area of major interest.
(2)A local government must not issue or give any approval, consent, permit or other authority for a use of, or a development on, the land that is inconsistent with the regulation or plan.

s 123 ins 1994 No. 42 s 30

amd 1995 No. 40 s 16

124[Repealed]

s 124 amd 1994 No. 42 s 2 sch; 1995 No. 40 s 17; 2007 No. 56 s 39

sub 2011 No. 3 s 21

om 2013 No. 55 s 74

125[Repealed]

s 125 amd 1994 No. 42 s 31

om 2013 No. 55 s 74

Part 7A Regulations identifying critical habitats or areas of major interest

pt 7A hdg ins 2013 No. 50 s 15

126ALocal governments’ decisions to be consistent with regulations

(1)This section applies to land in an area identified under a regulation as, or including, a critical habitat or an area of major interest.
(2)A local government must not issue or give any approval, consent, permit or other authority for a use of, or a development on, the land that is inconsistent with the regulation.

s 126A ins 2013 No. 50 s 15

Part 8 Administration

127Appointment of conservation officers

(1)The Minister may—
(a)appoint an employee of the department; or
(b)appoint an officer of the public service; or
(c)appoint a police officer; or
(d)with the person’s consent, appoint another person;

to be a conservation officer.

Note—

Under the Police Powers and Responsibilities Act 2000, section 13, a police officer may be appointed as a conservation officer only with the written approval of the commissioner of the police service.

(2)The Minister may appoint a conservation officer, who has satisfactorily completed a course of training approved by the Minister, to be a special conservation officer.
(3)An appointment under subsection (1) or (2) must be in, or evidenced by, writing signed by the Minister.
(4)A conservation officer appointed under subsection (1)(a) or (b) holds office subject to the conditions specified in the instrument of appointment.
(5)A conservation officer appointed under subsection (1)(d)—
(a)holds office for the term, and subject to the conditions, specified in the instrument of appointment; and
(b)may resign office by writing signed and given to the Minister.

s 127 amd 1994 No. 42 s 33; 2000 No. 5 s 373 sch 3; 2011 No. 6 s 142 sch

127AFunctions of conservation officers

(1)A conservation officer has the following functions—
(a)to investigate, monitor and enforce compliance with this Act;
(b)to investigate or monitor whether an occasion has arisen for the exercise of powers under this Act;
(c)to facilitate the exercise of powers under this Act;
(d)to help achieve the object of this Act by providing advice and information on how the object may be achieved.
(2)Subject to this Act, a conservation officer may exercise the powers under this Act for the purpose of these functions.

s 127A ins 2022 No. 21 s 11

128Appointment of honorary protectors

(1)The Minister may, by signed writing, appoint a qualified person, with the person’s consent, to be an honorary protector.
(2)An honorary protector—
(a)holds office for the term, and subject to the conditions, specified in the instrument of appointment; and
(b)has the powers of a conservation officer under section 151 and such other powers as may be prescribed; and
(c)may resign by writing signed and given to the Minister.
(3)In this section—
qualified person means a person who—
(a)in the Minister’s opinion, has the necessary expertise or experience to be an honorary protector; or
(b)has satisfactorily completed a course of training approved by the Minister.

129Minister may inquire into suitability of proposed appointees

(1)Before appointing a person as a conservation officer or honorary protector, the Minister may inquire into the suitability of the person.
(2)The Minister may obtain a report from the commissioner of the police service about the criminal history of the person.
(3)The report must include reference to, or disclosure of, convictions mentioned in the Criminal Law (Rehabilitation of Offenders) Act 1986, section 6.

s 129 ins 1994 No. 42 s 34

amd 2003 No. 96 s 28 sch

130Identity cards

(1)The Minister must issue an identity card to—
(a)each conservation officer; and
(b)each honorary protector.
(2)The identity card must—
(a)contain a recent photograph of the conservation officer or honorary protector; and
(b)be in a form approved, in writing, by the Minister; and
(c)in the case of a conservation officer who is a special conservation officer—state that the officer is a special conservation officer; and
(d)be signed by the conservation officer or honorary protector.
(3)This section does not prevent the issue of a single identity card to a person for this Act and other purposes.
(4)Without limiting subsection (3), if the person holds an office under another Act administered by the department, the identity card may identify the other office.
(5)Despite subsection (1), the Minister is not required to issue an identity card to—
(a)a conservation officer who is a police officer; or
(b)a person who holds an identity card, issued under another Act by a Minister or chief executive of a department, that identifies the person as a conservation officer.
(6)A person who ceases to be a conservation officer or honorary protector must, as soon as practicable, return an identity card issued under subsection (1) to the Minister.

Maximum penalty for subsection (3)—50 penalty units.

s 130 amd 2000 No. 5 s 373 sch 3; 2022 No. 9 s 61

131Production or display of identity card

(1)A conservation officer or an honorary protector must not exercise any power under this Act in relation to a person unless the conservation officer or honorary protector—
(a)produces his or her identity card for the person’s inspection before exercising the power; or
(b)has his or her 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 conservation officer or honorary protector must produce the identity card for the person’s inspection at the first reasonable opportunity.
(3)For subsection (1), a conservation officer or honorary protector does not exercise a power in relation to a person only because the conservation officer or honorary protector has entered a place as mentioned in section 145(2)(c) or (d).
(4)This section does not apply to a conservation officer who is a police officer.
(5)Subsection (4) does not limit or otherwise affect the Police Powers and Responsibilities Act 2000, section 637.
(6)In this section—
identity card means—
(a)an identity card issued under section 130; or
(b)an identity card, issued under another Act by a Minister or chief executive of a department, that identifies the person as a conservation officer under this Act.

s 131 amd 2013 No. 55 s 75; 2022 No. 9 s 62

132Advisory committees

(1)The Minister may establish as many advisory committees as the Minister considers appropriate for the purposes of the administration of this Act, including, for example—
(a)scientific advisory committees; and
(b)protected area management advisory committees; and
(c)wildlife management advisory committees.
(2)An advisory committee is to have the functions that the Minister specifies, including, for example, the function of advising the Minister on—
(a)the identification, classification and management of protected areas; and
(b)the classification of wildlife; and
(c)the suitability of management and conservation plans.
(3)A member of an advisory committee may be paid such fees and allowances as are approved by the Governor in Council.

s 132 amd 1994 No. 42 s 2 sch; 2013 No. 55 s 76

132ACommittees for protected areas in Cape York Peninsula Region

(1)The Minister may establish committees to advise the Minister about matters relating to particular protected areas in the Cape York Peninsula Region, including, for example, matters about the preparation of management plans, and matters about implementing the plans, for the areas.
(2)Also, the Minister must establish a committee of Aboriginal peoples or Torres Strait Islander peoples who have an interest in a protected area in the Cape York Peninsula Region (the Regional Protected Area Management Committee) to advise the Minister about matters relating to protected areas in the region, including, for example, matters about—
(a)employment opportunities for Aboriginal peoples or Torres Strait Islander peoples in the areas; and
(b)any management plans for the areas; and
(c)the provision of resources for the management of the areas.
(3)Each committee established under subsection (1) must consist of representatives of Aboriginal peoples or Torres Strait Islander peoples the Minister is satisfied have an interest in the protected areas for which the committee is established.
(4)The Regional Protected Area Management Committee may consist of representatives of—
(a)the committees established under subsection (1); or
(b)regional organisations representing Aboriginal peoples or Torres Strait Islander peoples in the Cape York Peninsula Region.

s 132A ins 2007 No. 48 s 52

amd 2013 No. 55 s 175 sch 1 pt 1; 2019 No. 8 s 28A; 2024 No. 17 s 192 sch 1pt 3

132B Decision about prescription of wildlife in particular circumstances

(1)This section applies if the species technical committee makes a recommendation to the Minister about the classification of particular native wildlife.
(2)Within 30 business days after receiving the recommendation from the  committee, the Minister must decide whether to recommend to the Governor in Council the making of a regulation under part 5, division 2 prescribing the native wildlife to be a particular class of wildlife.
(3)In this section—
species technical committee means the advisory committee, established under section 132, that has the function of advising the Minister on the classification of wildlife.

s 132B ins 2020 No. 3 s 122

133Chief executive to keep register

(1)The chief executive must keep a register of—
(a)management statements, management plans and conservation plans; and
(b)critical habitats; and
(c)areas of major interest; and
(d)captive breeding agreements that are in force; and
(e)interim conservation orders; and
(f)conservation officers; and
(g)honorary protectors.
(2)Subject to subsection (3), the chief executive must—
(a)keep the registers open for inspection by members of the public during office hours on business days at—
(i)the department’s head office; and
(ii)such other places as the chief executive considers appropriate; and
(b)on payment of the prescribed fee by a person—
(i)permit the person to take extracts from a register; or
(ii)give the person a copy of a part of a register.
(3)A person must not be given information that is declared under section 136 to be confidential information.

s 133 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 33; 2002 No. 72 s 28; 2004 No. 48 s 178; 2007 No. 48 s 53; 2011 No. 31 s 347; 2013 No. 55 s 77

134Records to be kept by registrar of titles

(1)Subsections (2) to (4) apply in relation to the following instruments—
(a)a conservation agreement, including an amended conservation agreement;
(b)a regulation or conservation plan identifying an area as, or including—
(i)a critical habitat; or
(ii)an area of major interest;
(c)a regulation declaring a protected area.
(2)The chief executive must, within 14 days after the instrument is made, give the registrar of titles a compliant document for the instrument.
(3)The registrar of titles must record the information in the compliant document about the instrument, and the land to which it relates, in the appropriate register for the land in a way that a search of the register will show the existence of the instrument in relation to the land.
(4)The record must also state where the instrument may be inspected.
(5)Subsections (6) and (7) apply in relation to the following actions—
(a)the ending of a conservation agreement;
(b)the removal of an area as, or including, a critical habitat or an area of major interest from a regulation or conservation plan;
(c)the revocation of a protected area, in whole or part.
(6)The chief executive must, within 14 days after the action happens, give the registrar of titles a compliant document for the action.
(7)The registrar of titles must record the happening of the action in the appropriate register for the land.
(8)In this section—
appropriate register means—
(a)for freehold land—the freehold land register; or
(b)for other land—the appropriate register under the Land Act 1994.
compliant document, for an instrument or action, means a document stating the information about the instrument or action, and the land to which it applies, required by the registrar of titles for recording the information in the appropriate register for the land.

s 134 amd 1994 No. 42 s 35; 2011 No. 26 s 189 sch; 2013 No. 55 s 149; 2013 No. 50 s 16

sub 2019 No. 8 s 29

amd 2021 No. 12 s 148 sch 3

135Chief executive may inquire into applications

(1)The chief executive may, in relation to—
(a)an application for, or for the renewal of, a lease, agreement, licence, permit or other authority; or
(b)an application for the consent of the Minister to, or to the renewal of, a lease, agreement, licence, permit or other authority;

inquire into—

(c)if the applicant is an individual—the fame, character and suitability of the applicant; or
(d)if the applicant is a corporation—the fame, character and suitability of each executive officer of the corporation.

(2)The chief executive may obtain—
(a)a report from the commissioner of the police service in respect of the criminal history of the applicant and, if the applicant is a corporation, in respect of each executive officer of the corporation; and
(b)if the applicant, or an executive officer of a corporation that is an applicant, holds or previously held in another State a relevant lease, licence, permit or other authority—a report from the appropriate authority in the State.
(3)A report under subsection (2)(a) must include reference to or disclosure of convictions mentioned in of the Criminal Law (Rehabilitation of Offenders) Act 1986, section 6.
(4)In this section—
applicant, in relation to an expression of interest, means the person who has submitted to the chief executive the expression of interest.
application, for a lease, agreement, licence, permit or other authority, includes an expression of interest for the lease, agreement, licence, permit or other authority.

s 135 amd 2003 No. 96 s 28 sch; 2004 No. 48 s 179; 2005 No. 53 s 143

136Confidentiality of information

(1)The chief executive may declare information acquired in the administration of this Act to be confidential information if the chief executive is of the opinion that disclosure of the information may result in an unreasonable level of risk to the wellbeing of a cultural or natural resource or critical habitat.
(2)If, while performing duties under, or in relation to, this Act, a person gets—
(a)confidential information; or
(b)information obtained under section 129 or 135;

the person must not, whether directly or indirectly, disclose or make use of the information except to the extent necessary to perform the person’s duties under or in relation to this Act.

Maximum penalty—165 penalty units.

(3)In this section—
this Act includes the Acts repealed by this Act.

s 136 amd 1994 No. 42 s 36; 2000 No. 44 s 39

137Licences to be consistent with management principles, and management intent, management plan or conservation agreement

(1)A licence, permit or other authority issued or given under a regulation or another Act to take, use, keep or interfere with a cultural or natural resource of a protected area must be consistent with—
(a)the management principles for the area; and
(b)any of the following for the area—
(i)the interim or declared management intent;
(ii)a management plan;
(iii)a conservation agreement.
(2)A licence, permit or other authority issued or given under a regulation to—
(a)take, use or keep protected wildlife; or
(b)abandon, release, keep, use or introduce international or prohibited wildlife;

must be consistent with—

(c)the management principles for the wildlife; and
(d)the declared management intent, or conservation plan, applicable to the wildlife.

s 137 amd 1994 No. 42 s 2 sch; 2013 No. 55 s 78; 2019 No. 8 s 30

137ACompensation if landholder’s interest in land injuriously affected

(1)This section applies if—
(a)a regulation is made, or a conservation plan is approved, for an area identified under the regulation or plan as, or including, a critical habitat or an area of major interest; and
(b)a landholder’s interest in land in the area is injuriously affected by a restriction or prohibition imposed under the regulation or plan on the landholder’s existing use of the land.
(2)The landholder is entitled to be paid by the State the reasonable compensation because of the restriction or prohibition that is agreed between the State and the landholder or, failing agreement, decided by the Land Court.
(3)The landholder’s interest in the land is not injuriously affected if the restriction or prohibition under the regulation or conservation plan is the same, or to the same effect, as a provision of another law applying to the land immediately before the restriction or prohibition started applying to the land.
(4)Compensation is not payable if compensation has already been paid for—
(a)the restriction or prohibition; or
(b)a restriction or prohibition to the same effect.
(5)A claim for compensation must—
(a)be made in a form approved by the chief executive; and
(b)be made to the chief executive within 6 months after the making of the regulation or approval of the conservation plan, or the longer period the chief executive or Land Court in special circumstances allows.
(6)In making a determination, the Land Court must have regard to the following matters—
(a)the capacity of the land to sustain the existing use;
(b)any change in the value of the land because of the making of the regulation or approval of the conservation plan;
(c)any change in the profitability of the land because of the making of the regulation or approval of the conservation plan;
(d)any conservation agreement with the landholder.
(7)Subsection (6) does not limit the matters to which the Land Court may have regard in making a determination.
(8)In this section—
existing use of land includes a lawful use made of the land immediately before the restriction or prohibition imposed under the regulation or conservation plan mentioned in subsection (1) started applying to the land.

s 137A (prev s 126) sub 1994 No. 42 s 32

amd 2013 No. 50 s 14 (1)–(7)

renum and reloc 2013 No. 50 s 14 (8)

138Compensation not payable if authority not renewed etc.

(1)In this section—
authority means a licence, permit or other authority issued or given under a regulation or conservation plan.
(2)Compensation is not payable if, under a regulation or conservation plan—
(a)the renewal of an authority is refused; or
(b)conditions are imposed on an authority, or anything previously permitted under an authority is prohibited or regulated; or
(c)an authority is amended, or anything previously permitted under an authority is prohibited or regulated; or
(d)an authority is suspended or cancelled.
(3)However, subsection (2) does not prevent a regulation or conservation plan providing for payment of compensation.

s 138 ins 1994 No. 42 s 37

amd 2013 No. 50 s 17

139Annual report

(1)The chief executive must, within 4 months after the end of each financial year, give to the Minister a report on the administration of this Act during the year.
(2)The Minister must lay a copy of the report before the Legislative Assembly within 14 sitting days after its receipt by the Minister.

s 139 amd 2002 No. 72 s 29

140Delegation by Minister

The Minister may delegate to an officer of the public service powers under this Act (other than sections 102 and 107).

141Delegation by chief executive

(1)The chief executive may delegate the chief executive’s powers under this Act to a conservation officer or an officer of the public service.
(2)However, the chief executive may not delegate powers under a prescribed provision.
(3)In this section—
prescribed provision means section 34, 35, 35A, 36, 37, 38, 39G, 42AD, 42AE, 42AEA, 42AN, 42AO, 42AOA, 42AP, 42A, 43F, 43G, 43H or 136.

s 141 sub 1994 No. 42 s 38

amd 2000 No. 44 s 39; 2007 No. 48 s 54; 2013 No. 18 s 16; 2013 No. 55 ss 79, 150; 2019 No. 8 s 31

142Protection from liability

(1)An official is not civilly liable for an act done, or omission made, honestly and without negligence under this Act.
(2)If subsection (1) prevents a civil liability attaching to an official, the liability attaches instead to the State.
(3)Also, the State or an official is not civilly liable in a proceeding for an act done, or omission made, in—
(a)the performance or purported performance of a function under this Act in relation to a State protected area; or
(b)the exercise or purported exercise of a power under this Act in relation to a State protected area; or
(c)the management or operation of a State protected area.
(4)However, subsection (3) does not apply to any liability of the State or an official arising from the State’s or official’s—
(a)construction, installation or maintenance of a State fixture, or State road, that is defective other than because of a natural event; or
(b)failure to give adequate notice of a State fixture, or State road, that is defective other than because of a natural event; or
(c)carrying out of a State management activity.

Examples of a natural event for paragraphs (a) and (b)—

a storm, flood, period of heavy rain
(5)Also, subsection (3) does not apply in relation to—
(a)any liability of the State or an official for an MAIA injury incurred by the State or official as an insured person; or
(b)any liability of the State or an official for an injury for which compensation is payable under the Workers’ Compensation and Rehabilitation Act 2003 incurred by the State or official in the State’s or official’s capacity as an employer.
(6)For subsection (5)(b), the following is immaterial—
(a)whether compensation for the injury is actually claimed under the Workers’ Compensation and Rehabilitation Act 2003;
(b)whether the entitlement to seek damages for the injury is regulated under that Act.
(7)In this section—
compensation see the Workers’ Compensation and Rehabilitation Act 2003, section 9.
damages includes any form of monetary compensation.
defective includes damaged or destroyed.
insured person see the Motor Accident Insurance Act 1994, section 4.
MAIA injury means a personal injury to which the Motor Accident Insurance Act 1994 applies.
official means each of the following—
(a)the Minister;
(b)the chief executive;
(c)for a State protected area for which an Indigenous management agreement has been entered into—the Indigenous landholder with whom the Indigenous management agreement has been entered into for the land;
(d)a conservation officer;
(e)a public service employee or another employee of the State authorised to carry out functions under this Act;
(f)a person acting under a direction given under this Act by a person mentioned in paragraph (a), (b), (c), (d) or (e).
personal injury see the Civil Liability Act 2003, schedule 2.
proceeding means a proceeding for damages based on a liability for personal injury, damage to property or economic loss resulting from personal injury or damage to property, and, for a fatal injury, includes a proceeding for the deceased’s dependants or estate.
State fixture means a building, structure or other thing constructed or installed by the State including, for example, the following—
(a)a boardwalk, jetty, lookout or mooring;
(b)a stairway;
(c)a fence or other barrier;
(d)a thing used for a recreational purpose.

Examples for paragraph (d)—

a flying fox ride or zipline ride
a rope or swing over a river or waterhole
a ramp or jump on a mountain bike trail
an anchor point for rock climbing
State management activity means—
(a)programmed shooting or poisoning of animals; or
(b)programmed burning or poisoning of vegetation.
State protected area means—
(a)a national park (scientific); or
(b)a national park; or
(c)a national park (Aboriginal land); or
(d)a national park (Torres Strait Islander land); or
(e)a national park (Cape York Peninsula Aboriginal land); or
(f)a conservation park; or
(g)a resources reserve.
State road means—
(a)a State-controlled road within the meaning of the Transport Infrastructure Act 1994, schedule 6; or
(b)another road, within the meaning of the Transport Operations (Road Use Management) Act 1995, constructed by the State.

s 142 amd 1994 No. 42 s 2 sch

sub 2013 No. 55 s 80

amd 2013 No. 55 s 151; 2016 No. 22 s 28; 2024 No. 17 s 192 sch 1pt 3

143Immunity from prosecution

(1)A conservation officer is not liable to be prosecuted for an offence against this Act for anything done or omitted to be done—
(a)under the direction of the Minister or chief executive; or
(b)in the exercise of a power or performance of a function conferred or imposed on the officer under this Act.
(2)A person acting under the direction of the Minister, chief executive or a conservation officer is not liable to be prosecuted for an offence against this Act for anything done or omitted to be done under the direction.

s 143 ins 1994 No. 42 s 39

143AFalse or misleading documents

A person must not give to an authorised person a document containing information that the person knows is false, misleading or incomplete in a material particular without—
(a)indicating to the authorised person that the document is false, misleading or incomplete and the respect in which the document is false, misleading or incomplete; and
(b)giving the correct information to the authorised person if the person has, or can reasonably obtain, the correct information.

Maximum penalty—100 penalty units.

s 143A (prev s 158) amd 2013 No. 55 s 81 (1)–(2)

reloc and renum 2013 No. 55 s 81 (3)

143B Chief executive may approve use of information system

(1)The chief executive may approve a system (an information system) for generating, receiving, sending, or otherwise processing electronic communications between an authorised person and another person.
(2)Communications received by the information system are taken to be documents given to the authorised person.
(3)A decision generated by the information system is taken to be a decision made by the authorised person.

s 143B ins 2019 No. 28 s 35

Part 8A Review of decisions

pt 8A hdg ins 2022 No. 21 s 12

Division 1 Preliminary

pt 8A div 1 hdg ins 2022 No. 21 s 12

143CDefinitions for part

In this part—
affected person, in relation to a decision, means—
(a)if the decision is an original decision—
(i)a person who is given, or is entitled to be given, an information notice for the decision; or
(ii)a person whose interests are otherwise affected by the decision; or
(b)if the decision is an internal review decision—the person who applied for the internal review.
internal review, of an original decision, see section 143E(1).
internal review decision means a decision made, or taken to have been made, under section 143G on an application for internal review of an original decision.
original decision means a decision for which an information notice must be given under this Act.
QCAT information notice, for an internal review decision, means a notice complying with the QCAT Act, section 157(2).

s 143C ins 2022 No. 21 s 12

Division 2 Internal review

pt 8A div 2 hdg ins 2022 No. 21 s 12

143DReview process must start with internal review

An affected person for an original decision may apply to QCAT for a review of the decision only if a decision on an application for internal review of the decision has been made, or taken to have been made, under this division.

s 143D ins 2022 No. 21 s 12

143EWho may apply for internal review

(1)An affected person for an original decision may apply to the chief executive for a review of the decision under this division (an internal review).
(2)If the affected person has not been given an information notice for the original decision, the affected person may ask the chief executive for an information notice for the decision.
(3)A failure by the chief executive to give the affected person an information notice for the original decision does not limit or otherwise affect the person’s right to apply for an internal review of the decision.

s 143E ins 2022 No. 21 s 12

143FRequirements for application

(1)An application for internal review of an original decision must—
(a)be in the approved form; and
(b)for a person who has been given an information notice for the decision—include enough information to enable the chief executive to decide the application; and
(c)be made to the chief executive within—
(i)for a person who has been given an information notice for the decision—28 days after the day the person is given the notice; or
(ii)for a person who has not been given an information notice for the decision—28 days after the day the person becomes aware of the decision.
(2)The chief executive may, at any time, extend the period within which the application may be made.
(3)The making of the application does not affect the operation of the original decision or prevent the decision being implemented.
(4)However, subsection (3) does not apply to the extent the operation of the original decision is stayed under section 143H.

s 143F ins 2022 No. 21 s 12

143GInternal review

(1)The chief executive must, within 28 days after receiving an application for internal review of an original decision—
(a)review the original decision; and
(b)decide to—
(i)confirm the original decision; or
(ii)amend the original decision; or
(iii)substitute another decision for the original decision; and
(c)give the affected person for the original decision a QCAT information notice for the decision under paragraph (b).
(2)The chief executive and the affected person may, before the period stated in subsection (1) ends, agree to a longer period for the chief executive to comply with the subsection.
(3)The application may be dealt with only by a person who—
(a)did not make the original decision; and
(b)holds a more senior office than the person who made the original decision.
(4)Subsection (3) does not apply to an original decision made by the chief executive personally.
(5)If the chief executive does not give the affected person a QCAT information notice within the period required under subsection (1) or a longer period agreed under subsection (2), the chief executive is taken to confirm the original decision.

s 143G ins 2022 No. 21 s 12

Division 3 Staying operation of original decision

pt 8A div 3 hdg ins 2022 No. 21 s 12

143HQCAT may stay operation of original decision

(1)This section applies in relation to an original decision, other than a discontinuation decision.
(2)An affected person for the original decision may apply to QCAT, in the way provided under the QCAT Act, for a stay of the operation of the decision.
(3)The application may be made at any time within the period within which an application for an internal review of the original decision may be made under division 2.
(4)QCAT may make an order staying the operation of the original decision only if QCAT considers the order is desirable after having regard to the following—
(a)the interests of any person whose interests may be affected by the making of the order or the order not being made;
(b)any submission made to QCAT by the entity that made the original decision;
(c)the public interest.
(5)Subsection (4)(a) does not require QCAT to give a person whose interests may be affected by the making of the order, or the order not being made, an opportunity to make submissions for QCAT’s consideration if QCAT is satisfied it is not practicable because of the urgency of the case or for another reason.
(6)A stay by QCAT under this section—
(a)may be given on conditions QCAT considers appropriate; and
(b)operates for the period fixed by QCAT; and
(c)may be amended or revoked by QCAT.
(7)The period of a stay by QCAT under this section must not extend past—
(a)the end of the period within which an application for an internal review of the original decision may be made under division 2; or
(b)if an application for an internal review of the original decision is made under division 2 within the period allowed under that division—the end of the period within which an application for a review of the internal review decision may be made under the QCAT Act.

Note—

The QCAT Act, section 22(3) enables QCAT to stay the operation of the internal review decision, either on application by a person or on its own initiative.
(8)In this section—
discontinuation decision means a decision to suspend or cancel a licence, permit or other authority that authorises—
(a)taking or interfering with a cultural or natural resource of a protected area; or
(b)taking protected wildlife.

s 143H ins 2022 No. 21 s 12

Division 4 External review

pt 8A div 4 hdg ins 2022 No. 21 s 12

143IApplying for external review

(1)This section applies to a person who is given, or is entitled to be given, a QCAT information notice for an internal review decision.
(2)The person may apply to QCAT, as provided under the QCAT Act, for a review of the internal review decision.

Note—

The QCAT Act, section 22(3) enables QCAT to stay the operation of the internal review decision, either on application by a person or on its own initiative.
(3)However, QCAT may not stay the operation of an internal review decision that is a discontinuation decision.
(4)In this section—
discontinuation decision see section 143H(8).

s 143I ins 2022 No. 21 s 12

Part 9 Investigation and enforcement

Division 1 General provisions

pt 9 div 1 hdg ins 2022 No. 21 s 13

144Power to stop and search vehicles etc.

(1)This section applies if a conservation officer suspects on reasonable grounds that—
(a)a vehicle, boat or aircraft is being, or has been, used in the commission of an offence against this Act; or
(b)a vehicle, boat or aircraft, or anything on or in, a vehicle, boat or aircraft may afford evidence of the commission of an offence against this Act.
(2)The conservation officer may, with such assistance and by such force as is necessary and reasonable—
(a)enter or board the vehicle, boat or aircraft; and
(b)exercise the powers set out in section 147.
(3)If—
(a)the vehicle or boat is moving or about to move; or
(b)the aircraft is moving, or about to move, on the ground;

the conservation officer may signal the driver or the person in command or control, or who appears to be in command or control, of the vehicle, boat or aircraft, to stop or not to move the vehicle, boat or aircraft.

(4)A person must not, without reasonable excuse, disobey a signal under subsection (3).

Maximum penalty—165 penalty units or 1 year’s imprisonment.

(5)It is a reasonable excuse for the person to fail to stop or to move the vehicle, boat or aircraft if—
(a)to immediately obey the signal would have endangered the person or another person; and
(b)the person obeys the signal as soon as it is practicable to obey the signal.
(6)The conservation officer may require the driver or the person in command or control, or who appears to be in command or control, of the vehicle, boat or aircraft—
(a)to provide such reasonable assistance as the officer requires to enable the vehicle, boat or aircraft to be entered or boarded under subsection (2); or
(b)to bring the vehicle, boat or aircraft to a specified place and remain in control of the vehicle, boat or aircraft at the place for a reasonable time to enable the officer to exercise the officer’s powers in relation to the vehicle, boat or aircraft.
(7)A person must not, without reasonable excuse, contravene a requirement under subsection (6).

Maximum penalty—165 penalty units or 1 year’s imprisonment.

(8)If, while searching the vehicle, boat or aircraft, the conservation officer finds a thing that the officer believes, on reasonable grounds, will afford evidence of the commission of an offence against this Act, section 146(2)(a) to (c) apply to the thing.
(9)If, after searching the vehicle, boat or aircraft, the conservation officer believes on reasonable grounds that the vehicle, boat or aircraft will afford evidence of the commission of an offence against this Act, section 146(2)(a) and (b) apply to the vehicle, boat or aircraft.

s 144 amd 1994 No. 42 s 40

145Entry and search—monitoring compliance

(1)Subject to subsection (2), a conservation officer may, for the purpose of finding out whether this Act is being complied with—
(a)enter any place at any reasonable time of the day or night; and
(b)exercise the powers set out in section 147.
(2)The conservation officer must not enter a place, or exercise a power under subsection (1), unless—
(a)the occupier of the place consents to the entry or exercise of the power; or
(b)a warrant under section 148 authorises the entry or exercise of the power; or
(c)the place is a place to which the public are admitted (whether or not for consideration) and the entry is made when members of the public attend or the premises are open for admission by the public; or
(d)the place is premises, or the part of premises, that—
(i)are licensed under a regulation and the entry is made when the premises are open for conduct of business or otherwise open for entry; and
(ii)are not used exclusively for residential purposes.
(3)In this section—
place does not include a vehicle, boat or aircraft.

146Entry and search—evidence of offences

(1)Subject to subsection (3), if a conservation officer has reasonable grounds for suspecting that there is in a place a particular thing (the evidence) that may afford evidence of the commission of an offence against this Act, the officer may—
(a)enter the place; and
(b)exercise the powers set out in section 147.
(2)If the conservation officer enters the place and finds the evidence, the following provisions have effect—
(a)the officer may seize the evidence;
(b)the officer may keep the evidence for 6 months or, if a prosecution for an offence against this Act in the commission of which the evidence may have been used or otherwise involved is instituted within that period, until the completion of the proceeding for the offence and any appeal in relation to the proceeding;
(c)if the evidence is a document—while the officer has possession of the document, the officer may take extracts from and make copies of the document, but must allow the document to be inspected at any reasonable time by a person who would be entitled to inspect it if it were not in the officer’s possession.
(3)A conservation officer must not enter the place or exercise a power under subsection (1) unless—
(a)the occupier of the place consents to the entry or exercise of the power; or
(b)a warrant under section 149 that was issued in relation to the evidence authorises the entry or exercise of the power.
(4)If, while searching the place under subsection (1) under a warrant under section 149
(a)a conservation officer finds a thing that the officer believes, on reasonable grounds, to be—
(i)a thing (other than the evidence) that will afford evidence of the commission of the offence mentioned in subsection (1); or
(ii)a thing that will afford evidence of the commission of another offence against this Act; and
(b)the officer believes, on reasonable grounds, that it is necessary to seize the thing to prevent—
(i)its concealment, loss or destruction; or
(ii)its use in committing, continuing or repeating the offence mentioned in subsection (1) or the other offence, as the case may be;

subsection (2) applies to the thing as if it were the evidence.

(5)In this section—
place does not include a vehicle, boat or aircraft.

s 146 amd 1994 No. 42 s 2 sch

147General powers of conservation officer in relation to places

(1)A conservation officer who enters or boards a place under this division may exercise any of the following powers—
(a)search any part of the place;
(b)inspect, examine, photograph or film anything in or on the place;
(c)take extracts from, and make copies of, any documents in or on the place;
(d)take into or onto the place such persons, equipment and materials as the conservation officer reasonably requires for the purpose of exercising any powers in relation to the place;
(e)require the occupier or any person in or on the place to give to the conservation officer reasonable assistance in relation to the exercise of the powers mentioned in paragraphs (a) to (d);
(f)the powers mentioned in the following provisions—
(i)section 151;
(ii)section 152;
(iii)section 154(1)(b) to (e).
(2)A person must not, without reasonable excuse, fail to comply with a requirement made under subsection (1)(e).

Maximum penalty—50 penalty units.

(3)It is a reasonable excuse for a person to fail to answer a question or produce a document (other than a document required to be kept by the person under a regulation) if answering the question, or producing the document, might tend to incriminate the person.
(4)A conservation officer who seizes or damages anything under this division must, as soon as it is reasonably practicable after seizing or damaging the thing, give written notice of particulars of the thing or damage.
(5)The notice must be given to—
(a)if anything is seized—the person from whom the thing was seized; or
(b)if damage was caused to anything—the person who appears to the conservation officer to be the owner of the thing.
(6)This section does not limit any power that a conservation officer has apart from this section.

s 147 amd 1994 No. 42 s 2 sch; 2000 No. 44 s 39; 2022 No. 21 s 64 sch 1 pt 1

148Monitoring warrants

(1)A conservation officer may apply to a magistrate for a warrant under this section in relation to a particular place (other than premises, or the part of premises, used exclusively for residential purposes).
(2)Subject to subsection (3), the magistrate may issue the warrant if the magistrate is satisfied, by information on oath, that it is reasonably necessary that the conservation officer should have access to the place for the purpose of finding out whether this Act is being complied with.
(3)If the magistrate requires further information concerning the grounds on which the issue of the warrant is being sought, the magistrate must not issue the warrant unless the conservation officer or some other person has given the information to the magistrate in the form (either orally or by affidavit) that the magistrate requires.
(4)The warrant must—
(a)authorise any conservation officer or a stated conservation officer, with such assistance and by such force as is necessary and reasonable—
(i)to enter the place; and
(ii)to exercise the powers set out in section 147(1)(a) to (e); and
(b)state whether the entry is authorised to be made at any reasonable time of the day or night or only during specified reasonable hours of the day or night; and
(c)specify the day (not more than 14 days after the issue of the warrant) on which the warrant ceases to have effect; and
(d)state the purpose for which the warrant is issued.

s 148 amd 2011 No. 6 s 103

149Offence related warrants

(1)A conservation officer may apply to a magistrate for a warrant under this section in relation to a particular place.
(2)Subject to subsection (3), the magistrate may issue the warrant if the magistrate is satisfied, by information on oath, that there are reasonable grounds for suspecting that there is, or there may be within the next 7 days, in or on the place a particular thing (the evidence) that may afford evidence of the commission of an offence against this Act.
(3)If the magistrate requires further information concerning the grounds on which the issue of the warrant is being sought, the magistrate must not issue the warrant unless the conservation officer or another person has given the information to the magistrate in the form (either orally or by affidavit) that the magistrate requires.
(4)The warrant must—
(a)authorise any conservation officer or a stated conservation officer, with such assistance and by such force as is necessary and reasonable—
(i)to enter the place; and
(ii)to exercise the powers set out in section 147(1)(a) to (e); and
(iii)to seize the evidence; and
(b)state whether the entry is authorised to be made at any time of the day or night or only during specified hours of the day or night; and
(c)specify the day (not more than 14 days after the issue of the warrant) on which the warrant ceases to have effect; and
(d)state the purpose for which the warrant is issued.

s 149 prev s 149 om 1994 No. 42 s 2 sch

pres s 149 amd 2011 No. 6 s 104

150Warrants may be granted by telephone, facsimile, radio etc.

(1)If a conservation officer considers it necessary to do so because of—
(a)urgent circumstances; or
(b)other special circumstances, including, for example, the officer’s remote location;

the officer may, under this section, apply by telephone, facsimile, radio or another form of communication for a warrant under section 148 or 149.

(2)Before applying for the warrant, the conservation officer must prepare information of the kind mentioned in section 148(2) or 149(2) that sets out the grounds on which the issue of the warrant is sought.
(3)If it is necessary to do so, a conservation officer may apply for the warrant before the information has been sworn.
(4)If the magistrate is satisfied—
(a)after having considered the terms of the information; and
(b)after having received such further information (if any) as the magistrate requires concerning the grounds on which the issue of the warrant is being sought;

that there are reasonable grounds for issuing the warrant, the magistrate may, under section 148 or 149, complete and sign the warrant that the magistrate would issue under the section if the application had been made under the section.

(5)If the magistrate completes and signs the warrant, the magistrate must immediately send a copy of the warrant to the conservation officer by facsimile or, if it is not reasonably practicable to do so—
(a)the magistrate must—
(i)tell the officer what the terms of the warrant are; and
(ii)tell the officer the day and time when the warrant was signed; and
(iii)record on the warrant the reasons for granting the warrant; and
(b)the officer must—
(i)complete a form of warrant in the same terms as the warrant completed and signed by the magistrate; and
(ii)write on the form of warrant the name of the magistrate and the day and time when the magistrate signed the warrant.
(6)The conservation officer must also—
(a)not later than the day after the day of expiry or execution of the warrant (whichever is the earlier); or
(b)if it is not practicable to comply with paragraph (a)—as soon as practicable after the day mentioned in the paragraph;

send to the magistrate—

(c)the information mentioned in subsection (2), which must have been properly sworn; and
(d)if a form of warrant was completed by the conservation officer under subsection (5)(b)—the completed form of warrant.

(7)When the magistrate receives the documents mentioned in subsection (6), the magistrate must—
(a)attach them to the warrant that the magistrate completed and signed; and
(b)deal with them in the way in which the magistrate would have dealt with the information if the application for the warrant had been made under section 148 or 149.
(8)A facsimile copy of a warrant, or a form of warrant properly completed by the conservation officer under subsection (5)(b), is authority for any entry, search, seizure or other exercise of a power that the warrant signed by the magistrate authorises.
(9)If—
(a)it is material for a court to be satisfied that an entry, search, seizure or other exercise of power was authorised by this section; and
(b)the warrant completed and signed by the magistrate authorising the exercise of power is not produced in evidence;

the court must assume, unless the contrary is proved, that the exercise of power was not authorised by such a warrant.

151Conservation officer may require name and address

(1)This section applies if a conservation officer—
(a)finds a person committing an offence against this Act; or
(b)finds a person in circumstances that lead the officer to suspect, on reasonable grounds, that the person has just committed an offence against this Act; or
(c)has information that leads the officer to suspect, on reasonable grounds, that a person has just committed an offence against this Act; or
(d)believes, on reasonable grounds, that the name and address of a person is required for the administration or enforcement of this Act.
(2)The conservation officer may require the person to state the person’s name and address.
(3)When making the requirement, the conservation officer must warn the person it is an offence to fail to state the person’s name and address, unless the person has a reasonable excuse.
(4)The conservation officer may require the person to give evidence of the correctness of the person’s name or address if the officer suspects, on reasonable grounds, that the name or address given is false.
(5)A person must comply with a conservation officer’s requirement under subsection (2) or (4), unless the person has a reasonable excuse for not complying with the requirement.

Maximum penalty—100 penalty units.

(6)The person does not commit an offence against this section if—
(a)the conservation officer required the person to state the person’s name and address on suspicion of the person having committed an offence against this Act; and
(b)the person is not proved to have committed the offence.

s 151 sub 1994 No. 42 s 41

152Power to require information from certain persons

(1)This section applies if a conservation officer suspects, on reasonable grounds, that—
(a)an offence against this Act has happened; and
(b)a person may be able to give information about the offence.
(2)The conservation officer may require the person to give information about the offence.
(3)When making the requirement, the conservation officer must warn the person it is an offence to fail to give the information, unless the person has a reasonable excuse.
(4)The person must comply with the requirement, unless the person has a reasonable excuse for not complying with it.

Maximum penalty—100 penalty units.

(5)It is a reasonable excuse for the person to fail to give information if giving the information might tend to incriminate the person.
(6)The person does not commit an offence against this section if the information sought by the conservation officer is not in fact relevant to the offence.

s 152 sub 1994 No. 42 s 42

152AGeneral powers for things seized

(1)Having seized a thing under this division or division 2, the chief executive or a conservation officer (each an officer) may—
(a)move the thing from its place of seizure; or
(b)leave the thing at its place of seizure and take reasonable action to restrict access to it.
(2)For subsection (1)(b), the officer may, for example—
(a)seal the thing, or the entrance to the place of seizure, and mark the thing or place to show access to the thing or place is restricted; or
(b)if the thing is equipment—make the equipment inoperable.

Example of making equipment inoperable—

dismantling the equipment or removing a component from the equipment without which the equipment can not be used
(3)If the thing is, or contains, wildlife, the officer may, as is appropriate to ensure the survival of the wildlife—
(a)take the wildlife to a place the officer considers appropriate; or
(b)give the wildlife accommodation, food, rest, water or other appropriate living conditions; or
(c)if the officer reasonably believes the wildlife requires veterinary or other treatment—arrange for the treatment; or
(d)leave the wildlife at the place of seizure and take any action mentioned in paragraphs (a) to (c); or
(e)if the wildlife is left at the place of seizure—give the person from whom the wildlife was seized a direction to—
(i)keep, or continue to keep, the wildlife in the person’s custody; and
(ii)look after, or continue to look after, the wildlife; or
(f)if the wildlife is left at the place of seizure and the person from whom the wildlife was seized does not comply with a direction under paragraph (e)—take any action mentioned in paragraphs (a) to (c).
(4)For the Animal Care and Protection Act 2001, section 12, an officer is not in charge of wildlife that is subject to a direction given by the officer under subsection (3)(e) merely because the officer has seized the wildlife.

s 152A ins 2004 No. 48 s 180

amd 2011 No. 26 s 189 sch

sub 2022 No. 21 s 14

152B[Repealed]

s 152B ins 2004 No. 48 s 180

om 2022 No. 21 s 14

153Keeping seized protected wildlife until conservation value paid

(1)This section applies in relation to a thing seized under this division or division 2
(a)that is protected wildlife; and
(b)for which an amount of conservation value remains unpaid.
(2)The conservation officer may keep the protected wildlife until the conservation value for the wildlife is paid.
(3)If the amount is not paid within 30 days after the seizure, the protected wildlife may be disposed of in the way the chief executive directs.
(4)The seizure and keeping of protected wildlife does not affect any proceeding under this Act for—
(a)the recovery of an amount of conservation value for the wildlife; or
(b)an offence in relation to the non-payment of the amount.

s 153 sub 2022 No. 21 s 14

154Other powers of conservation officers

(1)Subject to subsections (2) to (5), a conservation officer may, for the purposes of this Act, exercise any of the following powers—
(a)enter any land at any reasonable time for the purpose of—
(i)inspecting, researching or reporting on protected areas, protected, international or prohibited wildlife, critical habitats or areas of major interest; or
(ii)inspecting an area to ascertain—
(A)its suitability for dedication or declaration as a protected area; or
(B)whether a conservation agreement should be entered into in relation to the area; or
(iii)investigating or monitoring compliance with a conservation agreement for a protected area;
(b)require a person to produce to the officer—
(i)any licence, permit or other authority held by the person under a regulation; or
(ii)any document required to be kept by the person under a regulation;
(c)inspect, take extracts from, make copies of or keep a document produced to the officer under paragraph (b);
(d)if the officer is a special conservation officer—
(i)arrest a person found by the officer committing an offence against this Act; or
(ii)arrest a person whom the officer suspects on reasonable grounds of having committed an offence against this Act;

if the officer believes on reasonable grounds that proceedings by way of complaint and summons against the person would be ineffective;

(e)such other powers as are prescribed.
(2)Before exercising the power mentioned in subsection (1)(a), a conservation officer must—
(a)obtain or, in urgent circumstances, take all reasonable steps to obtain, the consent of the landholder concerned; or
(b)give at least 14 days written notice to the landholder concerned of—
(i)the officer’s intention to enter the land; and
(ii)the proposed purpose in entering the land; and
(iii)the day and time when the officer proposes to enter the land.
(3)In exercising the power mentioned in subsection (1)(a), a conservation officer must take all reasonable steps to ensure that the officer causes as little inconvenience, and does as little damage, as is practicable.
(4)A conservation officer may keep a document under subsection (1)(c) only for the purpose of taking copies of the document and must, as soon as practicable after taking the copies, return the document to the person who produced it.
(5)If a special conservation officer arrests a person under subsection (1)(d), the officer must, as soon as it is reasonably practicable to do so, deliver the person into the custody of a police officer at the nearest accessible police station or watch house to be dealt with according to law.

s 154 amd 2000 No. 5 s 373 sch 3; 2019 No. 8 s 32

Division 2 Special provisions for native wildlife and protected areas

pt 9 div 2 hdg ins 2022 No. 21 s 15

Subdivision 1 Preliminary

pt 9 div 2 sdiv 1 hdg ins 2022 No. 21 s 15

154ADefinitions for division

In this division—
claim period, for a seized thing, means—
(a)if the thing is stock—2 weeks after the seizure notice is given for the stock; or
(b)otherwise—
(i)if a seizure notice is not required to be given for the thing—2 months after the day the thing is seized; or
(ii)if a seizure notice is required to be given for the thing—2 months after the date stated in the seizure notice.
dangerous seized thing see section 154G(1).
owner, of a seized thing, includes a person who would be entitled to possession of the thing had it not been seized.
seized thing means a thing seized in the exercise of a power under this division.
seizure notice, for a seized thing, means a notice given under section 154I for the thing.

s 154A ins 2022 No. 21 s 15

154BApplication of division

A power to seize a thing under this division does not limit, and is not limited by, another power to seize a thing under division 1.

s 154B ins 2022 No. 21 s 15

Subdivision 2 Seizure powers

pt 9 div 2 sdiv 2 hdg ins 2022 No. 21 s 15

154CSeizure by conservation officer of thing for protection of native wildlife outside protected area

(1)This section applies if a conservation officer knows, or reasonably believes—
(a)a relevant thing on land that is not in a protected area—
(i)is on the land without the consent of the landholder; or
(ii)is abandoned; or
(iii)is being, or will be, used to commit an offence against this Act; and
(b)it is necessary or desirable to remove the thing for the protection of native wildlife.
(2)The conservation officer may—
(a)seize the relevant thing and anything attached to or contained in it; and
(b)remove the thing, and anything attached to or contained in it, from the land.
(3)In this section—
relevant thing means a thing that is an appliance, vehicle, boat or aircraft.

s 154C ins 2022 No. 21 s 15

154DSeizure by conservation officer of thing in protected area

(1)This section applies if a conservation officer knows, or reasonably believes, that—
(a)a thing in a protected area—
(i)is abandoned; or
(ii)is being, or will be, used to commit an offence against this Act; or
(iii)is otherwise not authorised to be in the area under this Act (an unauthorised thing); or
(b)it is necessary or desirable to remove a thing from a protected area for the protection of a cultural or natural resource of the area.

Examples of things to which this section might apply—

appliances, equipment, stock, structures, works, vehicles
(2)The conservation officer may—
(a)seize the thing, and anything in, on or attached to the thing; and
(b)remove the thing, and anything in, on or attached to the thing, from the protected area.
(3)However, subsections (4) to (6) apply if the thing is an unauthorised thing, other than stock.
(4)If the conservation officer knows, or ought reasonably to know, a person is the owner of the thing, the conservation officer may exercise the powers under subsection (2) only if—
(a)the conservation officer gives the person a direction to remove the thing from the protected area; and
(b)the person does not comply with the direction.
(5)Subsection (4) does not apply if—
(a)the person would be required to use a vehicle to comply with the direction; and
(b)the conservation officer reasonably believes the person would not be able to lawfully use a vehicle.
(6)If the thing is a vehicle, the conservation officer may exercise the powers under subsection (2) only if the officer reasonably believes it is necessary or desirable to do so having regard to—
(a)the safety of people in the protected area; and
(b)the need to protect the cultural and natural resources of the protected area; and
(c)the orderly or proper management of the protected area.
(7)This section does not apply to the extent the chief executive is exercising a power under section 154E in relation to a thing that is stock.
(8)In this section—
vehicle includes an aircraft, boat or recreational craft.

s 154D ins 2022 No. 21 s 15

154ESeizure by chief executive of stock found during muster in protected area

(1)This section applies if—
(a)the chief executive, under this Act, conducts a muster of stock in a protected area; and
(b)during the muster, stock are found on the protected area; and
(c)the owner of the stock—
(i)is unable to be contacted by the chief executive; or
(ii)does not remove the stock from the area when asked by the chief executive.
(2)The chief executive may seize the stock and remove the seized stock from the protected area.

s 154E ins 2022 No. 21 s 15

Subdivision 3 Dealing with seized things

pt 9 div 2 sdiv 3 hdg ins 2022 No. 21 s 15

154FApplication of subdivision

This subdivision does not apply in relation to a seized thing that is protected wildlife for which an amount of conservation value remains unpaid.

Note—

See section 154B.

s 154F ins 2022 No. 21 s 15

154GDangerous seized thing must be destroyed

(1)This section applies to a seized thing (a dangerous seized thing) that is—
(a)an explosive under the Explosives Act 1999; or
(b)a trap, snare, net or birdlime; or
(c)a decoy; or
(d)a poison.
(2)The chief executive must destroy the dangerous seized thing at the time the chief executive considers appropriate, having regard to the reason for the seizure and any other matter relevant to the risks posed by the thing.

s 154G ins 2022 No. 21 s 15

154HWay seized thing must be kept

(1)This section applies in relation to a seized thing, other than a dangerous seized thing, whether or not the thing is removed from its place of seizure.
(2)The chief executive must ensure the seized thing is kept in a reasonably secure way at all times until it is returned to the owner or otherwise dealt with under this subdivision.

s 154H ins 2022 No. 21 s 15

154ISeizure notice

(1)This section applies in relation to a seized thing, other than a dangerous seized thing, if—
(a)the thing is seized by the chief executive or a conservation officer (each an officer); and
(b)the officer reasonably believes the thing has a market value of more than $500.
(2)The officer must—
(a)if the officer knows who the owner of the seized thing is—give notice of the seizure to the owner; or
(b)otherwise—publish notice of the seizure on the department’s website.
(3)If the owner is not known, the notice may also be displayed in a prominent position on a permanent fixture as close as possible to the place of seizure of the seized thing.
(4)The notice must state—
(a)the date of the notice; and
(b)that the owner may claim the seized thing within the claim period for the thing; and
(c)that the seized thing may be disposed of if not claimed within the claim period.

s 154I ins 2022 No. 21 s 15

154JRelease of seized thing

(1)If a person claims a seized thing, other than a dangerous seized thing, the chief executive may release the thing to the person only if—
(a)the chief executive is satisfied the person has a right to the thing; and
(b)the person pays the chief executive’s reasonable costs of—
(i)seizing, removing and holding the thing; and
(ii)giving a seizure notice for the thing; and
(iii)restoring the place of seizure of the thing, as nearly as practicable, to its former state.
(2)The chief executive may require a person to verify the person’s right to a seized thing by a statutory declaration before releasing the thing to the person.

s 154J ins 2022 No. 21 s 15

154KSale and disposal of seized thing with market value of more than $500

(1)This section applies to a seized thing, other than a dangerous seized thing, if—
(a)a seizure notice is given for the thing; and
(b)the owner of the thing does not claim it within the claim period for the thing; and
(c)the chief executive reasonably believes the thing has a market value of more than $500.
(2)The chief executive may sell the seized thing in the way the chief executive considers will best realise its market value.
(3)Before selling the seized thing, the chief executive must publish a notice on the department’s website—
(a)identifying the thing; and
(b)stating how and when it is to be sold.
(4)If the seized thing is not sold, the chief executive may dispose of it in the way the chief executive considers appropriate.

s 154K ins 2022 No. 21 s 15

154LSale and disposal of seized thing with market value of $500 or less

(1)This section applies to a seized thing, other than a dangerous seized thing, if the chief executive reasonably believes the thing does not have a market value of more than $500.
(2)The chief executive may—
(a)sell the thing in the way the chief executive considers will best realise its market value; or
(b)if the chief executive considers the thing does not have a market value—dispose of it.

s 154L ins 2022 No. 21 s 15

154MApplication of proceeds of sale

If the chief executive sells a seized thing under this subdivision, the proceeds of the sale must be applied in the following order—
(a)in payment of the reasonable expenses of the chief executive incurred in the sale;
(b)in payment of the reasonable costs of the following activities—
(i)seizing, removing and holding the thing;
(ii)giving a seizure notice for the thing;
(iii)restoring the place of seizure of the thing, as nearly as practicable, to its former state;
(c)in payment of any balance to the owner of the thing.

s 154M ins 2022 No. 21 s 15

154NCompensation not payable

Compensation is not payable for the sale or disposal, under this subdivision, of a seized thing by the chief executive.

s 154N ins 2022 No. 21 s 15

Division 3 Offences

pt 9 div 3 hdg ins 2022 No. 21 s 15

154OOffence to interfere

(1)This section applies in relation to a thing seized under division 1 or 2.
(2)A person must not do, or attempt to do, any of the following, unless the person has a reasonable excuse—
(a)tamper with the thing;
(b)tamper with an action taken under section 152A(1)(b) to restrict access to the thing;
(c)enter, or be at, the place where the thing is being kept;
(d)move the thing from the place where it is being kept;
(e)have the thing in the person’s possession.

Maximum penalty—

(a)for a thing seized under division 1—500 penalty units; or
(b)otherwise—100 penalty units.

(3)Subsection (2) does not apply if—
(a)the person is the chief executive or a conservation officer; or
(b)the person is doing something mentioned in subsection (2) that the person is asked, or authorised, by a conservation officer to do; or
(c)in relation to wildlife—the person from whom the wildlife is seized—
(i)is complying with a direction for the wildlife given under section 152A(3)(e); and
(ii)does not, without the written authority of a conservation officer, take the wildlife from its place of seizure.

s 154O ins 2022 No. 21 s 15

155Obstructing conservation officer

(1)A person must not obstruct a conservation officer in the performance of a function or the exercise of a power under this Act.
(2)A person is taken to obstruct a conservation officer in the performance of a function or the exercise of a power under this Act if the person—
(a)assaults, abuses, hinders, resists or intimidates the officer or a person assisting the officer in the performance of the officer’s functions or exercise of the officer’s powers under this Act; or
(b)deliberately prevents or attempts to prevent (whether directly or indirectly) a person from—
(i)being questioned by a conservation officer; or
(ii)giving, under this Act, any information or document to a conservation officer; or
(c)in any other way obstructs, or attempts to obstruct, a conservation officer in the performance of the officer’s functions or exercise of the officer’s powers under this Act.

Maximum penalty—165 penalty units or 1 year’s imprisonment.

s 155 amd 2022 No. 21 s 16

157False or misleading information

(1)A person must not—
(a)make a statement to a conservation officer that the person knows is false or misleading in a material particular; or
(b)omit from a statement made to a conservation officer anything without which the statement is, to the person’s knowledge, misleading in a material particular.

Maximum penalty—100 penalty units.

(2)A complaint against a person for an offence against subsection (1)(a) or (b) is sufficient if it states that the information given was false or misleading to the person’s knowledge.

159Impersonating conservation officer

A person must not pretend to be a conservation officer.

Maximum penalty—50 penalty units.

s 159 amd 2022 No. 21 s 64 sch 1 pt 1

159AImpersonating ranger

(1)A person who is not a ranger must not, in any way, hold out that the person is a ranger in or for a protected area.

Maximum penalty—50 penalty units.

(2)In this section—
authorised, by the State, means—
(a)employed or engaged by the State; or
(b)authorised under an arrangement entered into by or for the State.
ranger means a person who is authorised by the State—
(a)to act in a position as a ranger; or
(b)to perform a function ordinarily performed by a person mentioned in paragraph (a).

s 159A ins 2022 No. 21 s 18

Division 4 Compensation

pt 9 div 4 hdg ins 2022 No. 21 s 19

159BCourt may order compensation

(1)A person may claim compensation from the State if the person incurs loss or expense because of the exercise or purported exercise of a power under this part, including, for example, in complying with a requirement made of the person under this part.
(2)Payment of compensation may be claimed and ordered in a proceeding for—
(a)compensation brought in a court of competent jurisdiction; or
(b)an offence against this Act brought against the person making the claim for compensation.
(3)A court may order the payment of compensation for the loss or expense only if it is satisfied it is just to make the order in the circumstances of the particular case.
(4)This section is subject to section 154N.

s 159B (prev s 156) ins 1994 No. 42 s 43

amd 2022 No. 21 s 17 (1)

reloc and renum 2022 No. 21 s 17 (2)

Part 10 Legal proceedings

Division 1 Proceedings and offences generally

pt 10 div 1 hdg ins 2003 No. 96 s 21

160Evidentiary provisions

(1)This section applies to any proceeding under or in relation to this Act.
(2)It is not necessary to prove the appointment of a conservation officer or the authority of a conservation officer to do any act under this Act.
(3)A signature purporting to be that of the chief executive or a conservation officer is evidence of the signature it purports to be.
(4)A certificate purporting to be signed by the chief executive stating that—
(a)a stated document is a copy of a notice, order, licence, permit or other authority issued or given under this Act; or
(b)on a stated day, or during a stated period, a stated person was or was not the holder of a licence, permit or other authority issued or given under this or another Act; or
(c)a licence, permit or other authority was or was not issued or given for a stated term, or was or was not subject to stated conditions; or
(d)on a day mentioned in the certificate, a stated person was given a notice under this Act; or
(e)a stated document is a copy of a part of a register kept under this Act; or
(f)an amount payable under this Act has not been paid by a stated person;

is evidence of the matter stated in the certificate.

(5)A statement in a complaint starting the proceeding of any of the following matters is evidence of the matters—
(a)that the matter of the complaint came to the knowledge of the complainant on a stated day;
(b)that stated wildlife is a stated class of wildlife under this Act;
(c)that the whole or any part of—
(i)the progeny, larvae, pupae, eggs or genetic or reproductive material of an animal; or
(ii)the carcass or another part of an animal; or
(iii)the flowers, seeds or genetic or reproductive material of a plant;

is, or is from, a stated taxon, species or class of wildlife;

(d)that wildlife is or is not indigenous to Australia or indigenous to the State;
(e)that the place where the offence was committed was in a stated protected area or in a stated zone in a stated protected area.
(6)In a proceeding for an offence that an act or omission was committed in a protected area, it is not necessary to prove the particular protected area in which the offence was committed.
(7)In this section—
indigenous to the State in relation to wildlife, means—
(a)wildlife that was not originally introduced to the State by human intervention (other than wildlife introduced before the year 1600); or
(b)a migratory animal that periodically or occasionally migrates to, or visits, the State;
but does not include wildlife that was introduced to another part of Australia by human intervention after the year 1600 and later spread naturally to the State.

s 160 amd 1994 No. 42 s 2 sch; 2004 No. 53 s 2 sch; 2004 No. 48 s 181

161Conduct of executive officers, servants and agents

(1)If, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of a corporation in relation to particular conduct, it is sufficient to show—
(a)that the conduct was engaged in by an executive officer, servant or agent of the corporation within the scope of his or her actual or apparent authority; and
(b)that the executive officer, servant or agent had the state of mind.
(2)Any conduct engaged in on behalf of a corporation by an executive officer, servant or agent of the corporation within the scope of his or her actual or apparent authority is to be taken, in a proceeding for an offence against this Act, to have been engaged in also by the corporation unless the corporation establishes that it took reasonable precautions and exercised due diligence to avoid the conduct.
(3)If, in a proceeding for an offence against this Act, it is necessary to establish the state of mind of a person other than a corporation in relation to particular conduct, it is sufficient to show—
(a)that the conduct was engaged in by a servant or agent of the person within the scope of his or her actual or apparent authority; and
(b)that the servant or agent had the state of mind.
(4)Any conduct engaged in on behalf of a person other than a corporation by a servant or agent of the person within the scope of his or her actual or apparent authority is to be taken, in a proceeding for an offence against this Act, to have been engaged in also by the first person unless the first person establishes that the person took reasonable precautions and exercised due diligence to avoid the conduct.
(5)If—
(a)a person other than a corporation is convicted of an offence; and
(b)the person would not have been convicted of the offence if subsections (3) and (4) had not been enacted;

the person is not liable to be punished by imprisonment for the offence.

(6)In this section—
engaging in conduct includes failing to engage in conduct.
state of mind of a person includes a reference to—
(a)the person’s knowledge, intention, opinion, belief or purpose; and
(b)the person’s reasons for the intention, opinion, belief or purpose.

s 161 prev s 161 exp 19 December 1994 (see s 180(1))

162Executive officers must ensure corporation complies with Act

(1)The executive officers of a corporation must ensure that the corporation complies with this Act.
(2)If a corporation commits an offence against a provision of this Act, each of the executive officers of the corporation also commit an offence, namely, the offence of failing to ensure that the corporation complies with this Act.

Maximum penalty—the penalty for the contravention of the provision by an individual.

(3)Evidence that the corporation has committed an offence against this Act is evidence that each of the executive officers committed the offence of failing to ensure that the corporation complies with this Act.
(4)However, it is a defence for an executive officer to prove that—
(a)the corporation’s offence was committed without the officer’s knowledge or consent; and
(b)the officer took all reasonable steps to ensure that the corporation complied with this Act.

s 162 prev s 162 exp 19 December 1994 (see s 180(1))

pres s 162 ins 1994 No. 42 s 44

163Offence committed over a period

(1)This section applies to the offence of taking—
(a)a cultural or natural resource in contravention of section 62; or
(b)protected wildlife in contravention of section 88 or 89; or
(c)native wildlife in contravention of section 97.
(2)If the day or days on which a person is alleged to have committed the offence can not be established, the person may—
(a)be charged with 1 offence of taking the resource or wildlife over, or at some unknown time during, a specified period; and
(b)be convicted and punished accordingly.

s 163 prev s 163 exp 19 December 1994 (see s 180(1))

164Indictable and summary offences

(1)An offence against this Act for which the maximum penalty of imprisonment is 2 years or more is an indictable offence, and is a misdemeanour.
(2)Any other offence against this Act is a summary offence.
(3)To remove any doubt, it is declared that a class 2, 3 or 4 offence under section 88 or 89 is a summary offence.

s 164 prev s 164 exp 19 December 1994 (see s 180(1))

pres s 164 sub 1994 No. 42 s 45

amd 2003 No. 96 s 22; 2004 No. 48 s 182; 2007 No. 56 s 40

164A[Expired]

s 164A ins 1994 No. 42 s 48

exp 19 December 1994 (see s 180(1))

165Proceedings for indictable offences

(1)A proceeding for an indictable offence against this Act may be taken, at the election of the prosecution—
(a)by way of summary proceedings under the Justices Act 1886; or
(b)on indictment.
(2)A magistrate must not hear an indictable offence summarily if—
(a)the defendant asks at the start of the hearing that the charge be prosecuted on indictment; or
(b)the magistrate considers that the charge should be prosecuted on indictment.
(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 as required by section 104(2)(b) of the Justices Act 1886.
(4)The maximum penalty of imprisonment that may be summarily imposed for an indictable offence is 1 year’s imprisonment.

s 165 prev s 165 sub 1994 No. 42 s 49

exp 19 December 1994 (see s 180(1))

pres s 165 ins 1994 No. 42 s 45

amd 2004 No. 48 s 183

166Limitation on who may summarily hear indictable offence proceedings

(1)A proceeding must be before a magistrate if it is a proceeding—
(a)for the summary conviction of a person on a charge for an indictable offence; or
(b)for an examination of witnesses for a charge for an indictable offence.
(2)However, if a proceeding for an indictable offence is brought before a justice who is not a magistrate, jurisdiction is limited to taking or making a procedural action or order within the meaning of the Justices of the Peace and Commissioners for Declarations Act 1991.

s 166 prev s 166 exp 19 December 1994 (see s 180(1))

pres s 166 ins 1994 No. 42 s 45

167Limitation on time for starting summary proceedings

A proceeding for an offence against this Act by way of summary proceeding under the Justices Act 1886 must start—
(a)within 1 year after—
(i)the commission of the offence; or
(ii)the offence comes to the complainant’s knowledge, but not later than 2 years after the commission of the offence;

whichever is the later; or

(b)if section 163 applies to the offence—within 1 year after—
(i)the end of the relevant period; or
(ii)the offence comes to the complainant’s knowledge, but not later than 2 years after the end of the relevant period;

whichever is the later.

s 167 prev s 167 om 1994 No. 42 s 2 sch

pres s 167 ins 1994 No. 42 s 45

amd 2000 No. 44 s 39; 2011 No. 6 s 142 sch; 2011 No. 26 s 189 sch (amdt could not be given effect)

168Court may order costs of rehabilitation or restoration

On a conviction of a person for an offence against this Act, the court may order the person to pay to the State such amount as it considers appropriate for, or towards, the cost of rehabilitation or restoration of a critical habitat, cultural or natural resource or protected area.

s 168 prev s 168 exp 19 December 1994 (see s 180(1))

169Additional penalty—conservation value of protected wildlife

A person who is convicted of an offence of taking—
(a)a natural resource that is protected wildlife in contravention of section 62; or
(b)protected wildlife in contravention of section 88 or 89;

is liable to an additional penalty of not more than twice the conservation value of the protected wildlife in relation to which the offence is committed.

s 169 prev s 169 exp 19 December 1994 (see s 180(1))

169A[Expired]

s 169A ins 1994 No. 42 s 51

exp 19 December 1994 (see s 180(1))

170[Repealed]

s 170 amd 1994 No. 42 s 2 sch

om 2000 No. 5 s 373 sch 3

171Disposal of cultural or natural resources and protected wildlife owned by State

(1)This section applies to a cultural or natural resource or protected wildlife that—
(a)is the property of the State; and
(b)has been seized under this Act in relation to an offence against this Act.
(2)Despite any other provision of this Act, if the chief executive is satisfied that it is necessary to do so—
(a)in the interests of the welfare of the resource or wildlife; or
(b)for the protection of the resource or wildlife;

the chief executive may direct that the resource or wildlife be disposed of in such a way as the chief executive considers appropriate.

(3)Subsection (2) applies even though a proceeding has not been taken for, or a person convicted of, the offence.

172Disposal of wildlife etc. not owned by State

(1)If a person is convicted of an offence against this Act, any wildlife in relation to which the offence was committed that is not already the property of the State—
(a)is forfeited to the State; and
(b)must be disposed of in such a way as the chief executive directs.
(2)If—
(a)a person is convicted of an offence against this Act; and
(b)a direction is not given under section 171 for the disposal of any cultural or natural resource in relation to which the offence was committed;

the court may make such order, as it considers appropriate, for the disposal of the cultural or natural resource.

(3)Forfeiture of wildlife under subsection (1)(a) does not confer a right to compensation on any person.
(4)Subject to subsection (5), if a person is convicted of an offence against this Act, the court may order that anything in relation to which the offence was committed that has been seized be forfeited to the State.
(5)If the court is satisfied that—
(a)the thing is another person’s property and the other person has exercised due diligence to prevent a contravention of this Act; and
(b)the offence has been committed without the person’s knowledge, consent or help;

the court may order that the thing be given to the person on such conditions as the court considers appropriate.

(6)A person who contravenes a condition of a court order made under subsection (5) commits an offence against this Act.

Maximum penalty for subsection (6)—50 penalty units.

s 172 ins 1994 No. 42 s 52

173Penalties payable to consolidated fund

All penalties ordered to be paid in relation to offences against this Act must be paid into the consolidated fund.

Division 2 Proceedings for declarations and enforcement orders

pt 10 div 2 hdg prev pt 10 div 2 hdg om 28 November 1995 RA s 37

pres pt 10 div 2 hdg ins 2003 No. 96 s 23

Subdivision 1 Preliminary

pt 10 div 2 sdiv 1 hdg ins 2003 No. 96 s 23

173ADefinitions for div 2

In this division—
court means the Planning and Environment Court.
nominated offence means an offence against section 62, 88, 88A, 89, 90, 91, 92, 94, 97 or 109.

s 173A def nominated offence amd 2004 No. 48 s 184

person includes a body of persons, whether incorporated or unincorporated.

s 173A ins 2003 No. 96 s 23

Subdivision 2 Declarations

pt 10 div 2 sdiv 2 hdg ins 2003 No. 96 s 23

173BCourt may make declarations

(1)A person may bring a proceeding in the court for a declaration about a following matter, other than an excluded matter—
(a)a matter that has been, is to be or should have been done for this Act;
(b)the construction of—
(i)this Act, including, for example, a conservation plan or a management plan; or
(ii)an authority granted, made, issued or given under the Act over, or in relation to, land in a protected area; or
(iii)a licence, permit or other authority issued or given under a regulation;
(c)the lawfulness under this Act of an activity.
(2)The court has jurisdiction to hear and decide a proceeding for a declaration under this section.
(3)A person who starts a proceeding under this section must, within 7 days after the person starts the proceeding, give the chief executive written notice of the proceeding.

Maximum penalty—20 penalty units.

(4)The Minister or the chief executive may choose to be a party to the proceeding by filing in the court a notice of election in the form approved by the chief executive.
(5)In this section—
excluded matter means a matter relating to—
(a)a licence, permit or other authority issued or given under a regulation authorising—
(i)the recreational keeping of wildlife; or
(ii)the care and rehabilitation of sick, injured or orphaned protected animals or animals whose habitats have been destroyed by human activity or natural disaster; or
(b)camping in protected areas.

s 173B ins 2003 No. 96 s 23

173CCourt may make orders about declarations

The court may also make an order about a declaration made under section 173B.

s 173C ins 2003 No. 96 s 23

Subdivision 3 Enforcement orders

pt 10 div 2 sdiv 3 hdg ins 2003 No. 96 s 23

173DProceeding for enforcement orders

(1)A person may bring a proceeding in the court—
(a)for an order to remedy or restrain the commission of a nominated offence (an enforcement order); or
(b)if the person has brought a proceeding under this section for an enforcement order and the court has not decided the proceeding—for an order under section 173E (an interim enforcement order); or
(c)for an order to cancel or change an enforcement order or interim enforcement order.
(2)The person may bring a proceeding for an enforcement order whether or not any right of the person has been, or may be, infringed by, or because of, the commission of the offence.
(3)If the chief executive is not a party to a proceeding for an enforcement order, the person must, within 7 days after the person starts the proceeding, give the chief executive written notice of the proceeding.

Maximum penalty—20 penalty units.

(4)The Minister or the chief executive may choose to be a party to the proceeding by filing in the court a notice of election in the form approved by the chief executive.

s 173D ins 2003 No. 96 s 23

173EMaking interim enforcement order

(1)The court may make an order pending a decision of a proceeding for an enforcement order if the court is satisfied it would be appropriate to make the order.
(2)The court may make the order subject to conditions.
(3)However, the court may not require as a condition of the order that the applicant for the order give an undertaking about damages.

s 173E ins 2003 No. 96 s 23

173FMaking enforcement order

(1)The court may make an enforcement order if the court is satisfied the nominated offence—
(a)is being or has been committed; or
(b)will be committed unless the enforcement order is made.
(2)If the court is satisfied the offence is being or has been committed, the court may make an enforcement order whether or not there has been a prosecution for the offence under this Act.

s 173F ins 2003 No. 96 s 23

173GEffect of orders

(1)An enforcement order or an interim enforcement order may direct a party to the proceeding for the order—
(a)to stop an activity that constitutes, or will constitute, a nominated offence; or
(b)not to start an activity that will constitute a nominated offence; or
(c)to do anything required to stop committing a nominated offence; or
(d)to return anything to a condition as close as practicable to the condition it was in immediately before a nominated offence was committed; or
(e)to do anything to comply with this Act.
(2)Without limiting the court’s powers, an enforcement order or an interim enforcement order may require—
(a)the repair, demolition or removal of a building; or
(b)for a relevant nominated offence—
(i)the rehabilitation or restoration of a protected area, the habitat of protected wildlife, a critical habitat or an area of major interest (an affected area); or
(ii)if an affected area is not capable of being rehabilitated or restored—the planting and nurturing of cultural or natural resources, wildlife or the habitat of protected wildlife in a stated area of equivalent size to the affected area; or
(iii)the planting and nurturing of, or the restoration and rehabilitation of, a protected plant or population of protected plants.
(3)An enforcement order or an interim enforcement order—
(a)may be in terms the court considers appropriate to secure compliance with this Act; and
(b)must state the time by which the order is to be complied with.
(4)A person must not contravene an enforcement order or an interim enforcement order.

Maximum penalty—3,000 penalty units or 2 years imprisonment.

(5)In this section—
relevant nominated offence means a nominated offence relating to any of the following—
(a)taking or interfering with natural or cultural resources of a protected area;
(b)taking protected wildlife, other than in a protected area;
(c)taking or interfering with native wildlife, other than protected wildlife, in a critical habitat or area of major interest.

Notes—

1For paragraph (a), see section 62 (Restriction on taking etc. of cultural and natural resources of protected areas).
2For paragraph (b), see sections 88 (Restrictions on taking protected animal and keeping or use of unlawfully taken protected animal) and 89 (Restriction on taking etc. particular protected plants).
3For paragraph (c), see section 97 (Restriction on taking etc. of native wildlife in areas of major interest and critical habitats).

s 173G ins 2003 No. 96 s 23

amd 2013 No. 50 s 18

173HCourt’s powers about orders

(1)The court’s power to make an enforcement order or interim enforcement order to stop, or not to start, an activity may be exercised—
(a)whether or not it appears to the court that the person against whom the order is made intends to engage, or to continue to engage, in the activity; and
(b)whether or not the person against whom the order is made has previously engaged in an activity of the kind; and
(c)whether or not there is danger of substantial damage to nature or injury to another person if the person against whom the order is made engages, or continues to engage, in the activity.
(2)The court’s power to make an enforcement order or interim enforcement order to do anything may be exercised—
(a)whether or not it appears to the court that the person against whom the order is made intends to fail, or to continue to fail, to do the thing; and
(b)whether or not the person against whom the order is made has previously failed to do a thing of the kind; and
(c)whether or not there is danger of substantial damage to nature or injury to another person if the person against whom the order is made fails, or continues to fail, to do the thing.
(3)The court may make an order to cancel or change an enforcement order or interim enforcement order.
(4)The court’s power under this section is in addition to its other powers.

s 173H ins 2003 No. 96 s 23

173IEffect of enforcement order requiring restoration or rehabilitation of land

(1)This section applies if—
(a)the court makes an enforcement order directing a person (the declared person) to restore or rehabilitate land; and
(b)the declared person has an interest in the land; and
(c)the order states that this section applies to the land.
(2)The person who started the proceeding for the enforcement order must, as soon as practicable after the enforcement order is made, give the chief executive—
(a)written notice stating that the order has been made; and
(b)a copy of the order.

Maximum penalty—20 penalty units.

(3)Subsection (4) applies if the declared person transfers to another person (the transferee), in any way, all or part of the declared person’s interest in the land.
(4)To the extent the land is the subject of the enforcement order, on the transfer—
(a)a reference in the enforcement order to the declared person is taken to be a reference to the transferee; and
(b)the enforcement order is taken to have been made against the transferee on the transfer of the interest; and
(c)any outstanding liability, other than criminal liability, of the declared person becomes a liability of the transferee.
(5)If it is not reasonably practical for the transferee to comply with the enforcement order within the time stated in the order, the transferee may apply to the court, under section 173D(1)(c), for an order to change the enforcement order by extending the time for compliance with the enforcement order.
(6)To remove any doubt, it is declared that on the transfer of the interest, the declared person is not criminally liable for any contravention of the enforcement order that happens on or after the transfer of the interest.
(7)Subsections (4) to (6) have effect in relation to each successor in title to the transferee’s interest in the same way the subsections had effect in relation to the transferee.

s 173I ins 2003 No. 96 s 23

173JRecord in land registry of enforcement order requiring restoration or rehabilitation of land

(1)As soon as practicable after receiving a notice under section 173I(2) that the enforcement order has been made, the chief executive must give the registrar of titles written notice of the making of the order.
(2)The registrar of titles must keep records showing the enforcement order has been made.
(3)The registrar of titles must keep the records in a way that a search of the register kept by the registrar under any Act relating to title to the land the subject of the enforcement order will show the enforcement order has been made.

s 173J ins 2003 No. 96 s 23

amd 2021 No. 12 s 148 sch 3

173KApplication for removal of particulars of enforcement order from registrar of titles’ records

(1)This section applies to a person who—
(a)has an interest in land that is the subject of an enforcement order to which section 173I applies; and
(b)wishes to have the particulars of the enforcement order removed from the registrar of titles’ records because—
(i)the enforcement order has been cancelled by the court; or
(ii)the enforcement order has been substantially complied with; or
(iii)the person proposes alternative measures for ensuring the land is restored or rehabilitated.

Example of alternative measures—

a covenant registered under the Land Title Act 1994
(2)The person may apply to the chief executive for the particulars of the enforcement order to be removed from the registrar of titles’ records.
(3)The application must be—
(a)in writing; and
(b)accompanied by, according to the circumstances—
(i)a copy of the order made by the court cancelling the enforcement order; or
(ii)the information or documents the person relies on to establish the enforcement order has been substantially complied with; or
(iii)details of the alternative measures proposed by the person to ensure the land will be restored or rehabilitated.

s 173K ins 2003 No. 96 s 23

amd 2021 No. 12 s 148 sch 3

173LHow chief executive must deal with application

(1)If the chief executive receives an application under section 173K, the chief executive must, within 6 weeks after receiving the application—
(a)decide whether the chief executive is reasonably satisfied, according to the circumstances—
(i)the enforcement order has been cancelled by the court; or
(ii)the enforcement order has been substantially complied with; or
(iii)the alternative measures proposed by the applicant will ensure the land will be restored or rehabilitated; and
(b)either—
(i)approve the application, with or without conditions to be complied with before particulars of the enforcement order may be removed from the registrar of titles’ records; or
(ii)refuse to approve the application.
(2)As soon as practicable after acting under subsection (1), the chief executive must—
(a)give the applicant written notice stating—
(i)the decision and the reasons for it; and
(ii)if the chief executive refuses to approve the application or approves the application with conditions—
(A)that the applicant may appeal against the decision to the court within 28 days after the person receives the notice; and
(B)how to appeal; and
(b)if the chief executive approves the application without conditions—give written notice of the fact to the registrar of titles.
(3)If the chief executive approves the application with conditions and the chief executive is reasonably satisfied the conditions have been complied with, the chief executive must, as soon as practicable, give written notice of the fact to the registrar of titles.
(4)As soon as practicable after receiving a notice under subsection (2)(b) or (3), the registrar of titles must remove the particulars of the enforcement order from the registrar’s records.
(5)As soon as the particulars of the enforcement order have been removed from the registrar of titles’ records, the enforcement order is taken to have been complied with.

s 173L ins 2003 No. 96 s 23

amd 2021 No. 12 s 148 sch 3

173MAppeal against refusal to approve application or approval of application with conditions

(1)This section applies if—
(a)a person who has an interest in land that is the subject of an enforcement order applies, as required under section 173K, for the enforcement order to be removed from the registrar of titles’ records; and
(b)the chief executive refuses to approve the application or approves the application with conditions.
(2)The applicant may appeal against the chief executive’s decision to the court within 28 days after the applicant receives notice of the decision under section 173L.
(3)If the applicant appeals against the decision, the court may make any order it considers appropriate, including, for example, an order directing the registrar of titles to remove the particulars of the enforcement order from the registrar’s records.

s 173M ins 2003 No. 96 s 23

amd 2021 No. 12 s 148 sch 3

Subdivision 4 General procedural provision

pt 10 div 2 sdiv 4 hdg ins 2003 No. 96 s 23

173NProceeding brought in representative capacity

(1)A proceeding under this division may be brought by a person on behalf of an entity with the entity’s consent.
(2)The person who brings the proceeding is a party to the proceeding, despite the proceeding being brought on behalf of another entity.
(3)The entity on whose behalf the proceeding is brought is not a party to the proceeding.
(4)If the entity on whose behalf the proceeding is brought is an unincorporated body, the body’s committee or other controlling or governing body must give the consent.
(5)The entity on whose behalf the proceeding is brought may contribute to, or pay, the legal costs incurred by the person bringing the proceeding.

s 173N ins 2003 No. 96 s 23

Division 3 Judicial review of administrative decisions

pt 10 div 3 hdg prev pt 10 div 3 hdg exp 19 December 1995 (see s 180(1))

pres pt 10 div 3 hdg ins 2003 No. 96 s 23

173OExtended standing for judicial review

(1)This section applies, for the Judicial Review Act 1991, to any of the following—
(a)a decision made under this Act;
(b)a failure to make a decision under this Act;
(c)conduct engaged in for the purpose of making a decision under this Act.
(2)An individual is taken to be a person aggrieved by a decision, failure or conduct mentioned in subsection (1) if—
(a)the individual is—
(i)an Australian citizen; or
(ii)ordinarily resident in Australia; and
(b)at any time in the 2 years immediately before the decision, failure or conduct, the individual engaged in a series of activities in Australia for the protection or conservation of, or research into, the environment.
(3)A corporation or association, whether or not incorporated, and a person acting for an unincorporated association, is taken to be a person aggrieved by a decision, failure or conduct mentioned in subsection (1) if—
(a)the corporation or association is incorporated, or was otherwise established, in Australia; and
(b)at any time in the 2 years immediately before the decision, failure or conduct, the corporation or association engaged in a series of activities in Australia for the protection or conservation of, or research into, the environment; and
(c)at the time of the decision, failure or conduct, the objects or purposes of the corporation or association include protection or conservation of, or research into, the environment.
(4)A term used in this section that is defined in the Judicial Review Act 1991 has the meaning given to it by that Act.

s 173O ins 2003 No. 96 s 23

Division 4 [Repealed]

pt 10 div 4 hdg ins 2009 No. 24 s 897

om 2022 No. 21 s 20

173OA[Repealed]

s 173OA ins 2009 No. 24 s 897

om 2022 No. 21 s 20

Part 11 Miscellaneous

173PChief executive’s general powers

(1)The chief executive may do any thing the chief executive reasonably considers is necessary to administer, or achieve the object of, this Act, including, for example—
(a)take, keep, use, or interfere with, any wildlife in a protected or other area; or
(b)interfere with the cultural or natural resources of a protected area or forest reserve.
(2)To remove any doubt, it is declared that the chief executive does not require a licence, permit or authority under this Act to carry out an activity authorised under subsection (1).

s 173P ins 2004 No. 48 s 185

173QPublication of notice for revocation under s 30, 32 or 70E or particular amalgamations under s 33

(1)This section applies for—
(a)a revocation under section 30, 32 or 70E; or
(b)an amalgamation under section 33 that involves a change in the class, or the boundaries, of a protected area.
(2)Within 10 days after the notice of motion for the revocation or amalgamation is given, the chief executive must publish notice of the proposed revocation or amalgamation in—
(a)a newspaper circulating in the locality of the relevant area; and
(b)a newspaper circulating generally throughout the State.
(3)The notice must state—
(a)the name of the relevant area; and
(b)for a revocation—
(i)whether all or part of the relevant area is proposed to be revoked; and
(ii)if only part of the relevant area is proposed to be revoked—a description, by map or otherwise, of the part of the relevant area proposed to be revoked; and
(c)for an amalgamation—the proposed change in the class, or the boundaries, of a protected area.
(4)In this section—
relevant area means the State forest, timber reserve, protected area or forest reserve the subject of the motion.

s 173Q ins 2004 No. 48 s 185

amd 2013 No. 55 s 175 sch 1 pt 1

173R[Repealed]

s 173R ins 2007 No. 56 s 41

om 2013 No. 55 s 152

173S[Repealed]

s 173S ins 2013 No. 24 s 71B

om 2016 No. 22 s 29

174Application of Statutory Instruments Act

(1)The Statutory Instruments Act 1992, sections 49 and 50 do not apply to a regulation mentioned in the following provisions of this Act—
section 30
section 32(2)
section 33(2)
section 43J(1)
section 70E(2).
(2)Subsection (1) has effect despite the Statutory Instruments Act 1992, section 52.

s 174 sub 1994 No. 42 s 46; 1995 No. 57 s 4 sch 1

amd 2000 No. 44 ss 34, 39; 2013 No. 55 s 175 sch 1 pt 1; 2019 No. 8 s 33

174AChief executive may make codes of practice

(1)The chief executive may, by gazette notice, approve or make codes of practice for—
(a)protected areas; or
(b)forest reserves under part 4A; or
(c)protected wildlife.
(2)The Statutory Instruments Act 1992, sections 49, 50 and 51 apply to a code of practice as if it were subordinate legislation.
(3)The chief executive must keep copies of each code of practice open for public inspection during office hours on business days at—
(a)the department’s head office; and
(b)each regional office of the department; and
(c)other places the chief executive considers appropriate.

s 174A ins 2000 No. 44 s 35

174BChief executive may make assessment guidelines

(1)The chief executive may, by gazette notice, approve or make guidelines (the assessment guidelines) about considering an application under this Act.
(2)The chief executive must publish the assessment guidelines, and any instrument amending or repealing the assessment guidelines, in the gazette.
(3)The chief executive must publish a copy of the assessment guidelines as in force from time to time on the department’s website.
(4)In considering an application for an authority, the chief executive must have regard to the assessment guidelines.
(5)In this section—
authority means a licence, permit or other authority for protected wildlife issued or given under a regulation or conservation plan.

s 174B ins 2013 No. 50 s 19

174C No fee for instrument, information or notice

(1)This section applies if the chief executive is required, under this Act, to do any of the following—
(a)give an instrument to, or lodge an instrument with, the registrar of titles;
(b)give information in relation to an instrument to the registrar of titles;
(c)give notice, under section 134, about an action to the registrar of titles.
(2)No titles registry fee under the Land Title Act 1994 is payable by the chief executive in relation to the instrument, information or notice.

s 174C ins 2019 No. 8 s 34

amd 2021 No. 12 s 148 sch 3

174DApproved forms

The chief executive may approve forms for use under this Act.

s 174D ins 2022 No. 21 s 21

174AA[Expired]

s 174AA ins 2006 No. 11 s 99

AIA s 20A applies (see s 174AA(4))

exp 31 March 2006 (see s 174AA(3))

175Regulation-making power

(1)The Governor in Council may make regulations under this Act.
(2)A regulation may be made with respect to any of the following matters—
(a)access to protected areas by persons or animals;
(b)the use of land, and activities, in protected areas;
(c)providing for the safety of persons in protected areas, including the regulation of access to, and activities in, protected areas by persons or classes of persons;

Example for paragraph (c)—

A regulation might regulate camping in a protected area by children, or adults accompanying children, to protect children from injury by animals.
(d)the removal from protected areas of—
(i)trespassers; or
(ii)persons who are believed on reasonable grounds to have contravened this Act;
(e)the presence and use of vehicles and boats in, and the flight of aircraft over, protected areas;
(f)the taking of animals or plants into, or out of, protected areas, and the impounding, removal, destruction or disposal of animals found straying in protected areas;
(g)the use or development of land, and activities, in an area identified under the regulation as, or including, a critical habitat or an area of major interest;
(h)giving effect to, and enforcing compliance with, management and conservation plans or codes of practice approved or made under section 174A;
(i)the taking, keeping or use of wildlife, the moving of wildlife into, in and out of the State, the release of wildlife into the wild and other dealing with wildlife;
(j)the records to be kept and returns to be lodged by the holders of licences, permits and other authorities and requirements as to the inspection of the records;
(k)the disqualification of persons from holding a licence, permit or other authority;
(l)the matters in respect of which fees, costs and charges are payable under this Act, the amounts of the fees, costs and charges, the persons who are liable to pay the fees, costs and charges, when the fees, costs and charges are payable, and the recovery of any amount of the fees, costs and charges not paid;
(m)the matters in respect of which royalties are payable under this Act, the amounts of the royalties, the persons who are liable to pay the royalties, when the royalties are payable, and the recovery of any amount of the royalties not paid;
(n)the institution and conduct of appeals against decisions under a regulation;
(o)authorising the taking, keeping or use of a protected animal;
(p)exemption from compliance with provisions of a regulation or a conservation plan;
(q)prescribing offences for contraventions of a regulation, and fixing a maximum penalty of a fine of not more than 165 penalty units for such a contravention.

s 175 amd 1994 No. 42 s 47; 1995 No. 57 s 4 sch 1; 2000 No. 44 s 36; 2003 No. 96 ss 24, 28 sch; 2004 No. 48 s 186; 2005 No. 53 s 159 sch; 2011 No. 6 s 105; 2013 No. 50 s 20; 2019 No. 8 s 35; 2022 No. 21 s 22

Part 12 Savings and transitional

pt 12 hdg prev pt 12 hdg om 19 December 1994 RA s 39

Division 1 Savings and transitional provisions for Act No. 20 of 1992

pt 12 div 1 hdg prev pt 12 div 1 hdg exp 19 December 1995 (see s 180(2))

pres pt 12 div 1 hdg ins 2004 No. 48 s 187

176[Expired]

s 176 exp 19 December 1995 (see s 180(2))

177[Expired]

s 177 ins 1994 No. 42 s 50

exp 19 December 1995 (see s 177(4))

178[Repealed]

s 178 om 2000 No. 44 s 42 sch

179[Expired]

s 179 ins 1994 No. 42 s 52

exp 19 December 1995 (see s 180(2))

180[Expired]

s 180 ins 1994 No. 42 s 52

exp 19 December 1995 (see s 180(2))

181References to repealed Acts

In an Act or document, a reference to any of the following Acts may, if the context permits, be taken to be a reference to this Act—
Fauna Conservation Act 1952
Fauna Conservation Act 1974
National Parks and Wildlife Act 1975
Native Plants Protection Act 1930.

s 181 amd 1995 No. 57 s 4 sch 1

182References to Crown land under Act

In an Act or document, a reference to Crown land under this Act may, if the context permits, be taken to be a reference to State land under this Act.

s 182 ins 1995 No. 57 s 4 sch 1

183Authorities under former Act about national parks

(1)An authority given or made under section 33 or 35 of the former Act and in force immediately before 19 December 1994 is taken to have continued in force until it expires, or is earlier terminated, under its terms.
(2)The former Act, other than the power to extend or renew the authority, continues to apply to the authority as if this Act had not been enacted.
(3)For applying subsections (1) and (2), the chief executive is taken to be the director of national parks and wildlife under the former Act.
(4)A reference in the authority to the director is taken to be a reference to the chief executive.
(5)In this section—
authority means an agreement or a lease or permit or other authority.
former Act means the repealed National Parks and Wildlife Act 1975.

s 183 ins 2000 No. 44 s 37

Division 2 Savings and transitional provisions for Nature Conservation and Other Legislation Amendment Act 2000

pt 12 div 2 hdg prev pt 12 div 2 hdg exp 19 December 1994 (see s 180(1))

pres pt 12 div 2 hdg ins 2004 No. 48 s 188

184[Repealed]

s 184 ins 2004 No. 48 s 188

om 2022 No. 21 s 26

184A[Expired]

s 184A ins 2005 No. 53 s 144

exp 23 November 2013 (see s 184A(3))

184BProvision for stock grazing permits for former SEQFA forest reserves

(1)This section applies if—
(a)land in an SEQFA forest reserve is, after the commencement of this section, dedicated as a national park or national park (recovery); and
(b)immediately before the dedication, a stock grazing permit (the former permit) under the Forestry Act 1959, section 35, was in force for the land.
(2)On the dedication—
(a)the former permit ends; and
(b)the chief executive is taken to have granted the holder of the former permit a previous use authority under section 36.
(3)The previous use authority is taken to—
(a)allow the use of the land, as provided for under the former permit, to continue only for the rest of the term stated in the permit; and
(b)require its grantee to continue to comply with all conditions of the former permit and requirements under the Forestry Act 1959, or of the chief executive of the department in which that Act is administered, that relate to stock grazing permits or the use as if—
(i)the former permit had continued in force; and
(ii)the land were land in an SEQFA forest reserve.
(4)In this section—
SEQFA forest reserve means a forest reserve the dedication of which was in force immediately before the commencement of this definition.

s 184B ins 2005 No. 53 s 144

185Provision for commercial activity permits for former forest reserves

(1)This section applies if—
(a)land in a forest reserve is dedicated as a protected area; and
(b)immediately before the dedication, a person was, under a commercial activity permit (the former permit) granted under the Forestry Act 1959, carrying out commercial activities on the land.
(2)On the dedication—
(a)the former permit ceases to be a permit under the Forestry Act 1959 and becomes a commercial activity permit under this Act to carry out the activities in the protected area; and
(b)the holder of the former permit becomes the holder of the commercial activity permit; and
(c)the commercial activity permit continues, subject to this Act, for the balance of the term of the former permit.
(3)To remove any doubt, it is declared that subsection (2) applies even if the carrying out of the commercial activities under the former permit is not consistent with the management principles for the protected area.
(4)However, the grounds on which the chief executive may refuse an application to renew the commercial activity permit include the ground that the carrying out of the commercial activities under the permit is not consistent with the management principles or a management plan for the protected area.

s 185 ins 2004 No. 48 s 188

Division 3 Transitional provision for the Nature Conservation Amendment Act 2004

pt 12 div 3 hdg ins 2004 No. 14 s 12 (amd 2004 No. 48 s 193 (2))

186Abolition of class of rare wildlife

After section 78A expires—
(a)the class of rare wildlife is abolished; and
(b)a reference in an Act or document to rare wildlife is, if the context permits, redundant.

s 186 ins 2004 No. 14 s 12 (amd 2004 No. 48 s 193 (3))

Division 4 Transitional provisions for amendments under Waste Reduction and Recycling Act 2011

pt 12 div 4 hdg prev pt 12 div 4 hdg ins 1995 No. 57 s 4 sch 1

om 2000 No. 44 s 42 sch

pres pt 12 div 4 hdg ins 2011 No. 31 s 348

187Existing protected areas and indigenous joint management areas

(1)This section applies to a protected area or indigenous joint management area dedicated or declared under this Act as in force immediately before the commencement of this section.
(2)As soon as practicable after the commencement, the chief executive must give the chief executive (lands) written notice of the existence of the protected area or indigenous joint management area.

Note—

See section 215 in relation to the application of this section.
(3)To remove any doubt, it is declared that sections 33B, 42AR and 70EB do not apply to the protected area or indigenous joint management area.

s 187 ins 2011 No. 31 s 348

amd 2021 No. 12 s 148 sch 3

188Existing leases and conservation agreements must still be registered

(1)This section applies for a lease granted under any of the following provisions as in force immediately before the commencement of this section (the commencement), if the lease is still in force after the commencement—
(a)section 34;
(b)section 42AD(1);
(c)section 42AE(1);
(d)section 42AN(1).
(2)Also, this section applies for a conservation agreement entered into before the commencement, if the agreement—
(a)is still in force after the commencement; and
(b)relates to relevant land under section 50A.
(3)As soon as practicable after the commencement, the chief executive must lodge the lease or agreement with the chief executive (lands) for registration.

Note—

See section 215 in relation to the application of this section.
(4)For the Land Act 1994, chapter 6, part 2, the lease or agreement is taken to have been registered on the day the lease was granted or the agreement was entered into.

s 188 ins 2011 No. 31 s 348

amd 2021 No. 12 s 148 sch 3

pt 12 div 5 hdg ins 2013 No. 55 s 82

Subdivision 1 Provisions about management of protected areas and conservation plans

pt 12 div 5 sdiv 1 hdg ins 2013 No. 55 s 82

189Definitions for sdiv 1

In this subdivision—
amended part 7 means part 7 as in force at the commencement.
commencement means the commencement of this subdivision.
previous part 7 means part 7 as in force before the commencement.
properly made submission, for a public notice under previous part 7 about a proposal to prepare a draft management plan or conservation plan, or about a draft management plan or conservation plan, means a submission made in response to the notice before the day specified in the notice as the day by which submissions may be made (whether or not the submission was made before or after the commencement).

s 189 ins 2013 No. 55 s 82

190Application of amended part 7 to existing dedications or declarations

(1)This section applies if—
(a)before the commencement, a management plan was required to be prepared for a protected area or indigenous joint management area; and
(b)at the commencement, a management plan is not in effect for the area.
(2)From the commencement—
(a)the requirement under previous part 7 to prepare a management plan for the area stops applying for the area; and
(b)amended part 7 applies for the area, subject to subsections (3) to (5) and section 191, as if it had been in force when the area was dedicated or declared.
(3)Subsections (4) and (5) apply if the Minister had started the process for preparing a management plan for the area under previous part 7 before the commencement.
(4)Anything done by the Minister for preparing the plan under previous part 7 is taken to have been done by—
(a)the chief executive; or
(b)if the Minister decides to prepare a management plan for the area under amended part 7—the Minister.
(5)If the Minister had given a public notice under previous part 7 about a proposal to prepare a draft management plan, or about a draft management plan, for the area—
(a)the chief executive must have regard to any properly made submissions for the notice in preparing a management statement under amended part 7 for the area; or
(b)if the Minister decides to prepare a management plan for the area—the Minister must have regard to any properly made submissions for the notice in preparing the management plan.

s 190 ins 2013 No. 55 s 82

191Existing management statements

(1)This section applies to a document about an area prepared by the chief executive that—
(a)is consistent with the requirements for a management statement under section 113; and
(b)at the commencement, is published on the department’s website.
(2)The document—
(a)is taken to be a management statement made by the chief executive under amended part 7; and
(b)takes effect as a management statement for the area on the commencement.
(3)To remove any doubt, it is declared that sections 113A and 113B do not apply to the management statement.

s 191 ins 2013 No. 55 s 82

192Preparation of other plans not completed at commencement

(1)This section applies if, before the commencement, the Minister had started, but not completed, the process for preparing a plan for an area or wildlife under previous part 7.
(2)From the commencement, amended part 7 applies for the preparation of the plan, subject to subsections (3) and (4).
(3)Anything done by the Minister for preparing the plan under previous part 7 is taken to have been done by the Minister under amended part 7.
(4)If the Minister had given a public notice under previous part 7 about a proposal to prepare the draft plan, or about the draft plan, for the area or wildlife, the Minister must have regard to any properly made submissions for the notice in preparing the final plan for the area or wildlife.
(5)In this section—
plan means—
(a)a management plan to amend another management plan; or
(b)a conservation plan; or
(c)a conservation plan to amend another conservation plan.
wildlife includes a class of wildlife.

s 192 ins 2013 No. 55 s 82

193References to particular protected areas

A reference in an Act or document to any of the following is, if the context permits, redundant—
(a)a wilderness area under this Act;
(b)a World Heritage management area under this Act;
(c)an international agreement area under this Act.

s 193 ins 2013 No. 55 s 82

194Existing leases must still be registered

(1)This section applies for a lease granted under any of the following provisions as in force before the commencement, if the lease is still in force at the commencement—
(a)section 35;
(b)section 35A;
(c)section 36;
(d)section 42AEA;
(e)section 42AO;
(f)section 42AOA.
(2)As soon as practicable after the commencement, the chief executive must lodge the lease with the chief executive (lands) for registration.

Note—

See section 215 in relation to the application of this section.
(3)For the Land Act 1994, chapter 6, part 2, the lease is taken to have been registered on the day the lease was granted.

s 194 ins 2013 No. 55 s 82

amd 2021 No. 12 s 148 sch 3

Subdivision 2 Provisions about classes of protected areas

pt 12 div 5 sdiv 2 hdg ins 2013 No. 55 s 153

195Definitions for sdiv 2

In this subdivision—
amendment Act means the Nature Conservation Act 1992.
commencement means the commencement of this subdivision.
old class, of protected area, means any of the following classes of protected area under the unamended Act—
(a)national park (scientific);
(b)national park (recovery);
(c)conservation park;
(d)resources reserve.
unamended Act means this Act as in force before the commencement.

s 195 ins 2013 No. 55 s 153

196National parks (scientific) taken to be national parks and special management areas (scientific)

(1)On the commencement, the area of each national park (scientific)—
(a)continues as a national park under this Act as if it had been dedicated under this Act as a national park; and
(b)is taken to be declared under this Act as a special management area (scientific).
(2)As soon as practicable after the commencement, the chief executive must—
(a)erect or display a notice for the special management area complying with the requirements stated in section 42A(2); and
(b)publish a copy of the notice on the department’s website and in the gazette.
(3)In this section—
national park (scientific) means an area that, immediately before the commencement, was a national park (scientific) under this Act.

s 196 ins 2013 No. 55 s 153

197National parks (recovery) taken to be national parks and special management areas (controlled action)

(1)On the commencement, the area of each national park (recovery)—
(a)continues as a national park under this Act as if it had been dedicated under this Act as a national park; and
(b)is taken to be declared under this Act as a special management area (controlled action) to allow activities of the type, or for the purpose, stated in section 17(1A)(a)(i).
(2)As soon as practicable after the commencement, the chief executive must—
(a)erect or display a notice for the special management area complying with the requirements stated in section 42A(2); and
(b)publish a copy of the notice on the department’s website and in the gazette.
(3)In this section—
national park (recovery) means an area that, immediately before the commencement, was a national park (recovery) under this Act.

s 197 ins 2013 No. 55 s 153

198Conservation parks taken to be regional parks

(1)On the commencement, the area of each conservation park continues under this Act as a regional park as if it had been dedicated under this Act as a regional park.
(2)In this section—
conservation park means an area that, immediately before the commencement, was a conservation park under this Act.

s 198 ins 2013 No. 55 s 153

199Resources reserves taken to be regional parks and regional park (resource use area)

(1)On the commencement, the area of each resources reserve—
(a)continues under this Act as a regional park as if it had been dedicated under this Act as a regional park; and
(b)despite section 42C, is taken to be declared under this Act as a regional park (resource use area).
(2)In this section—
resources reserve means an area that, immediately before the commencement, was a resources reserve under this Act.

s 199 ins 2013 No. 55 s 153

200References to particular protected areas

From the commencement, in an Act or document—
(a)a reference to a national park (scientific) may, if the context permits, be taken to be a reference to—
(i)a national park; or
(ii)a special management area (scientific); and
(b)a reference to a national park (recovery) may, if the context permits, be taken to be a reference to—
(i)a national park; or
(ii)a special management area (controlled action); and
(c)a reference to a conservation park may, if the context permits, be taken to be a reference to—
(i)a regional park; or
(ii)a regional park (general); and
(d)a reference to a resources reserve may, if the context permits, be taken to be a reference to—
(i)a regional park; or
(ii)a regional park (resource use area).

s 200 ins 2013 No. 55 s 153

201Trustees of conservation parks and resources reserves continue

(1)This section applies if, immediately before the commencement, an area was a conservation park or resources reserve under the management of trustees under this Act.
(2)A person who was, immediately before the commencement, a trustee of the area under this Act, continues to be a trustee of the area as a regional park under this Act.
(3)The trust over the area continues as a trust under this Act over the area as a regional park.

s 201 ins 2013 No. 55 s 153

202Change in class does not affect instruments applying to an area

(1)This section applies if, under this subdivision, an area is changed from an old class of protected area to another class of protected area (the new class).
(2)Any of the following (each a relevant instrument) in force for the area immediately before the commencement continues to apply to the area as a protected area of the new class—
(a)a lease, agreement, licence, permit or other authority;
(b)a management statement;
(c)a management plan;
(d)a direction, requirement, notice or decision given or made, in writing, under this Act.
(3)The relevant instrument continues in force for the area until it expires, is terminated or repealed or otherwise ends under its terms or this Act.
(4)Subsections (2) and (3) apply even if the relevant instrument authorises the carrying out of activities in the area that are not consistent with the management principles for protected areas of the new class.

s 202 ins 2013 No. 55 s 153

203Particular previous use authorities continue

(1)This section applies to a previous use authority taken to have been granted by the chief executive under section 173R(2) as in force before the commencement if the authority is still in force immediately before the commencement.
(2)Section 173R(3) and (4) of the unamended Act continue to apply to the previous use authority as if the amendment Act had not been enacted.

s 203 ins 2013 No. 55 s 153

204Deciding application for lease etc. for a protected area of an old class

(1)This section applies to an application for a lease, agreement, licence, permit or other authority (the relevant authority) that—
(a)was made, but not decided, under this Act before the commencement; and
(b)is for a protected area of an old class that, under this subdivision, is changed to a protected area of another class (the new class).
(2)The application is to be decided, as an application for the relevant authority for a protected area of the old class, under the unamended Act, as if the amendment Act had not been enacted.
(3)If the application is granted, the chief executive must give or grant to the applicant the relevant authority for the area as a protected area of the new class.
(4)To remove any doubt, it is declared that subsection (3) applies even if the carrying out of the activities under the relevant authority is not consistent with the management principles for protected areas of the new class.
(5)However, the grounds on which the chief executive may refuse an application to renew the relevant authority include the ground that the carrying out of the activities under the authority is not consistent with the management principles for protected areas of the new class.

s 204 ins 2013 No. 55 s 153

pt 12 div 6 hdg ins 2014 No. 33 s 132

sub 2016 No. 22 s 30

205Definitions for division

In this division—
old class, of protected area, means—
(a)a national park in which an area of the national park was declared as a special management area (scientific) under the unamended Act; or
(b)a regional park under the unamended Act.
unamended Act means this Act as in force immediately before the commencement.

s 205 prev s 205 ins 2013 No. 55 s 153

exp 28 March 2015 (see s 205(4))

pres s 205 ins 2016 No. 22 s 30

206Application of division

This division applies despite any provision of division 5.

s 206 prev s 206 ins 2014 No. 33 s 132

exp 1 July 2015 (see s 206(4))

pres s 206 ins 2016 No. 22 s 30

207Special management area (scientific) taken to be national park (scientific)

On the commencement, each special management area (scientific) under the unamended Act is taken to be a national park (scientific).

s 207 ins 2016 No. 22 s 30

208Regional park (general) taken to be conservation park

On the commencement, each regional park (general) under the unamended Act is taken to be a conservation park.

s 208 ins 2016 No. 22 s 30

209Regional park (resource use area) taken to be resources reserve

On the commencement, each regional park (resource use area) under the unamended Act is taken to be a resources reserve.

s 209 ins 2016 No. 22 s 30

210References to particular protected areas

From the commencement, in an Act or document—
(a)a reference to a special management area (scientific) may, if the context permits, be taken to be a reference to a national park (scientific); and
(b)a reference to a regional park may, if the context permits, be taken to be a reference to a conservation park or resources reserve; and
(c)a reference to a regional park (general) may, if the context permits, be taken to be a reference to a conservation park; and
(d)a reference to a regional park (resource use area) may, if the context permits, be taken to be a reference to a resources reserve.

s 210 ins 2016 No. 22 s 30

211Trustees of regional park (general)

(1)This section applies if, immediately before the commencement, an area was a regional park (general) under the management of trustees under this Act.
(2)A person who was, immediately before the commencement, a trustee of the area under this Act, continues to be a trustee of the area as a conservation park under this Act.
(3)The trust over the area continues as a trust under this Act over the area as a conservation park.

s 211 ins 2016 No. 22 s 30

212Trustees of regional park (resource use area)

(1)This section applies if, immediately before the commencement, an area was a regional park (resource use area) under the management of trustees under this Act.
(2)A person who was, immediately before the commencement, a trustee of the area under this Act, continues to be a trustee of the area as a resources reserve under this Act.
(3)The trust over the area continues as a trust under this Act over the area as a resources reserve.

s 212 ins 2016 No. 22 s 30

213Change in class does not affect instruments applying to an area

(1)This section applies if, under this division, an area is changed from an old class of protected area to another class of protected area (the new class).
(2)Any of the following (each a relevant instrument) in force for the area immediately before the commencement continues to apply to the area as a protected area of the new class—
(a)a lease, agreement, licence, permit or other authority under this Act or another Act;
(b)a management statement;
(c)a management plan;
(d)a direction, requirement, notice or decision given or made, in writing, under this Act.
(3)The relevant instrument continues in force for the area until it expires, is terminated or repealed or otherwise ends under its terms, under this Act or another Act.
(4)Subsections (2) and (3) apply even if the relevant instrument authorises the carrying out of activities in the area that are not consistent with the management principles for protected areas of the new class.

s 213 ins 2016 No. 22 s 30

214Deciding application for relevant authorities

(1)This section applies to an application for a lease, agreement, licence, permit or other authority (the relevant authority) that—
(a)was made, but not decided, under this Act before the commencement; and
(b)is for a protected area of an old class that, under this division, is changed to a protected area of another class (the new class).
(2)The application is to be decided, as an application for the relevant authority for a protected area of the old class—
(a)under this Act as in force before the commencement; and
(b)as if the Nature Conservation and Other Legislation Amendment Act 2016 had not been enacted.
(3)If the application is granted, the chief executive must give or grant to the applicant the relevant authority for the area as a protected area of the new class.
(4)To remove any doubt, it is declared that subsection (3) applies even if the carrying out of the activities under the relevant authority is not consistent with the management principles for protected areas of the new class.
(5)However, the grounds on which the chief executive may refuse an application to renew the relevant authority include the ground that the carrying out of the activities under the authority is not consistent with the management principles for protected areas of the new class.

s 214 ins 2016 No. 22 s 30

Division 7 Transitional provision for Queensland Future Fund (Titles Registry) Act 2021

pt 12 div 7 hdg ins 2021 No. 12 s 148 sch 3

215Application of ss 187, 188 and 194

Sections 187, 188 and 194 apply as if a reference in the provisions to the chief executive (lands) were a reference to the registrar of titles.

s 215 ins 2021 No. 12 s 148 sch 3

pt 12 div 8 hdg ins 2022 No. 21 s 23

216Review of existing original decisions

(1)This section applies if—
(a)before the commencement, a decision was made that was an original decision under a former review provision; and
(b)immediately before the commencement, any of the following circumstances applied, under a former review provision, in relation to the decision—
(i)the period during which an application for internal review, external review or a stay of the decision could be made had not ended;
(ii)an application made under a former review provision had not been decided.
(2)The application may be decided, or made and decided, under the former review provision as if the Nature Conservation and Other Legislation Amendment Act 2022, part 4, division 2 had not been enacted.
(3)In this section—
former review provision means each of the following provisions, as in force immediately before the commencement—
(a)the Nature Conservation (Animals) Regulation 2020, chapter 11, part 1;
(b)the Nature Conservation (Plants) Regulation 2020, chapter 11, part 1;
(c)the Nature Conservation (Protected Areas Management) Regulation 2017, chapter 8B, part 1.

s 216 ins 2022 No. 21 s 23

217Things seized before commencement

(1)This section applies if—
(a)before the commencement, a thing was seized under the Act; and
(b)immediately before the commencement, the thing had not been released, sold, disposed of or otherwise dealt with in the way required under a former seizure provision.
(2)The thing may be released, sold, disposed of or otherwise dealt with under the former seizure provision as if the Nature Conservation and Other Legislation Amendment Act 2022, part 4, division 2 had not been enacted.
(3)In this section—
former seizure provision means each of the following provisions, as in force immediately before the commencement—
(a)part 9;
(b)the Nature Conservation (Animals) Regulation 2020, chapter 11, part 2;
(c)the Nature Conservation (Plants) Regulation 2020, chapter 11, part 2;
(d)the Nature Conservation (Protected Areas Management) Regulation 2017, chapter 8.

s 217 ins 2022 No. 21 s 23

218Existing approved forms

(1)This section applies in relation to a form that was—
(a)approved by the chief executive under a former relevant provision; and
(b)in effect immediately before the commencement.
(2)On the commencement, the form is taken to be approved by the chief executive under section 174D for the purpose for which it was approved under the former relevant provision.
(3)In this section—
former relevant provision means each of the following provisions, as in force from time to time before the commencement—
(a)the Nature Conservation (Animals) Regulation 2020, section 396;
(b)the Nature Conservation (Plants) Regulation 2020, section 207;
(c)the Nature Conservation (Protected Areas Management) Regulation 2017, section 159BL.

s 218 ins 2022 No. 21 s 23

219Existing apiary permits continue

(1)An existing apiary permit continues in effect, subject to any conditions applying to the permit immediately before the commencement, until the earliest of the following—
(a)the surrender of the permit;
(b)the term of the permit ends;
(c)the permit is suspended or cancelled.
(2)For applying subsection (1), former section 184 and a former regulation provision continue to apply to the existing apiary permit as if former section 184 had not been repealed.
(3)In this section—
existing apiary permit means an authorisation that—
(a)was granted to a person under a former regulation provision; and
(b)authorised the person to take, use, keep or interfere with a cultural or natural resource for an apiary in a national park or national park (recovery); and
(c)was in effect immediately before the commencement.
former regulation provision means a provision of a regulation, as in force immediately before the commencement—
(a)made under former section 184; or
(b)that applied because of former section 184.
former section 184 means section 184 as in force immediately before the commencement.

s 219 ins 2022 No. 21 s 27

Schedule Dictionary

section 7

Aboriginal land has the meaning given by the Aboriginal Land Act 1991, section 8.

sch def Aboriginal land reloc from s 7 2000 No. 44 s 5 (3)

amd 2013 No. 55 s 175 sch 1 pt 1

Aboriginal people ...

sch def Aboriginal people om 1994 No. 42 s 4 (1)

Aboriginal tradition ...

sch def Aboriginal tradition om 1994 No. 42 s 4 (1)

Aborigine ...

sch def Aborigine om 1994 No. 42 s 4 (1)

affected person, for part 8A, see section 143C.

sch def affected person ins 2022 No. 21 s 24 (2)

aircraft
(a)means a machine or craft that can derive support in the atmosphere from the reactions of the air or from buoyancy; but
(b)does not include—
(i)a hovercraft; or
(ii)another machine or craft prescribed by regulation not to be an aircraft.

sch def aircraft ins 2022 No. 21 s 24 (2)

animal means any member of the animal kingdom (other than human), (whether alive or dead), and includes—
(a)any—
(i)amphibian; or
(ii)bird; or
(iii)coral; or
(iv)fish; or
(v)invertebrate; or
(vi)mammal; or
(vii)reptile; and
(b)the whole or any part of—
(i)the progeny, larvae, pupae, eggs or genetic or reproductive material of an animal; and
(ii)the carcass or another part of an animal.

sch def animal reloc from s 7 2000 No. 44 s 5 (3)

appliance means anything used or capable of being used for taking, or facilitating the taking of, wildlife or a cultural or natural resource, and includes—
(a)a weapon within the meaning of the Weapons Act 1990; and
(b)an explosive within the meaning of the Explosives Act 1999; and
(c)a trap, snare, net or birdlime; and
(d)a decoy; and
(e)poison; and
(f)a torch or other artificial light; and
(g)a shovel, hoe, pick, mattock, saw, axe, knife or other implement.

sch def appliance ins 1994 No. 42 s 4 (2)

amd 1999 No. 15 s 137 sch 1

reloc from s 7 2000 No. 44 s 5 (3)

approved form means a form approved by the chief executive under section 174D.

sch def approved form ins 2022 No. 21 s 24 (2)

area of major interest means an area that contains natural resources of significant nature conservation value.

sch def area of major interest reloc from s 7 2000 No. 44 s 5 (3)

Australia includes the external Territories.

sch def Australia reloc from s 7 2000 No. 44 s 5 (3)

authorised person means any of the following—
(a)the chief executive, performing functions under this Act;
(b)a public service employee of the department performing functions under this Act for the chief executive;
(c)a conservation officer who is not an employee of the department and who is performing functions under this Act for the chief executive.

sch def authorised person ins 2005 No. 53 s 145 (1)

authorised purpose, in relation to the use of protected wildlife, means a purpose that—
(a)will provide some significant benefit to wildlife or humans, including, for example, the development of drugs for the treatment of disease; and
(b)is authorised under a conservation plan for the wildlife.

sch def authorised purpose reloc from s 7 2000 No. 44 s 5 (3)

biological diversity has the meaning given by section 10.

sch def biological diversity reloc from s 7 2000 No. 44 s 5 (3)

boat means a boat, ship or other vessel of any size or kind, and includes a hovercraft.

sch def boat reloc from s 7 2000 No. 44 s 5 (3)

buy includes—
(a)agree or offer to buy; and
(b)receive or accept under an agreement; and
(c)agree to receive or accept under an agreement; and
(d)offer or attempt to receive or accept under an agreement; and
(e)cause or permit to be received or accepted under an agreement; and
(f)acquire by exchange; and
(g)accept on hire or lease.

sch def buy reloc from s 7 2000 No. 44 s 5 (3)

Cape York Peninsula Region means the Cape York