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This is a Bill, not an Act. For current law, see the Acts databases.
2002-2003
The Parliament of
the
Commonwealth of
Australia
HOUSE OF
REPRESENTATIVES
Presented and read a first
time
Australian
Prudential Regulation Authority Amendment Bill
2003
No. ,
2003
(Treasury)
A Bill
for an Act to amend the Australian Prudential Regulation Authority Act
1998, and for related purposes
Contents
Banking Act
1959 21
Financial Corporations (Transfer of Assets and Liabilities) Act
1993 21
Financial Sector (Shareholdings) Act
1998 21
Financial Sector (Transfers of Business) Act
1999 22
Insurance Acquisitions and Takeovers Act
1991 22
Insurance Act
1973 22
Reserve Bank Act
1959 23
Superannuation (Unclaimed Money and Lost Members) Act
1999 23
A Bill for an Act to amend the Australian Prudential
Regulation Authority Act 1998, and for related purposes
The Parliament of Australia enacts:
This Act may be cited as the Australian Prudential Regulation
Authority Amendment Act 2003.
(1) Each provision of this Act specified in column 1 of the table
commences, or is taken to have commenced, on the day or at the time specified in
column 2 of the table.
|
Commencement information |
||
|---|---|---|
|
Column 1 |
Column 2 |
Column 3 |
|
Provision(s) |
Commencement |
Date/Details |
|
1. Sections 1 to 3 and anything in this Act not elsewhere covered by
this table |
The day on which this Act receives the Royal Assent |
|
|
2. Schedules 1 to 3 |
A single day to be fixed by Proclamation, subject to
subsection (3) |
|
Note: This table relates only to the provisions of this Act
as originally passed by the Parliament and assented to. It will not be expanded
to deal with provisions inserted in this Act after assent.
(2) Column 3 of the table is for additional information that is not part
of this Act. This information may be included in any published version of this
Act.
(3) If a provision covered by item 2 of the table does not commence
within the period of 6 months beginning on the day on which this Act receives
the Royal Assent, it commences on the first day after the end of that
period.
Each Act that is specified in a Schedule to this Act is amended or
repealed as set out in the applicable items in the Schedule concerned, and any
other item in a Schedule to this Act has effect according to its
terms.
1 Subsection 3(1)
Insert:
APRA member means a member of APRA, including the Chair and
Deputy Chair.
2 Subsection 3(1) (definition of ASIC
representative member)
Repeal the definition.
3 Subsection 3(1) (definition of
Board)
Repeal the definition.
4 Subsection 3(1) (definition of Board
member)
Repeal the definition.
5 Subsection 3(1) (definition of
CEO)
Repeal the definition.
6 Subsection 3(1) (definition of
Chair)
Omit “the Chair of the Board”, substitute “the APRA
member appointed as Chair of APRA”.
7 Subsection 3(1)
Insert:
Deputy Chair means the APRA member appointed as Deputy Chair
of APRA.
8 Subsection 3(1)
Insert:
financial sector supervisory agency means a person or body
having the function, in Australia or in a foreign country, of supervising or
regulating financial institutions.
9 Subsection 3(1) (definition of ordinary
member)
Repeal the definition.
10 Subsection 3(1)
Insert:
prudential regulation framework law means any of the
following Acts:
(a) this Act;
(b) the Banking Act 1959;
(c) the Financial Institutions Supervisory Levies Collection Act
1998;
(d) the Financial Sector (Collection of Data) Act 2001;
(e) the Financial Sector (Shareholdings) Act 1998;
(f) the Financial Sector (Transfers of Business) Act
1999;
(g) the Insurance Act 1973;
(h) the Insurance Acquisitions and Takeovers Act 1991;
(i) the Life Insurance Act 1995;
(j) the Medical Indemnity (Prudential Supervision and Product
Standards) Act 2003;
(k) the Retirement Savings Accounts Act 1997;
(l) the Superannuation Industry (Supervision) Act 1993;
(m) the Superannuation (Self Managed Superannuation Funds) Taxation Act
1987;
(n) any Act imposing a levy to which the Financial Institutions
Supervisory Levies Collection Act 1998 applies, or to which the
Superannuation (Self Managed Superannuation Funds) Taxation Act 1987
applies;
(o) another Act that is prescribed for the purposes of the section in
which the expression appears.
11 Subsection 3(1) (definition of representative
member)
Repeal the definition.
12 Subsection 3(1) (definition of Reserve Bank
representative member)
Repeal the definition.
13 Section 7 (note)
After “Commonwealth Authorities and Companies Act 1997”,
insert “, other than sections 27F to 27K (disclosure of APRA
members’ interests is instead dealt with in Division 1 of
Part 4A of this Act),”.
14 Subsection 8(1)
Omit “policy”, substitute “administrative practices and
procedures”.
15 Subsection 8(2)
Omit “In providing this regulation and developing this
policy,”, substitute “In performing and exercising its functions and
powers,”.
16 Section 10
Repeal the section, substitute:
(1) APRA must advise the Minister as soon as practicable if it considers
that a body regulated by APRA is in financial difficulty.
(2) APRA must advise the Minister, if requested by the Minister, and may
advise the Minister on its own initiative, respecting:
(a) matters that would improve the financial safety and efficiency,
competition, contestability or competitive neutrality of the sectors in which
the bodies regulated by APRA operate; or
(b) changes to, or in relation to, any prudential regulation framework law
that APRA considers would overcome or assist in overcoming problems APRA has
identified in the course of performing or exercising any of its functions and
powers.
(3) In addition, APRA must advise the Minister, if requested by the
Minister, and may advise the Minister on its own initiative, respecting any of
the Minister’s functions and powers.
(1) The Parliament intends that APRA should, in performing and exercising
its functions and powers, have regard to the desirability of APRA cooperating
with other financial sector supervisory agencies, and with other agencies
specified in regulations for the purposes of this subsection.
(2) This section does not override any restrictions that would otherwise
apply to APRA or confer any powers on APRA that it would not otherwise
have.
Note: For example, APRA’s ability to provide
information to another agency remains subject to
section 56.
17 Section 12
Repeal the section, substitute:
(1) The Minister may give APRA a written direction about policies it
should pursue, or priorities it should follow, in performing or exercising any
of its functions or powers.
(2) The Minister must not give a direction under subsection (1)
unless he or she has:
(a) notified APRA in writing that he or she is considering giving the
direction; and
(b) given the Chair an adequate opportunity to discuss with the Minister
the need for the proposed direction.
(3) The Minister must not give a direction under subsection (1) about
a particular case.
(4) APRA must comply with a direction under subsection (1).
(5) The Minister must cause a copy of a direction under
subsection (1):
(a) to be published in the Gazette within 21 days after the
direction is given; and
(b) to be laid before each House of the Parliament within 15 sitting days
of that House after the publication;
but failure of the Minister to do so does not affect the direction’s
validity.
(6) This section does not limit any other powers to give directions that
the Minister has under any other law.
18 Subsection 13(2)
Repeal the subsection.
19 Section 15
Repeal the section, substitute:
(1) APRA may, by writing under its seal, delegate any functions or powers
conferred on APRA by this Act or any other law of the Commonwealth to an APRA
member or to an APRA staff member.
(2) APRA may, by writing under its seal, delegate any functions or powers
conferred on APRA by this Act or any other law of the Commonwealth:
(a) if the Chair of ASIC agrees to the delegation—to the Chair of
ASIC, to another ASIC member or to an ASIC staff member; or
(b) if the Governor of the Reserve Bank agrees to the delegation—to
the Governor or Deputy Governor of the Reserve Bank or to an officer of the
Reserve Bank Service.
(3) In performing or exercising functions or powers delegated under
subsection (1) or (2), the delegate must comply with any directions given
by APRA.
Note: For information about delegations, see
sections 34AA to 34A of the Acts Interpretation Act
1901.
20 Part 3
Repeal the Part, substitute:
(1) APRA is to consist of not fewer than 3 members nor more than 5
members.
(2) The APRA members are to be appointed by the Governor-General by
written instrument.
(3) At least 3 of the APRA members must be appointed as full-time members,
and each of the other APRA members (if any) may be appointed as a full-time or
part-time member.
(4) The performance of APRA’s functions or the exercise of
APRA’s powers is not affected by reason only that:
(a) there are fewer than 3 APRA members; or
(b) there are fewer than 3 full-time APRA members.
(1) A person may only be appointed as an APRA member if the Minister is
satisfied that the person is qualified for appointment by virtue of his or her
knowledge or experience relevant to APRA’s functions and powers.
(2) A person may not be appointed as an APRA member if the person is a
director, officer or employee of a body regulated by APRA.
(3) A person who is a director, officer or employee of a body operating in
the financial sector, other than a body regulated by APRA, may be appointed as
an APRA member, but only if the Minister considers that the person will not be
prevented from the proper performance of the functions of the office because of
resulting conflicts of interest.
(1) The Governor-General is to appoint a full-time APRA member as Chair of
APRA.
(2) The Governor-General may appoint another full-time APRA member as
Deputy Chair of APRA.
(3) The Deputy Chair is to act as Chair during any period when:
(a) the office of Chair is vacant; or
(b) the Chair is absent from duty or from Australia, or is, for any
reason, unable to perform the functions of his or her office.
(4) When acting as Chair, the Deputy Chair has all the functions and
powers of the Chair.
(5) Anything done by or in relation to a person purporting to act under
subsection (3) is not invalid on the ground that the occasion for the
person to act had not arisen or had ceased.
(1) The Minister may:
(a) appoint a person to act as a full-time APRA member during any period
when there are fewer than 5 persons who are APRA members; or
(b) appoint a person to act as a part-time APRA member during any period
when:
(i) there are fewer than 5 persons who are APRA members; and
(ii) there are at least 3 persons who are full-time APRA members;
or
(c) appoint a person to act in the place of a full-time APRA member or
part-time APRA member during any period when the APRA member:
(i) is acting as Deputy Chair in accordance with subsection (3);
or
(ii) is absent from duty or from Australia or is, for any reason,
unable to perform the functions of his or her office.
(2) The Minister may appoint an APRA member to act as Chair:
(a) during a vacancy in the office of Chair, whether or not an appointment
has previously been made to the office; or
(b) during any period, or during all periods, when the Chair is absent
from duty or from Australia, or is, for any reason, unable to perform the
functions of his or her office.
(3) The Minister may appoint an APRA member to act as Deputy
Chair:
(a) during a vacancy in the office of Deputy Chair, whether or not an
appointment has previously been made to the office; or
(b) during any period, or during all periods, when the Deputy Chair is
absent from duty or from Australia, or is, for any reason, unable to perform the
functions of his or her office; or
(c) during any period, or during all periods, when the Deputy Chair is
acting as Chair.
(4) A person appointed under paragraph (1)(a), (1)(b), (2)(a) or
(3)(a) must not continue to act under the appointment for more than 12
months.
(5) Anything done by or in relation to a person purporting to act under an
appointment under this section is not invalid merely because:
(a) the occasion for the appointment had not arisen; or
(b) there was a defect or irregularity in connection with the appointment;
or
(c) the appointment had ceased to have effect; or
(d) the occasion to act had not arisen or had ceased.
Note: For further information about acting appointments, see
section 33A of the Acts Interpretation Act 1901.
(6) A person is not eligible to be appointed to act in an office under
this section if section 17 would prevent the person from being appointed as
an APRA member.
An APRA member holds office for the period specified in the instrument of
appointment. The period must not exceed 5 years.
Note: This section has effect subject to section 24
(under which a person may resign his or her appointment as an APRA member) and
section 25 (under which a person’s appointment as an APRA member may
be terminated).
A person appointed as Chair or Deputy Chair holds that office
until:
(a) in any case—the end of his or her current term as an APRA
member; or
(b) in any case—he or she otherwise stops being an APRA member;
or
(c) in the case of a person appointed as Deputy Chair—he or she is
appointed as Chair;
whichever happens first.
Note: This section has effect subject to section 24
(under which a person may resign his or her appointment as Chair or Deputy
Chair).
(1) An APRA member is to be paid the remuneration that is determined by
the Remuneration Tribunal. If no determination of that remuneration by the
Tribunal is in operation, the member is to be paid the remuneration that the
Minister determines.
(2) An APRA member is to be paid the allowances that are
prescribed.
(3) This section has effect subject to the Remuneration Tribunal Act
1973.
(1) A full-time APRA member has the recreation leave entitlements that are
determined by the Remuneration Tribunal.
(2) The Minister may:
(a) grant a full-time APRA member leave of absence, other than recreation
leave, on the terms and conditions as to remuneration or otherwise that the
Minister determines; and
(b) grant a part-time APRA member leave of absence on the terms and
conditions that the Minister determines.
A person may resign his or her appointment as an APRA member, as Chair,
or as Deputy Chair, by giving a written resignation to the
Governor-General.
(1) The appointment of an APRA member is immediately terminated if the
member becomes a director, officer or employee of a body regulated by
APRA.
(2) The Governor-General may terminate the appointment of an APRA
member:
(a) for misbehaviour or physical or mental incapacity; or
(b) if the member:
(i) becomes bankrupt; or
(ii) applies to take the benefit of any law for the relief of bankrupt or
insolvent debtors; or
(iii) compounds with his or her creditors; or
(iv) makes an assignment of his or her remuneration for the benefit of his
or her creditors; or
(c) in the case of a full-time member—if the member is absent from
duty, except on leave of absence:
(i) for 14 consecutive days; or
(ii) for 28 days in any period of 12 months; or
(d) in the case of a part-time member—if the member is absent,
except on leave of absence, from 3 consecutive meetings of APRA; or
(e) in the case of a full-time member—if the member engages, except
with the Minister’s approval, in paid employment outside the functions of
his or her office; or
(f) in the case of a part-time member—if the member engages in paid
employment that conflicts or could conflict with the proper performance of the
functions of his or her office; or
(g) the member is or becomes a director, officer or employee of a body
operating in the financial sector, other than a body regulated by APRA, and the
Minister considers that the person is, will be, or could be, prevented from the
proper performance of the functions of his or her office because of resulting
conflicts of interest; or
(h) if the member fails, without reasonable excuse, to comply with
subsection 48A(1) or 48B(1); or
(i) if the member has an interest that has been, or should have been,
disclosed under subsection 48A(1) or 48B(1) and that conflicts, or could
conflict, to a significant extent, with the proper performance of the functions
of his or her office.
(3) In spite of anything contained in this section, if an APRA
member:
(a) is an eligible employee for the purposes of the Superannuation Act
1976; and
(b) has not reached his or her maximum retiring age within the meaning of
that Act;
then he or she is not capable of being retired from office on the ground of
invalidity within the meaning of Part IVA of that Act unless the
Commonwealth Superannuation Board of Trustees No. 2 has given a certificate
under section 54C of that Act.
(4) In spite of anything contained in this section, if an APRA
member:
(a) is a member of the superannuation scheme established by deed under the
Superannuation Act 1990; and
(b) is under 60 years of age;
then he or she is not capable of being retired from office on the ground of
invalidity within the meaning of that Act unless the Commonwealth Superannuation
Board of Trustees No. 1 has given a certificate under section 13 of
that Act.
An APRA member holds office on the terms and conditions (if any) in
relation to matters not covered by this Act that are determined by the
Minister.
(1) APRA must hold the meetings that are necessary for the efficient
performance and exercise of its functions and powers.
(2) Meetings are to be held at the times and places that the Chair
determines.
(3) The Chair must convene a meeting if requested in writing by 2 or more
APRA members.
At a meeting:
(a) if APRA consists of 3 or 4 APRA members—2 APRA members;
or
(b) in any other case—3 APRA members;
constitute a quorum.
(1) The Chair must preside at all meetings at which he or she is
present.
(2) If the Chair is not present at a meeting but the Deputy Chair is
present, the Deputy Chair must preside.
(3) If neither the Chair nor the Deputy Chair is present at a meeting, the
APRA members present must elect one of their number to preside.
(1) A question arising at a meeting is to be determined by a majority of
the votes of the APRA members present and voting.
(2) The person presiding at a meeting has:
(a) a deliberative vote; and
(b) if necessary, also a casting vote.
(1) APRA may regulate proceedings at its meetings as it considers
appropriate.
(2) However, proceedings at a meeting must not be inconsistent with this
Division.
Note 1: Section 33B of the Acts Interpretation Act
1901 contains further information about the ways in which APRA members may
participate in meetings.
Note 2: Requirements relating to disclosure of interests are
contained in Division 1 of Part 4A of this Act.
A resolution is taken to have been passed at a meeting if:
(a) APRA has determined:
(i) that resolutions may be passed in accordance with this section;
and
(ii) the method of indicating agreement with a resolution passed in
accordance with this section; and
(b) without meeting, a majority of the APRA members indicate agreement
with the resolution in accordance with the method determined by APRA;
and
(c) that majority would have constituted a quorum at a meeting;
and
(d) all APRA members were informed of the proposed resolution, or
reasonable efforts were made to inform all APRA members of the proposed
resolution.
21 Part 4 (heading)
Repeal the heading, substitute:
22 Division 1 of
Part 4
Repeal the Division.
23 Division 2 of Part 4
(heading)
Repeal the heading.
24 Subsection 45(2)
Omit “the Board”, substitute “APRA”.
25 Subsection 47(2)
Omit “the Board”, substitute “APRA”.
26 After Part 4
Insert:
(1) An APRA member must disclose any interest that the member has if that
interest could conflict with the proper performance of the functions of
his or her office. Disclosure is required whether or not there is any particular
matter under consideration that gives rise to an actual conflict of
interest.
(2) Subsection (1) applies to interests:
(a) whether direct or indirect, and whether or not pecuniary;
and
(b) whether acquired before or after the APRA member’s
appointment.
(3) The disclosure must be by notice in writing given to the Minister, and
to each of the other APRA members, as soon as practicable after the APRA member
becomes aware of the potential for conflict of interest.
(4) Without limiting subsection (1), interests that must be disclosed
under that subsection include:
(a) any agreement, understanding or expectation that the APRA member
will:
(i) resume a previous business relationship (whether or not that
relationship existed immediately before the member’s appointment);
or
(ii) enter into a new business relationship;
when the member ceases to be a member; and
(b) any severance arrangement or ongoing financial arrangement that takes
account of an agreement, understanding or expectation that must be disclosed
under paragraph (a).
(5) Paragraphs (4)(a) and (b) apply to agreements, understandings or
arrangements entered into, or expectations arising, before or after the
member’s appointment.
(6) The obligation to disclose an interest described in
paragraph (4)(a) is subject to the following provisions:
(a) disclosure is required whether or not the field of business or legal
nature of the relationship has been determined;
(b) if the interest is an expectation to enter into a new business
relationship—the interest does not have to be disclosed unless the member
can identify the other party, or one or more other parties, to the
relationship.
(1) An APRA member who has an interest that could conflict with the proper
performance of the functions of his or her office, as they give the member a
role in deciding a particular matter, must not perform the role in deciding the
matter unless:
(a) the member has disclosed that interest to each of the other APRA
members; and
(b) each of the other APRA members has consented to the member performing
that role in deciding that matter despite the possible conflict of
interest.
(2) Subsection (1) applies to interests:
(a) whether direct or indirect, and whether or not pecuniary;
and
(b) whether acquired before or after the APRA member’s
appointment.
(3) An APRA member, other than the Chair, who gives a consent under
paragraph (1)(b) must, as soon as practicable, advise the Chair that he or
she has given the consent.
(4) If an interest is disclosed under subsection (1), the Chair must,
as soon as practicable, give the Minister a written notice:
(a) describing the interest and the matter; and
(b) advising the Minister whether the other APRA members have consented as
mentioned in paragraph (1)(b).
Sections 27F to 27K of the Commonwealth Authorities and Companies
Act 1997 do not apply in relation to APRA members.
APRA must take reasonable steps to ensure that there are, where
appropriate, adequate disclosure of interests requirements applying
to:
(a) APRA staff members; and
(b) people (other than APRA members and APRA staff members) performing or
exercising functions or powers delegated to them by APRA under
section 15.
27 Subsection 50(1)
Omit “Treasurer”, substitute “Minister”.
28 Subsection 50(2)
Omit “Treasurer”, substitute “Minister”.
29 Subsection 50(3)
Omit “Treasurer”, substitute “Minister”.
30 Subsection 56(1) (definition of Act covered by
this section)
Repeal the definition.
31 Subsection 56(1) (definition of financial
sector supervisory agency)
Repeal the definition.
32 Subsection 56(1) (paragraph (a) of the
definition of officer)
Repeal the paragraph, substitute:
(a) an APRA member; or
33 Subsection 56(1) (definition of protected
document)
Omit “this Act or an Act covered by this section”, substitute
“a prudential regulation framework law”.
34 Subsection 56(1) (definition of protected
information)
Omit “this Act or an Act covered by this section”, substitute
“a prudential regulation framework law”.
35 Paragraph 56(2)(c)
After “(5),”, insert “(5AA),”.
36 Subsection 56(3)
Omit “this Act or an Act covered by this section”, substitute
“a prudential regulation framework law”.
37 Paragraph 56(5)(b)
Omit “the Board”, substitute “APRA”.
38 Subsection 56(5) (note 1)
Repeal the note.
39 Subsection 56(5) (note 2)
Omit “Note 2”, substitute “Note”.
40 After subsection 56(5)
Insert:
(5AA) It is not an offence if the disclosure of protected information or
the production of a protected document is made:
(a) by an officer of an agency to which the information or document has
been disclosed or produced under paragraph (5)(a); and
(b) for the same purpose as the information or document was so disclosed
or produced to that agency.
Note: A defendant bears an evidential burden in relation to
the matters in subsection (5AA) (see subsection 13.3(3) of the Criminal
Code).
41 Paragraph 56(6)(a)
Omit “a Board member”, substitute “an APRA
member”.
42 Paragraph 56(7B)(a)
Omit “an Act covered by this section”, substitute “a
prudential regulation framework law”.
43 Subparagraph 56(7B)(b)(i)
Omit “an Act covered by this section”, substitute “a
prudential regulation framework law”.
44 At the end of subsection 56(7B) (before the
note)
Add:
; or (c) a description of action under a prudential regulation framework
law that APRA has taken or is proposing to take in relation to:
(i) a body regulated by APRA; or
(ii) an individual who holds or has held a position with or in relation to
such a body.
45 Subsection 56(8)
Omit “this Act or an Act covered by this section”, substitute
“a prudential regulation framework law”.
46 Paragraph 56(12)(a)
After “(5),”, insert “(5AA),”.
47 Subsection 58(1)
Omit “APRA, a Board member, an APRA staff member, or an agent of
APRA, a Board member or an APRA staff member”, substitute “APRA, an
APRA member, an APRA staff member, or an agent of APRA, an APRA member or an
APRA staff member”.
48 Subsection 58(1)
Omit “APRA, the Board, a Board member or an APRA staff member”,
substitute “APRA, an APRA member or an APRA staff
member”.
1 Subsection 5(1) (definition of APRA board
member)
Repeal the definition.
2 Subsection 5(1)
Insert:
APRA member has the same meaning as in the Australian
Prudential Regulation Authority Act 1998.
3 Paragraph 63(5)(a)
Omit “an APRA board member”, substitute “an APRA
member”.
Financial Corporations
(Transfer of Assets and Liabilities) Act 1993
4 Paragraph 12(a)
Omit “, or a member of APRA’s board of management”,
substitute “(the Australian Prudential Regulation
Authority)”.
5 After paragraph 12(a)
Insert:
(aa) an APRA member, within the meaning of the Australian Prudential
Regulation Authority Act 1998; or
Financial Sector
(Shareholdings) Act 1998
6 Paragraph 44(1)(a)
Omit “the Chief Executive Officer of”.
7 Paragraph 44(1)(b)
Repeal the paragraph, substitute:
(b) an APRA member (within the meaning of the Australian Prudential
Regulation Authority Act 1998); or
Financial Sector (Transfers
of Business) Act 1999
8 Subsection 4(1) (definition of APRA board
member)
Repeal the definition.
9 Subsection 4(1)
Insert:
APRA member has the same meaning as in the Australian
Prudential Regulation Authority Act 1998.
10 Subsection 4(2)
Omit “an APRA board member,”, substitute “an APRA
member,”.
Insurance Acquisitions and
Takeovers Act 1991
11 After paragraph 69(a)
Insert:
(aa) an APRA member, within the meaning of the Australian Prudential
Regulation Authority Act 1998, or
12 Subsection 3(1)
Insert:
APRA member has the same meaning as in the Australian
Prudential Regulation Authority Act 1998.
13 Subsection 3(1)
Insert:
APRA staff member has the same meaning as in the
Australian Prudential Regulation Authority Act 1998.
14 Subsection 3(1A)
Omit “a person who is an APRA staff member, within the meaning of the
Australian Prudential Regulation Authority Act 1998,”, substitute
“an APRA member or an APRA staff member”.
15 Subparagraph 59(1)(b)(i)
Repeal the subparagraph, substitute:
(i) an APRA member or an APRA staff member; or
16 Paragraph 85(1)(b)
Omit “an APRA staff member, within the meaning of the Australian
Prudential Regulation Authority Act 1998”, substitute “an APRA
member or an APRA staff member”.
17 Subsection 5(1) (definition of APRA Board
member)
Repeal the definition.
18 Subsection 5(1)
Insert:
APRA member has the same meaning as in the Australian
Prudential Regulation Authority Act 1998.
19 Subsection 25B(2)
Repeal the subsection (including the note), substitute:
(2) The member who is the representative of APRA referred to in paragraph
25A(c) is to be appointed by APRA. The person appointed must be an APRA member
or an APRA staff member.
20 Paragraph 25K(b)
Omit “APRA’s Chief Executive Officer”, substitute
“APRA”.
21 Paragraph 25L(2)(a)
Omit “APRA’s Chief Executive Officer”, substitute
“APRA”.
22 Paragraph 25L(2)(b)
Omit “an APRA Board member”, substitute “an APRA
member”.
Superannuation (Unclaimed
Money and Lost Members) Act 1999
23 Section 8 (definition of financial sector
supervisory agency)
Omit “section 56”, substitute
“section 3”.
1 Definitions
In this Schedule:
amended Act means the Australian Prudential Regulation
Authority Act 1998 as in force after the commencement of the
amendments.
commencement of the amendments means the commencement of the
amendments made by Schedule 1.
old Act means the Australian Prudential Regulation
Authority Act 1998 as in force immediately before the commencement of the
amendments.
2 APRA’s corporate existence is
continued
(1) The body corporate that was, immediately before the commencement of the
amendments, the Australian Prudential Regulation Authority (APRA)
continues in existence after that commencement by force of this item under the
corporate structure provided for by the amended Act.
Note: Rights, liabilities and obligations as between APRA
and other people, and things done by or on behalf of APRA, or in relation to
APRA, are therefore not affected by the restructure of APRA.
(2) However, this does not imply that any person who, immediately before
the commencement of the amendments, was a member of APRA’s Board, or was
APRA’s Chief Executive Officer, continues to hold office after that
commencement.
Note: These people cease to hold office on the commencement
of the amendments because of the repeal of the provisions under which they were
appointed.
3 Continued protection from
liability
Section 58 of the old Act continues to apply in relation to conduct,
before the commencement of the amendments, of APRA’s Board, a member of
APRA’s Board or an agent of a member of APRA’s Board.
Note: The reference to a member of APRA’s Board covers
APRA’s Chief Executive Officer.
4 Continued effect of certain
delegations
(1) A delegation in force, immediately before the commencement of the
amendments, under subsection 15(1) or (2) of the old Act continues to have
effect after that commencement as if it were a delegation under APRA’s
seal under that subsection of the amended Act. If the delegation was to one or
more members of APRA’s Board, it continues to have effect as if it were a
delegation to any APRA member.
(2) A direction in force, immediately before the commencement of the
amendments, under subsection 15(3) of the old Act continues to have effect after
that commencement, in relation to a delegation to which subitem (1)
applies, as if it were a direction given by APRA under that subsection of the
amended Act.
(3) A delegation to one or more members of APRA’s Board in force,
immediately before the commencement of the amendments, under a provision amended
by Schedule 2 continues to have effect after that commencement as if it
were a delegation under the amended provision to any APRA member.
Note: Delegations in favour of APRA, or APRA staff members,
are not affected by the Schedule 2 amendments.
5 Continued effect of determinations of terms and
conditions for staff and consultants
A determination of terms and conditions in force, immediately before the
commencement of the amendments, under subsection 45(2) or 47(2) of the old Act
continues to have effect after that commencement as if it were a determination
by APRA under that subsection of the amended Act.
6 Continued effect of approvals under paragraph
56(5)(b)
An approval in force, immediately before the commencement of the
amendments, under paragraph 56(5)(b) of the old Act continues to have effect
after that commencement as if it were an approval by APRA under that paragraph
of the amended Act.
7 Continued or extended effect of certain
regulations
(1) Regulations in force, immediately before the commencement of the
amendments, under paragraph (k) of the definition of Act covered by
this section in subsection 56(1) of the old Act continue to have effect
after that commencement as if they were made under paragraph (o) of the
definition of prudential regulation framework law in subsection
3(1) of the amended Act, but only as that paragraph applies for the purposes of
section 56 of the amended Act.
(2) Regulations in force, immediately before the commencement of the
amendments, under paragraph 56(5)(a) of the old Act have effect after that
commencement (in addition to the effect they continue to have for that paragraph
of the amended Act) as if they were also made under subsection 10A(1) of the
amended Act.
8 Delegations by ASIC to APRA staff
members
(1) Subsection 102(2A) of the Australian Securities and Investments
Commission Act 2001 has effect after the commencement of the amendments as
if the reference in that subsection to the Chief Executive Officer of APRA were
instead a reference to APRA.
(2) For the purposes of that subsection as it continues to have effect, an
agreement to a delegation, in force under that subsection immediately before the
commencement of the amendments, continues to have effect after that commencement
as if it were given by APRA.