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GAMING CONTROL ACT 1993 - SECT 159 Conflict of interest and duty

GAMING CONTROL ACT 1993 - SECT 159

Conflict of interest and duty

(1)  An authorized person must not be a casino operator, venue operator, keno operator, monitoring operator, licensed provider, a person listed on the Roll or an employee in any capacity of such an operator, provider or person listed on the Roll.
(2)  An authorized person who knowingly has, directly or indirectly, any business or financial association with or any business or financial interest in any matter in conjunction with a casino operator, venue operator, keno operator, monitoring operator, licensed provider or person listed on the Roll must as soon as possible–
(a) notify the Commission of the association or interest; and
(b) if directed to do so by the Commission, within a time specified by the Commission terminate the association or relinquish the interest.
(3)  A person who ceases to be an authorized person must not, at any time during the next 2 years, be employed by or significantly associated with a casino operator, venue operator, keno operator, monitoring operator, licensed provider or person listed on the Roll unless the Commission otherwise approves.
(4)  A person who ceases to be a Commissioner must not, at any time during the next 2 years after ceasing to be a Commissioner, be employed by or significantly associated with a casino operator, venue operator, keno operator, monitoring operator, licensed provider or person listed on the Roll unless the Commission otherwise approves.
(5)  A casino operator, venue operator, keno operator, monitoring operator, licensed provider or person listed on the Roll must not employ, or be significantly associated with, a person prohibited by subsection (3) or (4) from being so employed or associated.
Penalty:  Fine not exceeding 50 penalty units.