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Bill C-5

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C-5
Second Session, Forty-first Parliament,
62 Elizabeth II, 2013
HOUSE OF COMMONS OF CANADA
BILL C-5
An Act to amend the Canada-Newfoundland Atlantic Accord Implementation Act, the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act and other Acts and to provide for certain other measures

first reading, October 24, 2013

MINISTER OF NATURAL RESOURCES

90679

RECOMMENDATION
His Excellency the Governor General recommends to the House of Commons the appropriation of public revenue under the circumstances, in the manner and for the purposes set out in a measure entitled “An Act to amend the Canada-Newfoundland Atlantic Accord Implementation Act, the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act and other Acts and to provide for certain other measures”.
SUMMARY
This enactment amends the Canada-Newfoundland Atlantic Accord Implementation Act and the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act (the “Accord Acts”) in order to increase the level of safety and transparency of offshore petroleum activities.
The main purpose of the amendments is to establish a new occupational health and safety regime in the offshore areas.
In addition, it amends the Accord Acts to, most notably,
(a) ensure that occupational health and safety officers, special officers, conservation officers and operational safety officers have the same powers for the administration and enforcement of the Accord Acts;
(b) clarify that the new occupational health and safety regime applies to the transportation of persons who are in transit to, from or between workplaces in the offshore areas;
(c) require that any occupational health and safety regulations that apply to the transportation of persons who are in transit to, from or between workplaces in the offshore areas be made on the recommendation of the Minister of Transport; and
(d) authorize each of the Canada–Newfoundland and Labrador Offshore Petroleum Board and the Canada-Nova Scotia Offshore Petroleum Board to publicly disclose information related to occupational health and safety if it considers it to be in the public interest.
It amends the Hazardous Materials Information Review Act to enable health and safety officers to get privileged information and to enable employers subject to the Accord Acts to apply to the Chief Screening Officer for exemptions from disclosure requirements in the same manner as employers under the Canada Labour Code. It also amends the Access to Information Act to prohibit the disclosure of certain information.
It amends the Canada Labour Code to closely follow the Accord Acts with respect to the time frame for the institution of proceedings, and with respect to prohibitions on the sharing of information and on testimony.
It also amends certain Acts and regulations to make terminological changes that are required as a result of certain amendments to the Canada-Newfoundland Atlantic Accord Implementation Act.

Available on the Parliament of Canada Web Site at the following address:
http://www.parl.gc.ca

TABLE OF PROVISIONS
AN ACT TO AMEND THE CANADA-NEWFOUNDLAND ATLANTIC ACCORD IMPLEMENTATION ACT, THE CANADA-NOVA SCOTIA OFFSHORE PETROLEUM RESOURCES ACCORD IMPLEMENTATION ACT AND OTHER ACTS AND TO PROVIDE FOR CERTAIN OTHER MEASURES
SHORT TITLE
1.       Offshore Health and Safety Act
CANADA-NEWFOUNDLAND ATLANTIC ACCORD IMPLEMENTATION ACT
2-52.       Amendments
TRANSITIONAL PROVISIONS
53.       Canada–Newfoundland and Labrador Atlantic Accord Implementation Act — transitional regulations
54.       Chief Safety Officer powers
CANADA-NOVA SCOTIA OFFSHORE PETROLEUM RESOURCES ACCORD IMPLEMENTATION ACT
55-91.       Amendments
TRANSITIONAL PROVISIONS
92.       Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act — transitional regulations
93.       Chief Safety Officer powers
CANADA LABOUR CODE
94-95.       Amendments
ACCESS TO INFORMATION ACT
96-100.       Amendments
EXCISE TAX ACT
101.       Amendment
CANADA OIL AND GAS OPERATIONS ACT
102.       Amendment
PRIVACY ACT
103-104.       Amendments
HAZARDOUS MATERIALS INFORMATION REVIEW ACT
105-112.       Amendments
HIBERNIA DEVELOPMENT PROJECT ACT
113.       Amendment
FEDERAL AUTHORITIES REGULATIONS
114.       Amendment
TERMINOLOGY
115.       Replacement of references
116.       Replacement of references
117.       Replacement of references
118-119.       Replacement of references to Canada-Newfoundland Offshore Petroleum Board
COORDINATING AMENDMENTS
120.       Bill C-48
121.       Bill C-60
COMING INTO FORCE
122.       Order in council

2nd Session, 41st Parliament,
62 Elizabeth II, 2013
house of commons of canada
BILL C-5
An Act to amend the Canada-Newfoundland Atlantic Accord Implementation Act, the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act and other Acts and to provide for certain other measures
Her Majesty, by and with the advice and consent of the Senate and House of Commons of Canada, enacts as follows:
SHORT TITLE
Short title
1. This Act may be cited as the Offshore Health and Safety Act.
1987, c. 3
CANADA-NEWFOUNDLAND ATLANTIC ACCORD IMPLEMENTATION ACT
2. The long title of the French version of the Canada-Newfoundland Atlantic Accord Implementation Act is replaced by the following:
Loi concernant la mise en oeuvre de l’accord entre les gouvernements du Canada et de Terre-Neuve-et-Labrador sur la gestion des ressources en hydrocarbures extracôtiers et sur le partage des recettes correspondantes et apportant des modifications corrélatives ou connexes
3. Section 1 of the Act is replaced by the following:
Short title
1. This Act may be cited as the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act.
4. (1) The definition “Canada-Newfoundland benefits plan” in section 2 of the English version of the Act is repealed.
(2) The definitions “Board”, “Province”, “Provincial Act” and “Provincial Minister” in section 2 of the Act are replaced by the following:
“Board”
« Office »
“Board” means the Canada–Newfoundland and Labrador Offshore Petroleum Board referred to in section 9;
“Province”
« province »
“Province” means the province of Newfoundland and Labrador;
“Provincial Act”
« loi provinciale »
“Provincial Act” means the Canada-Newfoundland and Labrador Atlantic Accord Implementation Newfoundland and Labrador Act, R.S.N.L. 1990, c. C-2, as amended from time to time;
“Provincial Minister”
« ministre provincial »
“Provincial Minister” means, other than for the purposes of Part III.1, the Minister of the Crown in right of the Province designated by the Provincial Government as the provincial minister for the purposes of this Act.
(3) Section 2 of the English version of the Act is amended by adding the following in alphabetical order:
“Canada–Newfoundland and Labrador benefits plan”
« plan de retombées économiques »
“Canada–Newfoundland and Labrador benefits plan” means a plan submitted under subsection 45(2);
5. Section 7 of the Act is replaced by the following:
Approval of Provincial Minister
7. (1) Before a regulation is made under subsection 5(1), subsection 41(7), section 64, subsection 67(2), section 118, subsection 122(1), 125(1) or 149(1) or section 203, the Federal Minister shall consult the Provincial Minister with respect to the proposed regulation and no regulation shall be so made without the approval of the Provincial Minister.
Approval of Provincial minister
(2) Before a regulation is made under subsection 205.001(3) or (4) or 205.124(1), the Federal Minister shall consult the minister of the government of the Province who is responsible for occupational health and safety with respect to the proposed regulation and no regulation shall be so made without the approval of that minister.
6. Section 9 of the Act is amended by adding the following after subsection (1):
Change of name
(1.1) The name of the Canada-Newfoundland Offshore Petroleum Board is changed to Canada–Newfoundland and Labrador Offshore Petroleum Board and the Canada–Newfoundland and Labrador Offshore Petroleum Board is deemed to have been established under subsection (1).
References
(1.2) A reference in any contract, document, instrument, proclamation, by-law or order in council to the Canada-Newfoundland Offshore Petroleum Board is, unless the context otherwise requires, to be read as a reference to the Canada–Newfoundland and Labrador Offshore Petroleum Board.
7. (1) Paragraph 12(4)(b) of the Act is replaced by the following:
(b) if the two members of the panel fail to agree on the appointment of the chairperson of the panel within the 30-day period referred to in paragraph (a), by the Chief Justice of Newfoundland and Labrador within 30 days after the expiration of that period.
(2) Subsection 12(5) of the English version of the Act is replaced by the following:
Selection of Chairperson of Board within 60 days
(5) The Chairperson of the Board shall be selected by the panel within 60 days after the appointment of the chairperson of the panel.
8. Section 25 of the Act is amended by adding the following after subsection (4):
Application of Newfoundland and Labrador legislation
(4.1) Newfoundland and Labrador social legislation as defined in subsection 205.001(1), the provisions of the Labour Relations Act, R.S.N.L. 1990, c. L-1, as amended from time to time, and the provisions of the Occupational Health and Safety Act, R.S.N.L. 1990, c. O-3, as amended from time to time, and any regulations made under that legislation or those Acts, apply to persons employed under subsection (1).
Non-application of Canada Labour Code
(4.2) Despite section 4 and subsections 123(1) and 168(1) of the Canada Labour Code, that Act does not apply to persons employed under subsection (1).
9. The Act is amended by adding the following after section 26:
Audit and evaluation committee
26.1 (1) The Board shall appoint an audit and evaluation committee consisting of not fewer than three members of the Board and fix the duties and functions of the committee and may, by by-law, provide for the payment of expenses to the members of the committee.
Internal audit
(2) In addition to any other duties and functions that it is required to perform, the audit and evaluation committee shall cause internal audits to be conducted to ensure that the officers and employees of the Board act in accordance with management systems and controls established by the Board.
10. Subsection 29(2) of the Act is replaced by the following:
Contents of report
(2) Each annual report submitted under subsection (1) shall contain an audited financial statement and a description of the activities of the Board, including those relating to occupational health and safety, during the fiscal year covered by the report.
11. Paragraph 41(1)(c) of the Act is replaced by the following:
(c) the feedstock requirements of any refining facility located in the Province that was not in place on the coming into force of this Act, other than a facility referred to in paragraph (b), if the feedstock requirements required to satisfy the demand of industrial capacity, on the day of the coming into force of this Act, in Nova Scotia, New Brunswick, Prince Edward Island and Newfoundland and Labrador have been met.
12. (1) Paragraph 42(1)(d) of the English version of the Act is replaced by the following:
(d) Canada–Newfoundland and Labrador benefits plans and any of their provisions; and
(2) Section 42 of the Act is amended by adding the following after subsection (1):
Occupational health and safety directives
(1.1) The Federal Minister, on the recommendation of the Minister of Labour, and the minister of the government of the Province who is responsible for occupational health and safety, may jointly issue to the Board written directives in relation to
(a) the development of guidelines and interpretation notes with respect to occupational health and safety matters; and
(b) the implementation of any recommendations made by an auditor under section 205.119 or made following an inquiry under section 205.12.
(3) Subsections 42(2) and (3) of the English version of the Act are replaced by the following:
Directives binding
(2) The Board shall comply with a directive issued under this section.
Directives not statutory instruments
(3) Directives issued under this section are not statutory instruments for the purposes of the Statutory Instruments Act.
(4) Subsection 42(4) of the Act is replaced by the following:
Notice in Canada Gazette
(4) When a directive is issued under this section, a notice shall be published in the Canada Gazette that the directive has been issued and that the text of it is available for inspection by any person on request made to the Board.
13. Paragraph 44(2)(c) of the English version of the Act is replaced by the following:
(c) if the potential development has been proposed to the Board by any person, require that person to submit and make available for public distribution a preliminary development plan, an environmental impact statement, a socio-economic impact statement, a prelimi- nary Canada–Newfoundland and Labrador benefits plan and any other plan specified by the Board; and
14. The heading before section 45 of the English version of the Act is replaced by the following:
Canada–Newfoundland and Labrador Benefits Plan
15. (1) Subsection 45(1) of the English version of the Act is replaced by the following:
Definition of “Canada–Newfoundland and Labrador benefits plan”
45. (1) In this section, “Canada–Newfoundland and Labrador benefits plan” means a plan for the employment of Canadians and, in particular, members of the labour force of the Province and, subject to paragraph (3)(d), for providing manufacturers, consultants, contractors and service companies in the Province and other parts of Canada with a full and fair opportunity to participate on a competitive basis in the supply of goods and services used in any proposed work or activity referred to in the benefits plan.
1992, c. 35, s. 47
(2) Subsection 45(2) of the Act is replaced by the following:
Board approval of benefits plan
(2) Before the Board approves any development plan under subsection 139(4) or authorizes any work or activity under paragraph 138(1)(b), a Canada–Newfoundland and Labrador benefits plan shall be submitted to and approved by the Board, unless it directs that that requirement need not be complied with.
(3) The portion of subsection 45(3) of the English version of the Act before paragraph (a) is replaced by the following:
Particular provisions of plan
(3) A Canada–Newfoundland and Labrador benefits plan shall contain provisions intended to ensure that
(4) Subsections 45(4) to (6) of the English version of the Act are replaced by the following:
Affirmative action programs
(4) The Board may require that any Canada–Newfoundland and Labrador benefits plan include provisions to ensure that disadvantaged individuals or groups have access to training and employment opportunities and to enable those individuals or groups or corporations owned or cooperatives operated by them to participate in the supply of goods and services used in any proposed work or activity referred to in the benefits plan.
Duties of Board in reviewing plans
(5) In reviewing any Canada–Newfoundland and Labrador benefits plan, the Board shall consult with both Ministers on the extent to which the plan meets the requirements set out in subsections (1), (3) and (4).
Directives
(6) Subject to any directives issued under subsection 42(1), the Board may approve any Canada–Newfoundland and Labrador benefits plan.
16. Subsection 46(1) of the Act is amended by adding the following after paragraph (c):
(c.1) aviation regulation;
1988, c. 28, s. 257(F)
17. (1) Subsection 97(1) of the Act is replaced by the following:
Definition of “Petroleum and Natural Gas Act”
97. (1) In this Division, “Petroleum and Natural Gas Act” means Part II of the Petroleum and Natural Gas Act, R.S.N.L. 1990, c. P-10, as amended from time to time.
(2) Subsections 97(2) and (3) of the French version of the Act are replaced by the following:
Redevances
(2) Sont réservées à Sa Majesté du chef du Canada les redevances, intérêts et amendes qui seraient fixés sous le régime de la Loi sur le pétrole et le gaz naturel si la production provenait de la province. Chaque indivisaire d’une licence de production est tenu au paiement de ces redevances conformément au paragraphe (4).
Exception
(3) Les hydrocarbures objet de redevances sous le régime de la Loi sur le pétrole et le gaz naturel échappent à l’assujettissement du paragraphe (2).
(3) Subsection 97(4) of the Act is replaced by the following:
Application of Newfoundland and Labrador legislation
(4) Subject to this Act and the regulations, the Petroleum and Natural Gas Act and the regulations referred to in subsection (4.1) apply, with any modifications that the circumstances require, for the purposes of this section and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in Right of the province is to be read as a reference to Her Majesty in right of Canada; and
(b) a reference in that Act to the province is to be read as a reference to the offshore area.
Application of Newfoundland and Labrador regulations
(4.1) The following regulations apply for the purposes of subsection (4):
(a) any regulations made under the Petroleum and Natural Gas Act; and
(b) any regulations made under an Act that was replaced by the Petroleum and Natural Gas Act, to the extent that those regulations remain in force in accordance with the laws of the Province and are not inconsistent with the Petroleum and Natural Gas Act.
(4) Subsection 97(5) of the French version of the Act is replaced by the following:
Interdiction des parts de la Couronne
(5) Les dispositions de la Loi sur le pétrole et le gaz naturel et de ses règlements n’ont pas pour effet de réserver à Sa Majesté une part de la Couronne sur les titres extracôtiers.
18. Subsection 98(6) of the French version of the Act is replaced by the following:
Imputation
(6) L’accord peut prévoir, selon les modalités déterminées, que toute somme reçue par le gouvernement de la province, sous le régime de l’article 97, ou sous celui de l’article 97 et de la Loi sur le pétrole et le gaz naturel, peut être imputée par celui-ci sur les sommes — impôts, taxes, intérêts, amendes ou autres — à payer par la personne assujettie sous leur régime en dépit de toute indication contraire de celle-ci ou l’absence d’indication.
19. The definition “court” in subsection 102(1) of the Act is replaced by the following:
“court”
« tribunal »
“court” means the Trial Division of the Supreme Court of Newfoundland and Labrador and includes any of its judges;
20. Subsection 123(1) of the Act is replaced by the following:
Notice to comply
123. (1) If the Board has reason to believe that an interest owner or holder is failing or has failed to meet any requirement of this Part or Part III or III.1 or any regulation made under any of those Parts, the Board may give notice to that interest owner or holder requiring compliance with the requirement within 90 days after the day on which the notice is given or within any longer period that the Board considers appropriate.
21. Subsection 124(10) of the Act is replaced by the following:
Judicial review
(10) Any order, decision or action in respect of which a hearing is held under this section is subject to review and to be set aside by the Trial Division of the Supreme Court of Newfoundland and Labrador.
22. (1) Section 138 of the Act is amended by adding the following after subsection (3):
Copy to Chief Safety Officer
(3.1) On receipt by the Board of an application for an authorization for a work or activity referred to in paragraph (1)(b) or of an application to amend such an authorization, the Board shall provide a copy of the application to the Chief Safety Officer.
(2) Section 138 of the Act is amended by adding the following after subsection (4):
Limitation
(4.1) The approvals, requirements and deposits that are determined, granted or prescribed shall not be inconsistent with the provisions of this Act or the regulations.
1992, c. 35, s. 58
(3) Paragraphs 138(5)(a) and (b) of the Act are replaced by the following:
(a) a requirement, approval, fee or deposit, determined by the Board in accordance with the provisions of this Part or Part III.1 or granted or prescribed by regulations made under either of those Parts, subject to which the licence or authorization was issued;
(b) a requirement undertaken in a declaration referred to in subsection 139.1(1);
(4) Subsection 138(5) of the Act is amended by striking out “or” at the end of paragraph (c) and by adding the following after that paragraph:
(c.1) any provision of Part III.1; or
1992, c. 35, s. 60
23. Subsection 139.1(2) of the Act is repealed.
1992, c. 35, s. 61
24. Section 140 of the Act is replaced by the following:
Designation
140. The Board may, for the purposes of this Act, designate any person as the Chief Safety Officer and any other person as the Chief Conservation Officer. However, the Chief Executive Officer may not be designated as the Chief Safety Officer.
1992, c. 35, s. 61
25. Section 140.1 of the Act is replaced by the following:
Order
140.1 For the purposes of this Act, an order made by an operational safety officer, the Chief Safety Officer, a conservation officer, the Chief Conservation Officer, the Committee or a health and safety officer as defined in subsection 205.001(1) is not a statutory instrument as defined in the Statutory Instruments Act.
26. Section 148 of the Act is replaced by the following:
Enforcement of Committee orders
148. (1) Any order made by the Committee may, for the purpose of its enforcement, be made an order of the Supreme Court of Newfoundland and Labrador and shall be enforced in the same manner as any order of that Court.
Procedure for enforcement
(2) To make an order of the Committee an order of the Supreme Court of Newfoundland and Labrador, the practice and procedure established by the Provincial Act for making any order an order of that Court may be followed.
When order rescinded or replaced
(3) When an order of the Committee has been made an order of the Supreme Court of Newfoundland and Labrador, any order of the Committee, or of the Board under section 186, rescinding or replacing the first mentioned order of the Committee, has the effect of cancelling the order of the Court and may in the same manner be made an order of the Court.
1992, c. 35, s. 64
27. Paragraphs 151(1)(a) and (b) of the Act are replaced by the following:
(a) authorize the use of equipment, methods, measures or standards in lieu of any required by any regulation made under section 149, if those Officers are satisfied that the use of that other equipment and those other methods, measures or standards would provide a level of safety, protection of the environment and conservation equivalent to that provided by compliance with the regulations; or
(b) grant an exemption from any requirement imposed, by any regulation made under section 149, in respect of equipment, methods, measures or standards, if those Officers are satisfied with the level of safety, protection of the environment and conservation that will be achieved without compliance with that requirement.
1988, c. 28, s. 261; 1992, c. 35, s. 66; 1999, c. 31, s. 29
28. Section 152 of the Act is repealed.
1992, c. 35, s. 74(2)(E)
29. Subsection 161(3) of the Act is replaced by the following:
Duty to take reasonable measures
(3) Every person required to report a spill under subsection (2) shall, as soon as possible, take all reasonable measures consistent with safety and the protection of health and the environment to prevent any further spill, to repair or remedy any condition resulting from the spill and to reduce or mitigate any damage or danger that results or may reasonably be expected to result from the spill.
30. (1) Subsection 185(1) of the Act is replaced by the following:
Stated case for Supreme Court of Newfoundland and Labrador
185. (1) The Committee may of its own motion or at the request of the Board state a case, in writing, for the opinion of the Trial Division of the Supreme Court of Newfoundland and Labrador on any question that in the opinion of the Committee is a question of law or of the jurisdiction of the Committee.
(2) Subsection 185(2) of the English version of the Act is replaced by the following:
Proceedings on case
(2) The Trial Division of the Supreme Court of Newfoundland and Labrador shall hear and determine the case stated, and remit the matter to the Committee with the opinion of the Court on the matter.
31. (1) Subsection 187(1) of the Act is replaced by the following:
Appeal to Supreme Court of Newfoundland and Labrador
187. (1) An appeal lies from a decision or order of the Committee to the Trial Division of the Supreme Court of Newfoundland and Labrador on a question of law, on leave being obtained from that Court, in accordance with the practice of that Court, on application made within one month after the making of the decision or order sought to be appealed from or within any further time that that Court may allow.
(2) Subsection 187(3) of the English version of the Act is replaced by the following:
Powers of Court
(3) After the hearing of the appeal, the Trial Division of the Supreme Court of Newfoundland and Labrador shall certify its opinion to the Committee and the Committee shall make any order necessary to comply with that opinion.
1992, c. 35, s. 80
32. The heading before section 188 of the English version of the Act is replaced by the following:
Operational Safety Officers and Conservation Officers
1992, c. 35, s. 80
33. Sections 188 and 189 of the Act are replaced by the following:
Operational safety officers
188. (1) Subject to subsection (4), the Federal Minister and the Provincial Minister shall jointly designate as an operational safety officer for the purposes of the administration and enforcement of this Part an individual who has been recommended by the Board. The Ministers shall make the designation within 30 days after the day on which they receive the name of the individual from the Board.
Conservation officers
(2) Subject to subsection (4), the Federal Minister and the Provincial Minister shall jointly designate as a conservation officer for the purposes of the administration and enforcement of this Part an individual who has been recommended by the Board. The Ministers shall make the designation within 30 days after the day on which they receive the name of the individual from the Board.
Notice of designation
(3) The Ministers shall, without delay after making a designation, notify the Board, in writing, that the designation has been made.
Restriction
(4) The Ministers shall not designate an individual if they are not satisfied that the individual is qualified to exercise the powers and carry out the duties and functions of an operational safety officer or a conservation officer, as the case may be, under this Part. If an individual is not designated, the Ministers shall without delay notify the Board of it, in writing.
Indemnification
(5) An individual designated under subsection (1) or (2) who is not an employee of the Board is deemed to be an officer for the purposes of section 16.
Orders for verifying compliance
189. (1) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may, for the purpose of verifying compliance with this Part, order any person in charge of a place that is used for any work or activity in respect of which this Part applies or any other place in which that officer has reasonable grounds to believe that there is anything to which this Part applies
(a) to inspect anything in the place;
(b) to pose questions, or conduct tests or monitoring, in the place;
(c) to take photographs or measurements, or make recordings or drawings, in the place;
(d) to accompany or assist the officer while the officer is in the place;
(e) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(f) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(g) to ensure that all or part of the place, or anything located in the place, that is under their control, not be disturbed for a reasonable period specified by the officer pending the exercise of any powers under this section; and
(h) to remove anything from the place and to provide it to the officer, in the manner that he or she specifies, for examination, testing or copying.
Powers on entry
(2) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may, for the purpose of verifying compliance with this Part, and subject to section 189.2, enter a place that is used for any work or activity in respect of which this Part applies or any other place in which that officer has reasonable grounds to believe that there is anything to which this Part applies, and may for that purpose
(a) inspect anything in the place;
(b) pose questions, or conduct tests or monitoring, in the place;
(c) take samples from the place, or cause them to be taken, for examination or testing, and dispose of those samples;
(d) remove anything from the place, or cause it to be removed, for examination, testing or copying;
(e) while at the place, take or cause to be taken photographs or measurements, make or cause to be made recordings or drawings or use systems in the place that capture images or cause them to be used;
(f) use any computer system in the place, or cause it to be used, to examine data contained in or available to it;
(g) prepare a document, or cause one to be prepared, based on data contained in or available to the computer system;
(h) use any copying equipment in the place, or cause it to be used, to make copies;
(i) be accompanied while in the place by any individual, or be assisted while in the place by any person, that the officer considers necessary; and
(j) meet in private with any individual in the place, with the agreement of that individual.
Clarification
(3) For greater certainty, an officer who has entered a place under subsection (2) may order any individual in the place to do anything described in paragraphs (1)(a) to (h).
Return of things removed
(4) Anything removed under paragraph (1)(h) or (2)(d) for examination, testing or copying shall, if requested by the person from whom it was removed, be returned to that person after the examination, testing or copying is completed, unless it is required for the purpose of a prosecution under this Part.
Reports provided to holder of authorization
189.1 An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, as the case may be, shall provide written reports to the holder of an authorization about anything inspected, tested or monitored, by or on the order of the officer, for the purpose of verifying compliance with this Part, at any place that is used for a work or activity for which the authorization is issued.
Entering living quarters
189.2 (1) If the place referred to in subsection 189(2) is living quarters
(a) neither a conservation officer nor the Chief Conservation Officer is authorized to enter those quarters for the purpose of verifying compliance with this Part; and
(b) an operational safety officer or the Chief Safety Officer is not authorized to enter those quarters without the consent of the occupant except
(i) to execute a warrant issued under subsection (4), or
(ii) to verify that those quarters, if on a marine installation or structure, as defined in subsection 205.001(1), are in a structur- ally sound condition.
Notice
(2) The officer shall provide reasonable notice to the occupant before entering living quarters under subparagraph (1)(b)(ii).
Exception
(3) Despite subparagraph (1)(b)(ii), any locker in the living quarters that is fitted with a locking device and that is assigned to the occupant shall not be opened by the officer without the occupant’s consent except under the authority of a warrant issued under subsection (4).
Authority to issue warrant
(4) On ex parte application, a justice of the peace may issue a warrant authorizing an operational safety officer who is named in it or the Chief Safety Officer to enter living quarters subject to any conditions specified in the warrant if the justice is satisfied by information on oath that
(a) the living quarters are a place referred to in subsection 189(2);
(b) entry to the living quarters is necessary to verify compliance with this Part; and
(c) entry was refused by the occupant or there are reasonable grounds to believe that entry will be refused or that consent to entry cannot be obtained from the occupant.
Authority to open locker
(5) The warrant may also authorize a locker described in subsection (3) to be opened, subject to any conditions specified in the warrant, if the justice is satisfied by information on oath that
(a) it is necessary to open the locker to verify compliance with this Part; and
(b) the occupant to whom it is assigned refused to allow it to be opened or there are reasonable grounds to believe that the occupant to whom it is assigned will refuse to allow it to be opened or that consent to opening it cannot be obtained from that occupant.
Use of force
(6) The officer who executes a warrant issued under subsection (4) shall not use force unless the use of force has been specifically authorized in the warrant.
Telewarrant provisions to apply
(7) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by an operational safety officer or the Chief Safety Officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Definition of “living quarters”
(8) In this section, “living quarters” means sleeping quarters provided for employees, as defined in subsection 205.001(1), on a marine installation or structure, as defined in that subsection, and any room for the exclusive use of the occupants of those quarters that contains a toilet or a urinal.
1992, c. 35, s. 80
34. Section 190 of the English version of the Act is replaced by the following:
Certificate to be produced
190. The Board shall provide every operational safety officer and conservation officer and the Chief Safety Officer and the Chief Conservation Officer with a certificate of appointment or designation and, on entering any place under the authority of this Part, the officer shall, if so required, produce the certificate to the person in charge of the place.
1992, c. 35, s. 80
35. Sections 191 and 192 of the Act are replaced by the following:
Assistance to officers
191. (1) The owner of, and every person in charge of, a place entered by an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer under subsection 189(2), and every person found in that place, shall give all assistance that is reasonably required to enable the officer to verify compliance with this Part and provide any documents, data or information that are reasonably required for that purpose.
Transportation, accommodation and food
(2) If the place referred to in subsection 189(2) is a marine installation or structure, as defined in subsection 205.001(1), the person in charge of the marine installation or structure shall provide to the officer, and to every individual accompanying the officer, free of charge,
(a) suitable transportation between the usual point of embarkation on shore and the marine installation or structure, between the marine installation or structure and the usual point of disembarkation on shore, and between marine installations or structures, if the marine installation or structure or marine installations or structures are situated in the offshore area; and
(b) suitable accommodation and food at the marine installation or structure.
Obstruction of officers and making of false statements
192. No person shall obstruct or hinder, or make a false or misleading statement either orally or in writing to, an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer while the officer is engaged in carrying out his or her duties or functions under this Part.
Authority to issue warrant
192.1 (1) On ex parte application, a justice of the peace may issue a warrant if the justice is satisfied by information on oath that there are reasonable grounds to believe that there is in any place anything that will provide evidence or information relating to the commission of an offence under this Part.
Powers under warrant
(2) The warrant may authorize an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, and any other individual named in the warrant, to at any time enter and search the place and to seize anything specified in the warrant, or do any of the following as specified in it, subject to any conditions that may be specified in it:
(a) conduct examinations, tests or monitoring;
(b) take samples for examination or testing, and dispose of those samples; or
(c) take photographs or measurements, make recordings or drawings, or use systems in the place that capture images.
Where warrant not necessary
(3) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may exercise the powers described in this section without a warrant if the conditions for obtaining the warrant exist but by reason of exigent circumstances it would not be feasible to obtain one.
Exigent circumstances
(4) Exigent circumstances include circumstances in which the delay necessary to obtain the warrant would result in danger to human life or the environment or the loss or destruction of evidence.
Operation of computer system and copying equipment
(5) An individual authorized under this section to search a computer system in a place may
(a) use or cause to be used any computer system at the place to search any data contained in or available to the computer system;
(b) reproduce or cause to be reproduced any data in the form of a printout or other intelligible output;
(c) seize any printout or other output for examination or copying; and
(d) use or cause to be used any copying equipment at the place to make copies of the data.
Duty of person in charge of place
(6) Every person who is in charge of a place in respect of which a search is carried out under this section shall, on presentation of the warrant, permit the individual carrying out the search to do anything described in subsection (5).
Transportation, accommodation and food
(7) The person in charge of a marine installation or structure, as defined in subsection 205.001(1), shall provide to an individual who is executing a warrant under this section at the marine installation or structure, free of charge,
(a) suitable return transportation between the marine installation or structure and any location from which transportation services to that marine installation or structure are usually provided, and between marine installations or structures, if the marine installation or structure or marine installations or structures are situated in the offshore area; and
(b) suitable accommodation and food at the marine installation or structure.
Telewarrant provisions to apply
(8) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Storage and removal
192.2 (1) A thing seized under this Part may be stored in the place where it was seized or may, at the discretion of an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, be removed to any other place for storage. The owner of the thing or the person who is lawfully entitled to possess it shall pay the costs of storage or removal.
Perishable things
(2) If the thing seized is perishable, an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may destroy the thing, or otherwise dispose of it in any manner the officer considers appropriate. Any proceeds realized from its disposition shall be paid to the Receiver General.
1992, c. 35, s. 80
36. Subsections 193(1) to (4) of the English version of the Act are replaced by the following:
Power of operational safety officer
193. (1) If an operational safety officer or the Chief Safety Officer, on reasonable grounds, is of the opinion that continuation of an operation in relation to the exploration or drilling for or the production, conservation, processing or transportation of petroleum in any portion of the offshore area is likely to result in serious bodily injury, the operational safety officer or Chief Safety Officer, as the case may be, may order that the operation cease or be continued only in accordance with the terms of the order.
Notice
(2) The officer who makes an order under subsection (1) shall affix at or near the scene of the operation a notice of the order in prescribed form.
Expiry of order
(3) An order made by an operational safety officer under subsection (1) expires 72 hours after it is made unless it is confirmed before that time by order of the Chief Safety Officer.
Modification or revocation
(4) Immediately after an operational safety officer makes an order under subsection (1), they shall advise the Chief Safety Officer accordingly, and the Chief Safety Officer may modify or revoke the order.
1992, c. 35, s. 80
37. Section 193.1 of the English version of the Act is replaced by the following:
Priority
193.1 An order made by an operational safety officer or the Chief Safety Officer prevails over an order made by a conservation officer or the Chief Conservation Officer to the extent of any inconsistency between the orders.
1992, c. 35, s. 80
38. Subsection 193.2(3) of the Act is replaced by the following:
Emergency
(3) In a prescribed emergency situation, an installation manager’s powers are extended so that they also apply to each person in charge of a vessel, vehicle or aircraft that is at the installation or that is leaving or approaching it.
1992, c. 35, s. 81
39. (1) Paragraphs 194(1)(b) and (c) of the Act are replaced by the following:
(b) makes any false entry or statement in any report, record or document required by this Part or the regulations or by any order made under this Part or the regulations;
(c) destroys, mutilates or falsifies any report or other document required by this Part or the regulations or by any order made under this Part or the regulations;
1992, c. 35, s. 81
(2) Paragraphs 194(1)(e) and (f) of the Act are replaced by the following:
(e) undertakes or carries on a work or activity without an authorization under paragraph 138(1)(b) or without complying with the approvals or requirements, determined by the Board in accordance with the provisions of this Part or granted or prescribed by regulations made under this Part, of an authorization issued under that paragraph; or
(f) fails to comply with a direction, requirement or order of an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer or with an order of an installation manager or the Committee.
(3) Section 194 of the Act is amended by adding the following after subsection (2):
Due diligence defence
(3) No person shall be found guilty of an offence under this Part if they establish that they exercised due diligence to prevent the commission of the offence.
40. The Act is amended by adding the following after section 194:
Offence by officers, etc., of corporation
195. (1) If a corporation commits an offence under this Part, any of the following individuals who directed, authorized, assented to, acquiesced in or participated in the commission of the offence is a party to and guilty of the offence and is liable on conviction to the punishment provided for the offence, whether or not the corporation has been prosecuted or convicted:
(a) an officer, director or agent of the corporation; and
(b) any other individual exercising managerial or supervisory functions in the corporation.
Offence by employee or agent
(2) In a prosecution for an offence under this Part, it is sufficient proof of the offence to establish that it was committed by an employee or agent of the accused, whether or not the employee or agent is identified or has been prosecuted for the offence.
Imprisonment precluded in certain cases
195.1 If an individual is convicted of an offence under this Part on proceedings by way of summary conviction, no imprisonment may be imposed in default of payment of any fine imposed as punishment.
Orders of court
195.2 (1) If a person is convicted of an offence under this Part, the court may, having regard to the nature of the offence and the circumstances surrounding its commission, in addition to any other punishment that may be imposed under this Part, make an order that has any or all of the following effects:
(a) prohibiting the offender from committing an act or engaging in an activity that may, in the opinion of the court, result in the continuation or repetition of the offence;
(b) directing the offender to take any meas- ures that the court considers appropriate to avoid any injury or damage that may result from the act or omission that constituted the offence, or to remedy any injury or damage resulting from it;
(c) directing the offender, at the offender’s own expense, to publish, in any manner that the court directs, the facts relating to the offence;
(d) directing the offender to submit to the Chief Safety Officer, on application by the Chief Safety Officer within three years after the conviction, any information with respect to the offender’s activities that the court considers appropriate in the circumstances;
(e) directing the offender to pay to the Board an amount of money that the court considers appropriate for the purpose of conducting research, education and training in matters related to the protection of the environment, conservation of petroleum resources or safety of petroleum operations;
(f) directing the offender to perform community service, subject to any reasonable conditions that may be imposed by the court;
(g) directing the offender to post a bond or pay an amount of money into court that the court considers appropriate to ensure that the offender complies with any prohibition, direction, requirement or condition that is specified in the order; and
(h) requiring the offender to comply with any conditions that the court considers appropriate in the circumstances for securing the offender’s good conduct and for preventing the offender from repeating the same offence or committing another offence under this Part.
Coming into force and duration of order
(2) An order made under subsection (1) comes into force on the day on which the order is made or on any other day that the court may determine, but shall not continue in force for more than three years after that day.
Publication
(3) If an offender does not comply with an order under paragraph (1)(c) requiring the publication of facts relating to the offence, the Chief Safety Officer may publish the facts and recover the costs of publication from the offender.
Variation of sanctions
195.3 (1) Subject to subsection (2), if a court has made, in relation to an offender, an order under subsection 195.2(1), the court may, on application by the offender or the Chief Safety Officer, require the offender to appear before it and, after hearing the offender and the Chief Safety Officer, vary the order in one or more of the following ways that the court considers appropriate because of a change in the circumstances of the offender since the order was made:
(a) by making changes to any prohibition, direction, requirement or condition that is specified in the order or by extending the time during which the order is to remain in force for any period, not exceeding one year, that the court considers appropriate; or
(b) by decreasing the time during which the order is to remain in force or by relieving the offender, either absolutely or partially or for any period that the court considers appropriate, of compliance with any condition that is specified in the order.
Notice
(2) Before making an order under subsection (1), the court may direct that notice be given to any persons that the court considers to be interested and may hear any of those persons.
Subsequent applications with leave
195.4 If an application made under subsection 195.3(1) in relation to an offender has been heard by a court, no other application may be made under section 195.3 in relation to the offender except with leave of the court.
Recovery of fines and amounts
195.5 If a person is convicted of an offence under this Part and a fine that is imposed is not paid when required or if a court orders an offender to pay an amount under subsection 195.2(1) or 195.3(1), the prosecutor may, by filing the conviction or order, as the case may be, enter as a judgment the amount of the fine or the amount ordered to be paid, and costs, if any, in the Supreme Court of Newfoundland and Labrador, and the judgment is enforceable against the person in the same manner as if it were a judgment rendered against them in that Court in civil proceedings.
41. Section 199 of the Act is replaced by the following:
Time limited for summary conviction proceedings
199. Proceedings by way of summary conviction for an offence under this Part may be instituted at any time within but no later than three years after the day on which the subject-matter of the proceedings arose, unless the prosecutor and the defendant otherwise agree.
42. Section 200 of the French version of the Act is replaced by the following:
Preuve
200. Dans les poursuites pour infraction à la présente partie et en l’absence de preuve contraire, une copie de tout arrêté ou autre document respectivement pris ou établi en vertu de la présente partie ou de ses règlements et signée par la personne autorisée en vertu de la présente partie ou de ses règlements à le prendre ou à l’établir fait foi, sauf preuve contraire, de son contenu.
43. The Act is amended by adding the following after section 202:
Information
202.1 In any proceedings for an offence under this Part
(a) an information may include more than one offence committed by the same person;
(b) all those offences may be tried concurrently; and
(c) one conviction for any or all offences so included may be made.
44. Section 204 of the French version of the Act is replaced by the following:
Portée
204. La présente partie s’applique aux titres, droits ou intérêts pétroliers ou gaziers acquis ou octroyés avant l’entrée en vigueur du présent article et lie Sa Majesté du chef du Canada ou d’une province.
45. The Act is amended by adding the following after section 205:
PART III.1
OCCUPATIONAL HEALTH AND SAFETY
Interpretation
Definitions
205.001 (1) The following definitions apply in this Part.
“authorization”
« autorisation »
“authorization” means an authorization issued under paragraph 138(1)(b).
“Chief Safety Officer”
« délégué à la sécurité »
“Chief Safety Officer” means the person designated as the Chief Safety Officer under section 140.
“committee”
« comité »
“committee” means a special committee and a workplace committee.
“coordinator”
« coordonnateur »
“coordinator” means an employee designated under subsection 205.045(1) to act as an occupational health and safety coordinator.
“declaration”
« déclaration »
“declaration” means a declaration referred to in subsection 139.1(1).
“employee”
« employé »
“employee” means an individual who, in return for monetary compensation, performs work or services for an employer in respect of a work or activity for which an authorization has been issued.
“employer”
« employeur »
“employer” means a person who employs or contracts for the services of any individual in respect of a work or activity for which an authorization has been issued, if that person has the power to exercise direction and control over the individual’s work at the workplace.
“hazardous substance”
« substance dangereuse »
“hazardous substance” includes a controlled product and any chemical, biological or physical agent that, by reason of a property that the agent possesses, is hazardous to the health or safety of an individual exposed to it.
“health and safety officer”
« agent de santé et de sécurité »
“health and safety officer” means an occupational health and safety officer or a special officer.
“interest holder”
Version anglaise seulement
“interest holder” has the same meaning as in section 47.
“marine installation or structure”
« ouvrage en mer »
“marine installation or structure”
(a) includes
(i) any ship, including any ship used for construction, production or diving or for geotechnical or seismic work,
(ii) any offshore drilling unit, including a mobile offshore drilling unit,
(iii) any production platform, subsea installation, pipeline as defined in section 135, pumping station, living accommodation, storage structure or loading or landing platform, and
(iv) any other work, or work within a class of works, prescribed under paragraph (4)(a); but
(b) does not include
(i) any vessel, including any supply vessel, standby vessel, shuttle tanker or seismic chase vessel, that provides any supply or support services to a ship, installation, structure, work or anything else described in paragraph (a), unless the vessel is within a class of vessels that is prescribed under paragraph (4)(b), or
(ii) any ship or vessel within a class of ships or vessels prescribed under paragraph (4)(c).
“Newfoundland and Labrador social legislation”
« lois sociales »
“Newfoundland and Labrador social legislation” means the provisions of the following Acts, as those Acts are amended from time to time: the Communicable Diseases Act, R.S.N.L. 1990, c. C-26, the Food and Drug Act, R.S.N.L. 1990, c. F-21, the Health and Community Services Act, S.N.L. 1995, c. P-37.1, the Human Rights Act, 2010, S.N.L. 2010, c. H-13.1, the Labour Standards Act, R.S.N.L. 1990, c. L-2, the Public Safety Act, S.N.L. 1996, c. P-41.01, the Radiation Health and Safety Act, R.S.N.L. 1990, c. R-1, and the Workplace Health, Safety and Compensation Act, R.S.N.L. 1990, c. W-11.
“occupational health and safety officer”
« agent de santé et de sécurité au travail »
“occupational health and safety officer” means an individual designated by the Federal Minister under section 205.071.
“operator”
« exploitant »
“operator” means a person who holds an authorization.
“owner”
« propriétaire »
“owner” means a person who has a right, title or interest, including a leasehold interest, recognized by law, in a marine installation or structure that is used or is to be used as a workplace, or any entity in which the person has vested all or any part of their right, title or interest.
“passenger craft”
« véhicule de transport »
“passenger craft” means any aircraft or vessel used to transport employees to or from a workplace while — and immediately before — it is transporting them.
“person”
« personne »
“person” includes individuals, corporations and partnerships.
“personal protective equipment”
« équipement de protection personnelle »
“personal protective equipment” includes personal protective clothing, personal protective devices and personal protective materials.
“provider of services”
« fournisseur de services »
“provider of services” means a person who, for commercial gain,
(a) provides services related to the placement with an operator or employer of individuals who, in return for monetary compensation, perform work or services for the operator or employer at a workplace; or
(b) provides services that affect or could affect the health or safety of employees or other individuals at a workplace or on a passenger craft, including engineering serv- ices, architectural services, the services of a certifying authority referred to in subsection 139.2(6), or the services of any person who provides information or advice, issues a certificate or affixes a professional seal or stamp.
“provincial labour relations board”
Version anglaise seulement
“provincial labour relations board” means the Labour Relations Board continued under the Labour Relations Act, R.S.N.L. 1990, c. L-1, as amended from time to time.
“Provincial Minister”
« ministre provincial »
“Provincial Minister” means the minister of the government of the Province who is responsible for occupational health and safety.
“special committee”
« comité spécial »
“special committee” means a special committee established under section 205.046.
“special officer”
« agent spécial »
“special officer” means an individual designated under section 205.072.
“supervisor”
« superviseur »
“supervisor” means an employee who is in charge of a workplace or part of a workplace or who has authority over other employees.
“supplier”
« fournisseur de biens »
“supplier” means a person who, for commercial gain, manufactures, supplies, sells, leases, distributes or installs any tool, equipment, machine or device, any biological, chemical, or physical agent or any other prescribed thing, to be used at a workplace or on a passenger craft.
“union”
« syndicat »
“union” means a trade union as defined in the Labour Relations Act, R.S.N.L. 1990, c. L-1, as amended from time to time, that has the status of a bargaining agent under that Act in respect of any bargaining unit at a workplace, or any organization representing employees that has exclusive bargaining rights under any other Act of the Legislature of the Province in respect of those employees.
“workplace”
« lieu de travail »
“workplace” means
(a) any marine installation or structure where an employee is employed in connection with a work or activity for which an authorization has been issued;
(b) any workboat used by an employee, and operated from a marine installation or structure, to perform routine maintenance or repair work in connection with a work or activity for which an authorization has been issued; and
(c) any dive site from which, and any underwater area at which, a diving operation is conducted by an employee in connection with a work or activity for which an authorization has been issued.
“workplace committee”
« comité du lieu de travail »
“workplace committee” means a workplace committee established under section 205.043.
Hazardous Products Act definitions
(2) In this Part, “controlled product”, “hazard symbol”, “Ingredient Disclosure List”, “label” and “material safety data sheet” have the same meanings as in section 2 and subsection 11(1) of the Hazardous Products Act. Subsection 11(2) of that Act also applies for the purposes of this Part.
Regulations
(3) Subject to section 7 and on the recommendation of the Federal Minister and the Minister of Labour, the Governor in Council may make regulations
(a) defining “danger”, “dive site”, “diving operation” and “incident” for the purposes of this Part; and
(b) amending the definition “Newfoundland and Labrador social legislation” in subsection (1) to add any Act of the Legislature of the Province or to remove any Act from the definition.
Regulations
(4) Subject to section 7 and on the recommendation of the Federal Minister, the Minister of Labour and the Minister of Transport, the Governor in Council may make regulations
(a) prescribing a work or a class of works for the purposes of subparagraph (a)(iv) of the definition “marine installation or structure” in subsection (1);
(b) prescribing a class of vessels for the purposes of subparagraph (b)(i) of the definition “marine installation or structure” in subsection (1); and
(c) prescribing a class of ships or vessels for the purposes of subparagraph (b)(ii) of the definition “marine installation or structure” in subsection (1).
Employees in transit
(5) For the purposes of sections 205.005, 205.007 and 205.008, an employee is deemed to be at a workplace within the offshore area while — and immediately before — the employee is being transported on a passenger craft between the last point of embarkation on shore and the workplace, between the workplace and the first point of disembarkation on shore, or between workplaces.
Her Majesty
Binding on Her Majesty
205.002 This Part is binding on Her Majesty in right of Canada or a province.
Application
Application of Part
205.003 (1) This Part applies to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Employees and other passengers in transit
(2) This Part also applies to employees and other passengers while — and immediately before — being transported on a passenger craft between the last point of embarkation on shore and the workplace, between the workplace and the first point of disembarkation on shore, or between workplaces.
Non-application of Parts II and III of Canada Labour Code
205.004 Despite subsections 123(1) and 168(1) of the Canada Labour Code and any other Act of Parliament, Parts II and III of the Canada Labour Code do not apply to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Non-application of Canadian Human Rights Act
205.005 The Canadian Human Rights Act does not apply to or in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Non-application of Non-smokers’ Health Act
205.006 The Non-smokers’ Health Act does not apply to or in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Application of Newfoundland and Labrador social legislation
205.007 (1) Newfoundland and Labrador social legislation and any regulations made under it apply to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Inconsistency or conflict
(2) In the event of an inconsistency or conflict between the provisions of this Act, or any regulations made under it, and the provisions of Newfoundland and Labrador social legislation or any regulations made under that legislation, the provisions of this Act and the regulations made under it prevail to the extent of the inconsistency or conflict.
Application of Labour Relations Act, R.S.N.L. 1990, c. L-1
205.008 (1) Despite section 4 of the Canada Labour Code and any other Act of Parliament, the provisions of the Labour Relations Act, R.S.N.L. 1990, c. L-1, as amended from time to time, and any regulations made under it, apply to and in respect of
(a) a marine installation or structure that is situated within the offshore area in connection with the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area and that is in the offshore area for the purpose of becoming, or that is, permanently attached to, permanently anchored to or permanently resting on the seabed or subsoil of the submarine areas of the offshore area;
(b) any workboat used by an employee, and operated from a marine installation or structure, to perform routine maintenance or repair work in connection with a work or activity for which an authorization has been issued; and
(c) a dive site from which, and any underwater area at which, a diving operation is conducted by an employee in connection with a work or activity for which an authorization has been issued.
Application of Part I of Canada Labour Code
(2) Part I of the Canada Labour Code applies to and in respect of a marine installation or structure that is situated within the offshore area in connection with the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area if subsection (1) does not apply to or in respect of the marine installation or structure.
Purpose
Prevention of accidents and injury
205.009 (1) The purpose of this Part is to prevent accidents and injury arising out of, linked to or occurring in the course of employment to which this Part applies, in particular by
(a) allocating responsibility for occupational health and safety among the Board and the persons, unions and committees having obligations under this Part; and
(b) establishing a framework for them to exercise their rights and carry out their obligations.
Preventive measures
(2) Preventive measures should first aim at the elimination of hazards, then the reduction of the risks posed by the hazards and finally, the taking of protective measures, all with the goal of ensuring the health and safety of employees.
Allocation of Responsibility
Principles
205.01 (1) The allocation of responsibility for occupational health and safety is based on the following principles:
(a) operators have overall responsibility; and
(b) operators, employers, suppliers, provid- ers of services, employees, supervisors, owners and interest holders have individual and shared responsibilities, and are responsible for cooperating with each other and coordinating their activities related to occupational health and safety.
Specific obligations not to limit general obligations
(2) For greater certainty, the imposition of any specific obligation under this Part shall not be construed as limiting the generality of any other obligation under this Part.
Duties of Operators
Duty to establish occupational health and safety policy
205.011 (1) Every operator shall develop an occupational health and safety policy governing its workplaces.
Contents
(2) The policy shall be set out in writing and contain
(a) the commitments of the operator related to occupational health and safety, including its commitment to cooperate with employees with regard to health and safety;
(b) the responsibilities of the employers at any of the operator’s workplaces related to occupational health and safety; and
(c) any prescribed requirements.
Duty to review
(3) The operator shall review the policy at least every three years in consultation with each workplace committee that it establishes and with each employer at any of the operator’s workplaces.
Duty to take reasonable measures
205.012 Every operator shall take all reasonable measures to ensure the health and safety of all employees and other individuals at its workplaces and of all employees or other passengers while — and immediately before — being transported on a passenger craft to or from any of those workplaces.
Specific duties — workplace
205.013 Every operator shall, in respect of each of its workplaces,
(a) ensure the coordination of all work and activities for which an authorization has been issued to the operator;
(b) comply with its occupational health and safety management system, and ensure that all employers, supervisors and employees at, owners of and providers of services to the workplace comply with that system;
(c) ensure that information necessary for the health and safety of employees and other individuals at the workplace is communicated to them;
(d) ensure that all employers, supervisors and employees at, owners of and suppliers and providers of services to the workplace comply with the provisions of this Part and the regulations made under this Part;
(e) ensure that each employee at the workplace is made aware of known or foreseeable health or safety hazards;
(f) ensure that all work and activities for which an authorization has been issued are conducted so as to minimize the exposure to hazards, including hazardous substances, of all employees and other individuals at the workplace;
(g) ensure that any installations, facilities, equipment and materials at the workplace are properly installed, stored and maintained and are safe for their intended use;
(h) ensure that all employees and other individuals at the workplace conduct themselves so as to minimize their exposure to hazards, including hazardous substances;
(i) ensure that all employees and other individuals at the workplace are provided with the facilities and personal protective equipment — including any that are prescribed — necessary for their health and safety;
(j) ensure that all employees and other individuals at the workplace are provided with the information and training — including any that are prescribed — required for the proper use of personal protective equipment that is prescribed or that is required by the operator to be used or worn;
(k) ensure that all employees and other individuals at the workplace are provided with the instruction, training and supervision — including any that are prescribed — necessary for their health and safety;
(l) comply with the occupational health and safety requirements of any authorization issued to them, and those undertaken in the declaration related to the authorization, and record all instances of failures to comply with those requirements as well as any measures taken to rectify the failure or to prevent further such failures;
(m) ensure that all employers, supervisors and employees at, owners of and providers of services to the workplace comply with the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and those undertaken in the declaration related to the authorization, and report any instances of failures to comply with those requirements to the operator;
(n) inform the relevant interest holders of the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and those undertaken in the declaration related to the authorization, and of any failure to comply with those requirements;
(o) ensure that members of committees established for the workplace are provided with the support, opportunities and training — including any that are prescribed — necessary to enable the members to fulfil their duties and functions as a member of the committee;
(p) cooperate with those committees and facilitate communications between the employees and the committees;
(q) ensure that all or part of the workplace as described in paragraphs (a) and (b) of the definition “workplace” in subsection 205.001(1) is inspected by or on behalf of the operator at least once a month, so that every part of that workplace is inspected at least once a year, and ensure that the workplace committee participates;
(r) ensure that a record is kept of each inspection referred to in paragraph (q), including any corrective action taken as a consequence; and
(s) cooperate with the Board and with persons carrying out duties or functions under this Part.
Specific duties — passenger craft
205.014 (1) Every operator shall, each time before employees or other passengers are transported on a passenger craft to or from any of its workplaces,
(a) ensure that the employees and other passengers are provided with any information and instruction — including any that are prescribed — necessary for their health and safety; and
(b) ensure that the employees are provided with the operator’s contact information for the purposes of subsection 205.054(2).
Specific duty — passenger craft
(2) Every operator shall ensure that a passenger craft going to or from any of its workplaces
(a) meets the requirements of any Act or other law that relates to the health or safety of the employees and other passengers on the passenger craft; and
(b) is equipped with any equipment, devices and materials necessary to ensure the health and safety of the employees and other passengers, including any that are prescribed.
Specific duties — personal protective equipment
(3) Every operator shall ensure that all employees and other passengers on a passenger craft going to or from any of its workplaces
(a) are provided with any personal protective equipment necessary to ensure their health and safety, including any that is prescribed; and
(b) are provided with the information and training — including any that are prescribed — required for the proper use of personal protective equipment provided under paragraph (a) and the equipment, devices and materials referred to in paragraph (2)(b).
Occupational health and safety management system
205.015 (1) Every operator shall develop, implement and maintain an occupational health and safety management system that fosters a culture of workplace safety and that is adapted to the circumstances of the work or activity specified in each authorization issued to the operator, for the purposes of
(a) implementing its occupational health and safety policy;
(b) ensuring that the provisions of this Part and the regulations made under this Part are complied with; and
(c) complying with the occupational health and safety requirements of each of those authorizations, and those undertaken in a declaration related to any of those authorizations.
Contents
(2) The system shall be set out in writing and include provisions regarding
(a) the management of risks to the health and safety of employees — including any prescribed risks — and procedures for
(i) the ongoing and systematic identification and reporting of all hazards,
(ii) the assessment of risks associated with identified hazards, and
(iii) the implementation of hazard control measures;
(b) the role of any committee established for any of the operator’s workplaces and the interaction between those committees;
(c) the roles and accountability of the employers, employees, providers of serv- ices and suppliers that are responsible for implementing the operator’s occupational health and safety policy and occupational health and safety management system;
(d) the allocation of sufficient resources to ensure that employees continue to be qualified and competent, that there is proper quality control of documents, facilities, equipment and materials and that there is effective cooperation among employers;
(e) the procedures for carrying out work or activities, dealing with changes in operations and responding to emergencies;
(f) the procedures for dealing with failures to comply with the system and the procedures for the reporting and investigating of occupational diseases and of accidents, incidents and other hazardous occurrences and the keeping of related records and statistical analysis;
(g) the auditing of the adequacy and effectiveness of the system, including
(i) determining the ability of the system to achieve the purposes set out in subsection (1), and
(ii) identifying improvements that could be made to the system; and
(h) the implementation of the improvements identified during the audit referred to in paragraph (g).
Duty to review
(3) The operator shall review the system at least every three years in consultation with each workplace committee that it establishes.
Limitation
(4) If the regulations establish requirements in respect of anything described in any of paragraphs (2)(a) to (h), the system shall meet the requirements of those regulations.
Power to require code of practice
205.016 (1) The Chief Safety Officer may, in writing, require an operator to establish a code of practice in respect of occupational health and safety, or to adopt a code of practice in respect of occupational health and safety that is specified by the Chief Safety Officer, in respect of
(a) any of its workplaces or any work or activity carried out at any of its workplaces; or
(b) the transportation of employees to or from any of its workplaces.
Revision of code of practice
(2) The code of practice may be revised by the Chief Safety Officer from time to time, or the Chief Safety Officer may require the operator to revise it from time to time.
Notification of accidents, etc.
205.017 (1) Every operator shall, as soon as it becomes known to the operator, notify the Chief Safety Officer of
(a) any occupational disease at any of its workplaces; or
(b) any accident, incident or other hazardous occurrence at any of its workplaces, or on a passenger craft going to or from any of those workplaces, that causes a death or serious injury or in which a death or serious injury is narrowly avoided.
Investigation of accidents, etc.
(2) Every operator shall investigate any occupational disease, or any accident, incident or other hazardous occurrence, described in paragraph (1)(a) or (b) and shall keep adequate records of its investigation — including any records that are prescribed — for the period that is prescribed.
Report
(3) An operator shall, no later than April 1 of each year, submit to each workplace committee that it establishes, to the Chief Safety Officer and, on request, to any special committee established for any of its workplaces, a written report for the immediately preceding calendar year, in a form determined by that Officer.
Contents of report
(4) The report shall set out data on all occupational diseases, and all accidents, incidents and other hazardous occurrences, that have occurred at any of the operator’s workplaces or on a passenger craft going to or from any of those workplaces during the calendar year covered by the report, including the number of deaths, the number of serious injuries and the number of minor injuries.
Definition of “serious injury”
(5) In this section, “serious injury” means an injury that
(a) results in the loss by an individual of a body member or part of a body member or in the complete loss by an individual of the usefulness of a body member or part of a body member;
(b) results in the permanent impairment of a body function of an individual; or
(c) prevents an employee from reporting for work or from effectively performing all the functions connected with their regular work on any day subsequent to the day on which the injury occurred, whether or not that subsequent day is a working day for them.
Duties of Employers
Duty to take reasonable measures
205.018 Every employer shall take all reasonable measures to ensure
(a) the health and safety of its employees and other individuals at a workplace under its control;
(b) the health and safety of its employees at a workplace that is not under its control, to the extent that it controls their activities at the workplace; and
(c) the health and safety of its employees while — and immediately before — they are transported on a passenger craft.
Specific duties
205.019 (1) Every employer shall, in respect of each workplace under its control, and in respect of any activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity,
(a) coordinate its undertaking with the work and activities of the operator and of any other employer at the workplace who may be affected by that undertaking;
(b) ensure that the operator’s occupational health and safety management system is complied with and carry out any responsibilities assigned to the employer under that system;
(c) determine, in consultation with the operator, the impact of its undertaking on occupational health and safety and ensure that other employers at the workplace who may be affected by that undertaking are provided with adequate information;
(d) communicate to its employees — and, in respect of a workplace under its control, to other individuals at the workplace — all information necessary to their health and safety, or ensure that the information is communicated to them;
(e) ensure that its employees comply with the provisions of this Part and the regulations made under this Part;
(f) ensure that each of its employees, and particularly each supervisor, is made aware of known or foreseeable health or safety haz- ards;
(g) ensure that its undertaking is conducted so as to minimize its employees’ exposure to hazards and, in respect of any other individ- uals at a workplace under its control, to minimize their exposure to hazards;
(h) provide to its employees, and, in respect of a workplace under its control, to other individuals at the workplace, the facilities and personal protective equipment — including any that are prescribed — necessary for their health and safety;
(i) provide to its employees, and, in respect of a workplace under its control, to other individuals at the workplace, the information and training — including any that are prescribed — required for the proper use of all personal protective equipment that is prescribed or that is required by the operator or employer to be used or worn;
(j) provide its employees with the instruction, training and supervision — including any that are prescribed — necessary for their health and safety;
(k) ensure that the occupational health and safety requirements of any authorization related to the workplace are complied with;
(l) record and report to the operator all instances of failures to comply with the provisions of this Part or of the regulations made under this Part, or with the occupational health and safety requirements of any authorization related to the workplace;
(m) ensure that all equipment, machines, devices, materials and other things at the workplace are properly installed, stored and maintained, are safe for their intended use and are used as intended;
(n) cooperate with and facilitate communication with committees established for the workplace;
(o) provide to members of any special committee it establishes for the workplace the support, opportunities and training — including any that are prescribed — necessary to enable the members to fulfil the duties and functions conferred on the committee;
(p) ensure that all or part of the workplace as described in paragraphs (a) and (b) of the definition “workplace” in subsection 205.001(1) under its control is inspected by it or on its behalf at least once a month, so that every part of that workplace is inspected at least once a year, and ensure that the workplace committee participates; and
(q) cooperate with the Board and with persons carrying out duties or functions under this Part.
Training
(2) An employee who, with the approval of their employer, is receiving training that is required under this Part shall be paid the same wages and granted the same benefits that the employee would have received had they been working.
Occupational health and safety program
205.02 (1) For the purpose of implementing the operator’s occupational health and safety policy, every employer shall, in consultation with the workplace committee, develop, implement and maintain, in respect of each workplace under the employer’s control, an occupational health and safety program that fosters a culture of workplace safety, if
(a) five or more employees are normally employed at the workplace by the employer;
(b) the program is required by the Chief Safety Officer; or
(c) the requirement for such a program is prescribed.
Contents
(2) The program shall be set out in writing and include provisions regarding
(a) the management of risks to the health and safety of the employees — including any prescribed risks — and procedures for
(i) the ongoing and systematic identification and reporting of all hazards,
(ii) the assessment of risks associated with identified hazards, and
(iii) the implementation of hazard control measures;
(b) the training and supervision of the employees that are necessary to ensure their health and safety and that of other individuals at the workplace;
(c) the establishment of special committees, the operation of workplace committees and special committees, the access by committees to a level of management with authority to resolve occupational health and safety matters and the information required under this Part to be maintained in relation to those committees;
(d) the roles of committees and their interaction in implementing the operator’s occupational health and safety policy;
(e) the roles and accountability of the employers, employees, providers of services and suppliers that are responsible for implementing the operator’s occupational health and safety policy;
(f) the procedures, including those required under this Part, to be followed to protect the employees’ health and safety, and the identification of the types of work to which those procedures apply;
(g) the procedures to be followed to deal with
(i) failures to comply with the program and with the reporting and investigating of occupational diseases, and of accidents, incidents and other hazardous occurrences, at the workplace, and
(ii) the keeping of related records and statistical analysis;
(h) the auditing of the adequacy and effectiveness of the program, including
(i) determining the ability of the program to meet the requirements of the operator’s occupational health and safety policy and occupational health and safety management system, and
(ii) identifying improvements that could be made to the program; and
(i) the implementation of the improvements identified during the audit referred to in paragraph (h).
Limitation
(3) If the regulations establish requirements in respect of anything described in any of paragraphs (2)(a) to (i), the program shall meet the requirements of those regulations.
Power to require code of practice
205.021 (1) The Chief Safety Officer may, in writing, require an employer to establish, in respect of a workplace under the employer’s control or any work or activity carried out at any of those workplaces, a code of practice in respect of occupational health and safety, or to adopt, in respect of such a workplace, work or activity, a code of practice in respect of occupational health and safety that is specified by the Chief Safety Officer.
Revision of code of practice
(2) The code of practice may be revised by the Chief Safety Officer from time to time, or the Chief Safety Officer may require the employer to revise it from time to time.
Specific duties of employer — hazardous materials
205.022 Subject to any exceptions that are prescribed, every employer shall, in respect of each workplace under its control, and in respect of any activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity,
(a) ensure that concentrations of hazardous substances at the workplace are controlled in accordance with any standards that are prescribed;
(b) ensure that all hazardous substances at the workplace are stored and handled in the manner that is prescribed;
(c) ensure that all hazardous substances at the workplace, other than controlled products, are identified in the manner that is prescribed;
(d) subject to the Hazardous Materials Information Review Act, ensure that each controlled product at the workplace or each container at the workplace in which a controlled product is contained has applied to it a label that discloses information that is prescribed and has displayed on it, in the manner that is prescribed, all applicable hazard symbols that are prescribed;
(e) subject to the Hazardous Materials Information Review Act, make available to every employee at the workplace, in the manner that is prescribed, a material safety data sheet that discloses the following information with respect to each controlled product to which the employee may be exposed, namely,
(i) if the controlled product is a pure substance, its chemical identity, and if it is not a pure substance, the chemical identity of any of its ingredients that is a controlled product and the concentration of that ingredient,
(ii) if the controlled product contains an ingredient that is included in the Ingredient Disclosure List and the ingredient is in a concentration that is equal to or greater than the concentration specified in that List for that ingredient, the chemical identity and concentration of that ingredient,
(iii) the chemical identity of any ingredient of the controlled product that the employer believes on reasonable grounds may be harmful to an employee at the workplace and the concentration of that ingredient,
(iv) the chemical identity of any ingredient of the controlled product whose toxicolog- ical properties are not known to the employer and the concentration of that ingredient, and
(v) any other information that is prescribed with respect to the controlled product;
(f) if employees at the workplace may be exposed to hazardous substances, investigate and assess the potential exposure in the manner that is prescribed, with the assistance of the workplace committee or the coordinator, as the case may be; and
(g) ensure that all records of exposure to hazardous substances are kept and maintained in the manner that is prescribed and that personal records of exposure are made available to the affected employees.
Employer to provide information in emergency
205.023 (1) Every employer shall, in respect of each workplace under its control, and in respect of an activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity, provide, in respect of any controlled product to which an employee may be exposed, as soon as the circumstances permit, any information referred to in paragraph 205.022(e) that is in the employer’s possession to any physician — or other medical professional that is prescribed — who requests that information for the purpose of making a medical diagnosis of, or rendering medical treatment to, an employee in an emergency.
Confidentiality
(2) Any physician — or other medical professional that is prescribed — to whom information is provided by an employer under subsection (1) shall keep confidential any information specified by the employer as being confidential, except for the purpose for which it is provided.
Duties of Supervisors
Duty to take reasonable measures
205.024 Every supervisor shall take all reasonable measures to ensure the health and safety of employees and other individuals that they supervise at a workplace.
Specific duties
205.025 Every supervisor shall
(a) ensure that the employees that they supervise comply with the provisions of this Part and the regulations made under this Part;
(b) inform their employer and each of those employees of known or foreseeable health or safety hazards;
(c) if required to do so by their employer or the operator, provide those employees with written instructions as to the measures to be taken and the procedures to be followed for the protection of the employees; and
(d) report to their employer any failure to comply with the provisions of this Part or of the regulations made under this Part, or with the occupational health and safety requirements of any authorization related to the workplace that is issued to the operator.
Duties of Employees
Duty to take reasonable measures
205.026 Every employee at a workplace or on a passenger craft shall take all reasonable measures to protect their own health and safety and that of other individuals at the workplace or on the passenger craft.
Specific duties — workplace
205.027 Every employee at a workplace shall
(a) cooperate with the operator and with all employers and other employees to protect the health and safety of individuals at the workplace;
(b) use or wear, in the manner intended, all personal protective equipment that is prescribed or that is required by the operator or their employer to be used or worn;
(c) take all reasonable measures to ensure that other employees use or wear, in the manner intended, all personal protective equipment referred to in paragraph (b);
(d) consult and cooperate with committees established for the workplace;
(e) cooperate with the Board and with persons carrying out duties or functions under this Part;
(f) follow all instructions of their employer given for the purposes of ensuring occupational health and safety; and
(g) report to their employer any thing or circumstance at the workplace that is likely to be hazardous to the health or safety of the employee or other individuals at the workplace.
Specific duties — passenger craft
205.028 Every employee shall
(a) while — and immediately before — being transported on a passenger craft, cooperate with the individual providing them with information and instruction on behalf of the operator, with their employer and with any individual who operates or assists in operating the passenger craft, so as to protect the health and safety of individuals on the passenger craft; and
(b) while being transported on a passenger craft, use or wear, in the manner intended, all personal protective equipment that is prescribed or that is required by the operator, or by any individual who operates or assists in operating the passenger craft, to be used or worn on the passenger craft.
Limitation of liability — employee
205.029 No employee who, at the workplace or while — or immediately before — being transported on a passenger craft, comes to the assistance of another individual or carries out an emergency measure is personally liable for any injury or damage that may result from it, unless the injury or damage is a result of the employee’s gross negligence or wilful misconduct.
Duties of Suppliers and Providers of Services
Duty of supplier — reasonable measures
205.03 Every supplier shall, to protect the health and safety of individuals at a workplace or on a passenger craft, take all reasonable measures to ensure that any thing it supplies for use at the workplace or on the passenger craft is in a safe condition.
Specific duties
205.031 Every supplier shall ensure
(a) that any thing it supplies for use at a workplace or on a passenger craft meets the requirements of the regulations made under this Part; and
(b) if there is an obligation in an agreement for the supplier to maintain the thing in safe condition, that it complies with that obligation.
Duty of provider of services — reasonable measures
205.032 Every provider of services shall take all reasonable measures to ensure that no individual at a workplace or on a passenger craft is endangered as a result of the services that it provides in connection with the workplace or passenger craft.
Specific duties
205.033 Every provider of services shall
(a) when it provides services in connection with a workplace that are related to the placement, with an operator or employer, of individuals who, in return for monetary compensation, perform work or services for the operator or employer at the workplace, ensure that those individuals have the qualifications and certifications — including any that are prescribed — that are necessary for them to perform the work or services in a manner that protects their health and safety and that of employees and other individuals at the workplace;
(b) ensure that any information that it provides in connection with the services that it provides is accurate and sufficiently complete so as to enable the operator or employer, as the case may be, to make a competent judgment on the basis of the information; and
(c) ensure, to the extent that it is possible to do so, that any operator, employer, employee, supplier or owner, or any other provider of services, will not, as a result of relying in good faith on its advice, or on a certificate, seal or stamp provided by it, be in contravention of the provisions of this Part or of the regulations made under this Part, or of the occupational health and safety requirements of the authorization or those undertaken in the declaration related to the authorization.
Duties of Owners, Interest Holders and Corporate Officials
Duty of owner — reasonable measures
205.034 Every owner shall take all reasonable measures to ensure that any workplace in respect of which they are an owner is delivered and maintained so as to ensure the health and safety of individuals at that workplace, including measures to inform the operator of known or foreseeable health or safety hazards that could assist the operator in
(a) reducing the risks posed by hazards at the workplace; and
(b) assessing whether the provisions of this Part and the regulations made under this Part — and the occupational health and safety requirements of any authorization related to the workplace that is issued to the operator, and the occupational health and safety requirements undertaken in the declaration related to the authorization — are being complied with.
Duty of interest holder — reasonable measures
205.035 Every interest holder shall take all reasonable measures to ensure that the operator for a workplace in any portion of the offshore area subject to the interest, or the share of the interest, of that interest holder complies with
(a) the provisions of this Part and the regulations made under this Part; and
(b) the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and the occupational health and safety requirements undertaken in the declaration related to the authorization.
Duty of directors and officers of operators
205.036 (1) Every director and every officer of a corporation that holds an authorization shall take all reasonable measures to ensure that the corporation complies with
(a) the provisions of this Part and the regulations made under this Part; and
(b) the occupational health and safety requirements of the authorization, and the occupational health and safety requirements undertaken in the declaration related to the authorization.
Duty of directors and officers of suppliers and providers of services
(2) Every director and every officer of a corporation that is a supplier or a provider of services shall take all reasonable measures to ensure that the corporation complies with sections 205.03 to 205.033.
Duty of directors and officers of interest holders
(3) Every director and every officer of a corporation shall, if the corporation has duties under section 205.035, take all reasonable measures to ensure that the corporation complies with that section.
Communication of Information
Posting of information — operator
205.037 (1) Every operator shall post in printed form, in a prominent place at each of its workplaces,
(a) its occupational health and safety policy;
(b) contact information to enable the reporting of health or safety concerns to the Board; and
(c) the names of the members of any committees established by the operator for that workplace, the members’ contact information and the minutes of the most recent meeting of those committees.
Information and documents — operator
(2) Every operator shall make the following information and documents readily available at each of its workplaces in a prominent place accessible to every employee at the workplace, in printed or electronic form:
(a) a copy of this Part and the regulations made under this Part;
(b) a copy of the document describing the operator’s occupational health and safety management system;
(c) any code of practice required by the Chief Safety Officer under section 205.016 to be established or adopted by the operator for that workplace;
(d) any code of practice required by the Chief Safety Officer under section 205.021 to be established or adopted by any employer at that workplace;
(e) information relating to the equipment, methods, measures, standards or other things permitted to be used at the workplace under any permission granted under section 205.069, any conditions placed on the use of that equipment or those methods, meas- ures, standards or other things and the duration of the permission; and
(f) information relating to the equipment, methods, measures, standards or other things permitted to be used on a passenger craft, or whose use is permitted in respect of employees or other passengers being transported on a passenger craft, under any permission granted to the operator under section 205.07, any conditions placed on the use of that equipment or those methods, measures, standards or other things and the duration of the permission.
Incorporated material — operator
(3) Every operator shall, at the request of any employee or employer at any of the operator’s workplaces or by any committee established for any of those workplaces, make readily available for their examination any material incorporated by reference in the regulations made under this Part, in printed or electronic form.
Information — operator
(4) Every operator shall provide to any committee established for any of its workplaces, or to any employer or employee at any of those workplaces, in printed or electronic form, within seven days after the day on which an occupational health and safety officer requires it, any information that enables employees to become acquainted with their rights and responsibilities under this Part as the officer may require.
Obligation to post satisfied
(5) An obligation imposed on an operator under subsection (1) is satisfied if the operator provides a copy of the information or document to each employee at the workplace.
Posting of information — employer
205.038 (1) Every employer shall post, in a prominent place at each workplace for which it has established a special committee, in printed form, the names of the members of the special committee, the members’ contact information and the minutes of the most recent meeting of that committee.
Program and codes of practice — employer
(2) Every employer shall, in respect of a workplace under its control, provide to the operator, and make readily available in a prominent place accessible to its employees at the workplace, in printed or electronic form,
(a) a copy of the occupational health and safety program for the workplace; and
(b) any code of practice required by the Chief Safety Officer under section 205.021 to be established or adopted by the employer for the workplace.
Material and information — employer
(3) Every employer shall make available to the Board, if required by an occupational health and safety officer, and to any persons, unions and committees that an occupational health and safety officer may require, in printed or electronic form, within and for the time that the officer requires, any material or information referred to in subsections 205.037(3) and (4).
Obligation to post satisfied
(4) An obligation imposed on an employer under subsection (1) is satisfied if the employer provides a copy of the information or document to each of its employees at the workplace.
Chief Safety Officer information — operator
205.039 (1) Every operator shall communicate to employees at a workplace and the workplace committee any information that the Chief Safety Officer requires to be communicated to them, within the time and in the manner specified by the Chief Safety Officer.
Chief Safety Officer information — employer
(2) An employer shall communicate to its employees at a workplace any information that the Chief Safety Officer requires to be communicated to them, within the time and in the manner specified by the Chief Safety Officer.
Provision of information to committees
205.04 (1) Every operator and every employer shall immediately after preparing or being provided with a report respecting anything inspected, tested or monitored under this Part at the operator’s workplace or at a workplace under the employer’s control, as the case may be, including a report under section 205.074, notify all committees established for the workplace of the report and, subject to section 205.041, within seven days after the day on which a request is received from any of those committees, shall provide that committee with a copy of it.
Reports available to employees
(2) Every operator shall make available to any employee at the workplace, and the employer shall make available to any of its employees at the workplace, on request, a copy of any report that has been provided to a committee established for the workplace.
Editing of report — trade secrets
205.041 (1) If a report referred to in subsection 205.04(1) contains a trade secret, the operator or employer, as the case may be, may edit the report to protect the trade secret.
Editing of report — medical information
(2) If a report referred to in subsection 205.04(1) contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the operator or employer, as the case may be, shall edit the report to protect that information before providing it to a committee, unless the individual to whom the information relates consents in writing to the disclosure of the information to the committee.
Edited report
(3) The edited report shall be provided to the committee within 21 days after the day on which the committee’s request is received.
Response to request for information — operator
205.042 (1) Subject to subsections (3) and (4), every operator who receives from a committee established for any of its workplaces or any employee at any of its workplaces a written request for any information related to occupational health and safety, other than a request for a report referred to in subsection 205.04(1), shall provide a written response to the request within 21 days after the day on which it is received.
Response to request for information — employer
(2) Subject to subsections (3) and (4), every employer who receives from a special committee it has established or any of its employees a written request for any information related to occupational health and safety, other than a request for a report referred to in subsection 205.04(1), shall provide a written response to the request within 21 days after the day on which it is received.
Limitation — special committees
(3) If the request is made by a special committee, the operator or employer is required to respond only if the information is necessary for the particular purposes for which the committee was established.
Other provisions
(4) Subsections 205.047(3) to (8) apply to the request with any modifications that the circumstances require.
Committees and Coordinator
Establishment
205.043 (1) Every operator shall establish one workplace committee for each of its workplaces, other than a workplace established for six months or less, for purposes related to occupational health and safety.
Exception
(2) Despite subsection (1), the Chief Safety Officer may authorize an operator to establish a single workplace committee in respect of two or more workplaces if the Chief Safety Officer is satisfied that the circumstances warrant it.
Other committees
(3) An occupational health and safety committee described in subsection 205.045(1) is deemed to be a workplace committee in respect of the workplace referred to in that subsection and to have been established by the operator for that workplace.
Duties of workplace committee
(4) A workplace committee shall
(a) receive, consider, investigate if necessary and promptly dispose of matters and complaints related to occupational health and safety;
(b) participate in inspections referred to in paragraphs 205.013(q) and 205.019(1)(p), in the investigation of any matter under paragraph 205.022(f) and in the activities of any health and safety officers that pertain to a matter under section 205.049 or subsection 205.05(8) or 205.054(8), and, at the discretion of a health and safety officer, participate in the officer’s activities that pertain to occupational diseases and to accidents, incidents and other hazardous occurrences;
(c) maintain records in a form and manner approved by the Chief Safety Officer, and provide a copy of those records, on request, to a health and safety officer, or to any person within a class of persons that is prescribed;
(d) keep minutes of committee meetings in a form and manner approved by the Chief Safety Officer and provide a copy of those minutes, on request, to a health and safety officer, or to any person within a class of persons that is prescribed; and
(e) perform any other duties that are assigned to it by the Chief Safety Officer or that are assigned to it under an agreement between the operator and any employers and employees — or the union representing them — at the workplace.
Functions of workplace committee
(5) A workplace committee may
(a) seek to identify those things and circumstances at the workplace that are likely to be hazardous to the health or safety of employees, and advise on effective procedures to eliminate the hazards, to reduce the risks posed by the hazards and to protect against the hazards;
(b) advise the operator and the employers at the workplace on the occupational health and safety policy, the occupational health and safety management system and the occupational health and safety programs — and any procedures — required under this Part;
(c) advise on the provision of personal protective equipment suited to the needs of the employees;
(d) make recommendations, for the improvement of occupational health and safety, to the operator and the employers and employees at the workplace and to any supplier, owner or provider of services that carries out duties or functions under this Part; and
(e) participate in the activities described in subsection 205.079(1).
Limitation of liability
(6) An individual who serves as a member of a workplace committee is not personally liable for anything done or omitted to be done by them in good faith while carrying out their duties or functions.
Number of members
205.044 (1) A workplace committee consists of any number of individuals that may be agreed to by the operator and the employees at the workplace or the unions representing them.
Selection of members
(2) The operator shall select no more than half of the members of a workplace committee from among employees at the workplace, at least one of whom shall be a representative of the operator. The other members, who represent the employees, shall be selected by the employees, or the unions representing them, from among employees at the workplace who do not exercise managerial functions.
Meetings
(3) A workplace committee shall meet at least once every month, or more frequently if the Chief Safety Officer requires it.
Time off work
(4) An employee who is a member of a workplace committee is entitled to any time off from work that is necessary to enable them to fulfil their duties and functions as a member of the committee, including time off to take training. That time off is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Rules of procedure
(5) A workplace committee may establish its own rules of procedure, but in establishing those rules it shall comply with any requirements that are prescribed.
Co-chairpersons
(6) A workplace committee is to be co-chaired by two of its members, one chosen by members that have been selected by employees, or unions representing them, and the other chosen by members that have been selected by the operator.
Resolution of disagreements
(7) If there is disagreement as to the size of a workplace committee, the selection of members or any other matter that prevents or impairs the proper functioning of the committee, the Chief Safety Officer shall determine the matter and provide those concerned with a written determination. A determination by the Chief Safety Officer is final and binding and not subject to review or appeal.
Occupational health and safety coordinator
205.045 (1) If an operator establishes a workplace for six months or less, the operator shall — unless there is already an occupational health and safety committee for the workplace that meets the requirements of subsections 205.044(1), (2) and (6) — designate an employee at that workplace who has been approved by the Chief Safety Officer to act as an occupational health and safety coordinator in respect of that workplace.
Duties of coordinator
(2) The coordinator shall
(a) receive, consider, investigate if necessary, and promptly dispose of matters and complaints related to occupational health and safety;
(b) assist their employer in carrying out the employer’s duties under paragraph 205.022(f);
(c) maintain records in a form and manner approved by the Chief Safety Officer, and provide a copy of those records, on request, to a health and safety officer, or to any person within a class of persons that is prescribed; and
(d) perform any other duties that are assigned to them by the Chief Safety Officer.
Recommendations
(3) The coordinator may make recommendations, for the improvement of occupational health and safety, to the operator and the employers and employees at the workplace and to any supplier, owner or provider of services that has duties or functions under this Part.
Duties of operator
(4) The operator shall
(a) ensure that the coordinator is informed of their responsibilities as coordinator under this section;
(b) ensure that the coordinator is provided with the training in health and safety — including any that is prescribed — necessary to enable them to fulfil their duties and functions as coordinator; and
(c) make readily available to employees at the workplace, in printed form, the name of the coordinator and the coordinator’s contact information.
Duties of operator and employer
(5) The operator and the employers at the workplace shall cooperate with the coordinator and facilitate communications between the coordinator and the employees at the workplace.
Limitation of liability
(6) An individual who serves as a coordinator is not personally liable for anything done or omitted to be done by them in good faith while carrying out their duties or functions.
Time off work
(7) An employee who is a coordinator is entitled to any time off from work that is necessary to enable them to fulfil their duties and functions as a coordinator, including time off to take training. That time off is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Order to establish special committee — operator
205.046 (1) The Chief Safety Officer may, after consultation with an operator, order the operator to establish a special committee for any of its workplaces for particular purposes related to occupational health and safety.
Order to establish special committee — employer
(2) The Chief Safety Officer may, after consultation with an employer having control over a workplace, the operator, and the employer’s employees at the workplace or the union representing them, order the employer to establish a special committee for that workplace for particular purposes related to occupational health and safety.
Mandate, duties and functions
(3) The order shall set out the mandate, duties and functions of the special committee and the responsibilities of the operator or employer, as the case may be.
Time limit
(4) The operator or employer, as the case may be, shall establish the special committee within 15 days after the day on which it receives the order.
Provisions applicable
(5) Paragraphs 205.043(5)(b) and (d) and subsections 205.043(6) and 205.044(1) to (7) apply, with any modifications that the circumstances require, in respect of a special committee.
Response to recommendations
205.047 (1) Subject to subsections (4), (6) and (7), an operator or employer who receives recommendations from a committee established for any of the operator’s workplaces or for a workplace under the employer’s control, as the case may be, together with a written request to respond to the recommendations, shall provide a written response within 21 days after the day on which it receives the request.
Nature of response
(2) The response shall indicate the recommendations being accepted as well as the action, if any, that will be taken and the date by which it will be taken, and the recommendations being rejected, together with the reasons for the rejection.
Response delayed — explanation
(3) If it is not possible to provide a response within 21 days, the operator or employer, as the case may be, shall within that period provide the committee with a written explanation for the delay and propose a date on which the response will be provided.
Revised date for response
(4) Unless the committee notifies the operator or employer, as the case may be, that it is not satisfied that the explanation provided or the proposed date is reasonable, the operator or employer shall provide the response by that date.
Report of delay
(5) If the committee is not satisfied that the explanation provided or the proposed date indicated is reasonable, the committee shall promptly report the matter to an occupational health and safety officer.
Confirmation of date
(6) If the occupational health and safety officer is satisfied that the explanation provided and the proposed date are reasonable, the officer shall notify the committee, and the operator or employer, as the case may be, that the operator or employer is to provide the response by the date indicated. The operator or employer, as the case may be, shall provide the response by that date.
Fixing new date
(7) If the occupational health and safety officer is not satisfied that the explanation provided or the proposed date is reasonable, the officer shall determine the date on which the response is to be provided and notify the committee, and the operator or employer, as the case may be, of that date. The operator or employer, as the case may be, shall provide the response by that date.
Report regarding response
(8) If the committee has not been provided with a response to its recommendations within the period required or if it considers that the response is not satisfactory, it shall inform an occupational health and safety officer of the matter.
Workplace Monitoring
Observers
205.048 (1) A workplace committee may choose an employee at the workplace to observe
(a) the set-up of, or any change to, systems for monitoring conditions at the workplace that affect the health or safety of employees, including systems for taking samples and measurements; and
(b) the subsequent monitoring of the conditions referred to in paragraph (a), including the taking of samples and measurements.
Observers
(2) Every employer who conducts an activity described in paragraph (1)(a) or (b) at the workplace, and the operator if the operator conducts such an activity, shall permit the observer to observe the activity.
Exception
(3) Subsection (2) does not apply in an emergency situation, or in respect of monitoring referred to in paragraph (1)(b) that is carried out continuously or on a regular and frequent basis.
Notice and access
(4) When an operator or an employer monitors health and safety conditions at a workplace, the following requirements apply:
(a) if an employer is carrying out the monitoring, the employer shall give reasonable notice to the operator to enable the operator to comply with paragraph (b);
(b) if an operator is carrying out the monitoring or is notified under paragraph (a), the operator shall give reasonable notice of the commencement of monitoring to all employers at the workplace;
(c) the operator or the employer carrying out the monitoring shall give reasonable notice of the commencement of monitoring to the observer, and shall provide the observer with access to the workplace for the purpose of observing the monitoring; and
(d) the operator or employer carrying out the monitoring shall, at the request of the observer, explain the monitoring process to the observer.
Monitoring by health and safety officers
(5) Monitoring may be carried out on the order of a health and safety officer under section 205.073 even if the notices referred to in paragraphs (4)(a) to (c) have not been given.
Compensation of employees
(6) An employee acting as an observer shall be paid the same wages and granted the same benefits that the employee would have received had they been working.
Reporting of Occupational Health and Safety Concerns
Duty to report
205.049 (1) An employee who has reasonable cause to believe that a provision of this Part or of the regulations made under this Part has been contravened or that there is likely to be an accident or injury arising out of, linked to or occurring in the course of employment shall report their concern to their supervisor.
Resolve concern
(2) The employee and the supervisor shall try to resolve the employee’s concern between themselves as soon as possible.
Notice to employer, etc.
(3) If the employee’s concern is not resolved, they may notify their employer, and when so notified the employer shall in turn notify the workplace committee or the coordinator, as the case may be, and the operator.
Notice to health and safety officer
(4) If the employee’s concern is not resolved after they notify their employer, the employee may notify a health and safety officer.
Right to Refuse
Refusal to perform activity
205.05 (1) Subject to subsection (2), an employee may refuse to perform an activity at a workplace if they have reasonable cause to believe that the performance of the activity constitutes a danger to themselves or another individual.
Circumstances when refusal not permitted
(2) An employee is not permitted to refuse to perform an activity if the refusal puts the life, health or safety of another individual directly in danger.
Report to supervisor
(3) An employee who refuses to perform an activity shall immediately report the circumstances of the matter to their supervisor.
Action by supervisor
(4) The supervisor shall immediately take action to try to resolve the matter. If the supervisor believes that a danger exists, they shall immediately take any action that is necessary to protect any individual from the danger and to inform the workplace committee or the coordinator, as the case may be, the operator and the employee’s employer of the matter. If the supervisor does not believe that a danger exists, they shall so notify the employee.
Report to employer, etc.
(5) If the employee continues to refuse to perform the activity, they shall immediately notify their employer and the workplace committee or the coordinator, as the case may be, and the employer shall in turn notify the operator and any provider of services that is providing services related to the placement of that employee.
Report to occupational health and safety officer
(6) Immediately after being notified under subsection (5), the operator shall notify an occupational health and safety officer of the continued refusal of the employee to perform the activity and of any remedial action taken.
Recommendations of committee or coordinator
(7) The workplace committee or the coordinator, as the case may be, may make any recommendations that they consider appropriate to the employee, the employee’s employer, the operator and any provider of services that is providing services related to the placement of that employee.
Enquiry and decision
(8) The occupational health and safety officer shall, if the employee continues to refuse to perform the activity, enquire into the matter, taking into account the recommendations, if any, made by the workplace committee or the coordinator. The officer shall give to the employee, the employee’s employer, the operator and any provider of services that is providing services related to the placement of that employee, and to the workplace committee or the coordinator, as the case may be, a written notification of their decision on the matter.
Dangerous situation — order
(9) If the occupational health and safety officer decides that the performance of the activity constitutes a danger to the employee or another individual, the officer shall make any order under subsection 205.093(1) or (2) that the officer considers appropriate, and the employee may continue to refuse to perform the activity until the order is complied with or until it is varied or revoked under this Part.
No right to refuse
(10) If the occupational health and safety officer decides that the performance of the activity does not constitute a danger to the employee or another individual, or that the refusal puts the life, health or safety of another individual directly in danger, the employee is not entitled under this section to continue to refuse to perform the activity.
Opportunity to explain reasons for refusal
205.051 (1) An employee who refuses under section 205.05 to perform an activity may accompany an occupational health and safety officer when the officer is enquiring into the matter under subsection 205.05(8), for the purpose of explaining the reasons for the employee’s refusal.
Compensation of employee
(2) An employee who, under subsection (1), accompanies an occupational health and safety officer shall, during that time, be paid the same wages and granted the same benefits that the employee would have received if they had not exercised their right to refuse.
Assignment of equivalent work
205.052 (1) Subject to any applicable collective agreement or other agreement, if an employee refuses under section 205.05 to perform an activity, the employer may assign reasonably equivalent work to the employee until the employee, by virtue of subsection 205.05(9) or (10), is no longer permitted to refuse to perform the activity.
Compensation during assignment
(2) If the employee is assigned reasonably equivalent work, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, shall pay them the same wages and grant them the same benefits that they would have received had they not refused to perform the activity.
Compensation if no assignment
(3) If the employee is not assigned reasonably equivalent work, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, shall, until the employee, by virtue of subsection 205.05(9) or (10) is no longer permitted to refuse to perform the activity, pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to perform the activity.
No compensation if refusal of equivalent work
(4) Subject to any applicable collective agreement or other agreement, if the employee refuses an assignment of reasonably equivalent work, they are not entitled to receive any wages or benefits.
Other employees
(5) For as long as the employee continues to exercise their right to refuse to perform an activity, another employee shall not be assigned to perform the activity unless the employer has advised that other employee of the refusal, the reasons for the refusal and the right of that other employee to refuse to perform the activity.
Repayment
(6) Subject to any applicable collective agreement or other agreement, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, may require repayment of any wages and benefits received by an employee under subsection (3) if the provincial labour relations board determines in respect of an application made under section 205.063, after all avenues of redress have been exhausted by the employee, that the employee received the wages and benefits knowing that no circumstances existed that would warrant the refusal.
Compensation for other employees
205.053 (1) Subject to any applicable collective agreement or other agreement, an employee at a workplace who is affected by a work stoppage arising from a refusal by another employee to perform an activity shall be paid the same wages and granted the same benefits that they would have received had no work stoppage occurred, until work resumes or until they return to their usual point of disembarkation on shore, whichever event occurs first.
Equivalent work
(2) Subject to any applicable collective agreement or other agreement, an employer may assign reasonably equivalent work to an employee who is affected by a work stoppage at the same wages and benefits that the employee would have received if no work stoppage had occurred.
Refusal to be transported
205.054 (1) An employee may refuse to be transported on a passenger craft if they have reasonable cause to believe that being transported on it constitutes a danger to them.
Report to operator
(2) An employee who refuses to be transported on a passenger craft shall use the con- tact information provided under paragraph 205.014(1)(b) to immediately report the circumstances of the matter.
Notice to Chief Safety Officer or delegate
(3) On being notified of a refusal under subsection (2), the operator shall immediately notify the Chief Safety Officer unless the Chief Safety Officer has provided other contact information for the purposes of this subsection, in which case the operator shall use that contact information to make the notification.
Notice to passengers
(4) For as long as the employee continues to exercise their right to refuse to be transported on the passenger craft, or for any longer period specified by the Chief Safety Officer, the operator shall notify all other employees and other passengers to be transported on the passenger craft, before they are transported, of the refusal, the reasons for the refusal and the right of employees to refuse to be transported.
Action by operator
(5) The operator shall immediately take action to try to resolve the matter. If the operator believes that the transportation constitutes a danger to the employee, it shall immediately take any remedial action that is necessary and inform the workplace committee established for the workplace to or from which the employee was to be transported, and an occupational health and safety officer, of the matter. If the operator does not believe that the transportation constitutes a danger to the employee, it shall so notify the employee.
Report to workplace committee, etc.
(6) If the employee continues to refuse to be transported, the operator shall immediately notify the workplace committee, the employee’s employer and an occupational health and safety officer of the continued refusal of the employee to be transported and of any remedial action taken. The employer shall in turn notify any provider of services that is providing services related to the placement of that employee.
Recommendations of committee
(7) The workplace committee may make any recommendations to the employee and the operator that it considers appropriate.
Enquiry and decision
(8) The occupational health and safety officer shall, if the employee continues to refuse to be transported, enquire into the matter, taking into account any recommendations made by the workplace committee. The occupational health and safety officer shall decide whether the transportation constitutes a danger to the employee, and shall give to the employee, the employee’s employer, the operator and the workplace committee a written notification of the decision. The employer shall in turn notify any provider of services that is providing services related to the placement of that employee.
Dangerous situation — order
(9) If the occupational health and safety officer decides that the transportation constitutes a danger to the employee, the officer shall make any order under subsection 205.093(1) or (2) that they consider appropriate, and an employee may continue to refuse to be transported until the order is complied with or until it is varied or revoked under this Part.
No right to refuse
(10) If the occupational health and safety officer decides that the transportation does not constitute a danger to the employee, the employee is not entitled to continue to refuse to be transported.
Assignment of equivalent work
205.055 (1) Subject to any applicable collective agreement or other agreement, if an employee refuses under section 205.054 to be transported, the employer may assign reasonably equivalent work to the employee until the employee, by virtue of subsection 205.054(9) or (10), is no longer permitted to refuse to be transported.
Compensation during assignment
(2) If an employee is assigned reasonably equivalent work, the employer or the provider of services that is providing services related to the placement of the employee, as the case may be, shall pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to be transported.
Compensation if no assignment
(3) If an employee has not been assigned reasonably equivalent work, the employer or the provider of services that is providing services related to the placement of the employee, as the case may be, shall, until the employee, by virtue of subsection 205.054(9) or (10), is no longer permitted to refuse to be transported, pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to be transported.
No compensation if refusal of equivalent work
(4) Subject to any applicable collective agreement or other agreement, if an employee refuses an assignment of reasonably equivalent work, the employee is not entitled to receive any wages or benefits.
Repayment
(5) Subject to any applicable collective agreement or other agreement, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, may require repayment of any wages and benefits received by an employee under subsection (3) if the provincial labour relations board determines in respect of an application made under section 205.063, after all avenues of redress have been exhausted by the employee, that the employee received the wages and benefits knowing that no circumstances existed that would warrant the refusal.
Pregnant or Nursing Employees
Cessation of functions
205.056 (1) Without prejudice to the rights conferred by section 205.05 and subject to this section, an employee who is pregnant or nursing may cease to perform her job if she believes that, by reason of the pregnancy or nursing, continuing any of the functions connected with her regular work may pose a risk to her health or to that of her foetus or child.
Notification
(2) On being informed of the cessation, the employer, with the written consent of the employee, shall notify the workplace committee established for the employee’s workplace or the coordinator, as the case may be.
Medical certificate
(3) The employee shall provide to her employer, and any provider of services that is providing services related to her placement, as soon as possible, a certificate of a medical practitioner of her choice who is entitled to practise medicine under the laws of a province
(a) certifying that continuing any of the functions connected with her regular work poses a risk to her health or to that of her foetus or child and indicating the expected duration of the risk and the activities or conditions to avoid in order to eliminate the risk; or
(b) certifying that continuing the functions connected with her regular work does not pose a risk to her health or to that of her foetus or child.
Provision no longer applicable
(4) Without prejudice to any other right conferred by this Part, by a collective agreement, by another agreement or by any terms and conditions of employment, once the medical practitioner has established that there is a risk as described in subsection (1), the employee is no longer permitted to cease to perform her job under that subsection.
Employer may reassign
(5) For the period during which the employee does not perform her job under subsection (1), the employer may, in consultation with the employee, reassign her to another job that would not pose a risk to her health or to that of her foetus or child.
Status of employee
(6) Whether or not the employee has been reassigned to another job, she is deemed to continue to hold the job that she held at the time she ceased to perform her job and is to continue to receive the wages and benefits that are attached to that job for the period during which she does not perform the job.
Reassignment and job modification
205.057 (1) An employee who is pregnant or nursing may, during the period from the beginning of the pregnancy to the end of the twenty-fourth week following the birth, request that the employer modify the functions connected with her regular work or reassign her to another job if, by reason of the pregnancy or nursing, continuing any of those functions may pose a risk to her health or to that of her foetus or child.
Medical certificate
(2) The employee’s request shall be accompanied by a certificate described in paragraph 205.056(3)(a).
Employer’s obligations
205.058 (1) An employer to whom a request has been made under subsection 205.057(1) shall examine the request in consultation with the employee and, if feasible, shall modify the functions connected with her regular work or shall reassign her. The employer shall notify any provider of services that is providing services related to the placement of that employee that the request has been made.
Rights of employee
(2) An employee who has made a request under subsection 205.057(1) is entitled to continue in her current job while the employer examines her request, but, if the risk posed by continuing any of the functions connected with her regular work so requires, she is entitled to and shall be granted a leave of absence with the same wages and benefits — payable by the employer or any provider of services that is providing services related to the placement of that employee, as the case may be — that she would have received had she not been on leave of absence until the employer
(a) modifies the functions connected with her regular work or reassigns her; or
(b) informs her in writing that it is not feasible to modify the functions connected with her regular work or to reassign her.
Onus of proof
(3) The onus is on the employer to show that a modification of the functions connected with the employee’s regular work or a reassignment that would avoid the activities or conditions indicated in the medical certificate is not feasible.
Employee to be informed
(4) If the employer concludes that a modification of the functions connected with the employee’s regular work or a reassignment that would avoid the activities or conditions indicated in the medical certificate is not feasible, the employer shall so inform her in writing.
Status of employee
(5) If the functions connected with the employee’s regular work are modified or the employee is reassigned, the employee is deemed to continue to hold the job that she held at the time of making the request under subsection 205.057(1), and shall continue to receive the wages and benefits that are attached to that job.
Employee’s right to leave
(6) An employee referred to in subsection (4) is entitled to and shall be granted a leave of absence for the duration of the risk as indicated in the medical certificate.
Reprisals and Complaints
Definition of “reprisal action”
205.059 (1) In this section and in sections 205.06 and 205.062, “reprisal action” means an action that
(a) adversely affects an employee with respect to their terms or conditions of employment or any opportunity for employment or promotion, including dismissal, lay-off, suspension, demotion, transfer of job or location, discontinuation or elimination of the job, change in hours of work, reduction in wages or benefits, coercion, intimidation or the imposition of any disciplinary sanction, reprimand or other penalty; and
(b) is taken, in whole or in part, because the employee has acted in accordance with the provisions of this Part or of the regulations made under this Part or with a decision or order made under any of those provisions or has taken steps to ensure that those provisions are complied with.
Prohibition
(2) No operator, employer, provider of serv- ices or union shall take, or threaten to take, reprisal action against an employee.
No action against employee
(3) Without limiting the generality of subsection (2), actions referred to in paragraph (1)(a) cannot be taken against an employee for
(a) seeking to establish a committee, participating in the establishment or work of a committee or acting as a member of a committee or as a coordinator;
(b) acting as an observer under section 205.048;
(c) making a report under section 205.049;
(d) refusing to perform an activity under section 205.05, refusing to be transported under section 205.054 or ceasing to perform a job under section 205.056;
(e) requesting the employer under section 205.057 to modify the functions connected with the employee’s regular work or to reassign the employee;
(f) seeking access to information to which the employee is entitled under this Part;
(g) testifying in any proceeding or inquiry under this Part; or
(h) giving information in accordance with the provisions of this Part or of the regulations made under this Part or with a decision or order made under any of those provisions to a committee, a coordinator, a health and safety officer or any other person having duties or functions under this Part, or under Part III as it relates to safety.
Disciplinary action
(4) Despite paragraph (3)(d), any action referred to in paragraph (1)(a) may be taken against an employee who has exercised rights under section 205.05 or 205.054 after all avenues of redress have been exhausted by the employee, if the operator, employer, provider of services or union taking the action can demonstrate that the employee has wilfully abused those rights.
Reasons
(5) The operator, employer, provider of services or union shall provide the employee with written reasons for any action taken under subsection (4) within 15 days after the day on which a request is received from the employee to do so.
Application by employee for decision
205.06 (1) An employee may, either personally or through a representative, apply to the provincial labour relations board for a decision as to whether
(a) an employer or provider of services has failed to pay wages or grant benefits to the employee that are required under subsection 205.019(2), 205.044(4), 205.045(7), 205.048(6), 205.051(2), 205.052(2) or (3), 205.053(1) or (2), 205.055(2) or (3), 205.056(6) or 205.058(2) or (5); or
(b) a person or organization has taken or threatened to take reprisal action against the employee contrary to subsection 205.059(2).
Time limit
(2) The application shall be made within 90 days after the day on which the grounds for the application became known or ought to have become known to the employee.
Burden of proof
(3) In a proceeding before the provincial labour relations board in respect of an allegation that reprisal action referred to in paragraph (1)(b) has been taken or threatened, the burden of proving that no such reprisal action has been taken or threatened is on the person or organization against whom the allegation is made.
Conduct of proceeding
(4) The rules of practice and procedure that apply to applications for the determination of a matter made under the Labour Relations Act, R.S.N.L. 1990, c. L-1, as amended from time to time (in this section and in sections 205.063, 205.1 and 205.103 referred to as the “Provincial Labour Relations Act”) apply to applications made under subsection (1).
Costs
(5) The costs incurred by the provincial labour relations board in respect of an application made under subsection (1), including the remuneration of its members, shall be paid by the Board as defined in section 2.
Powers, privileges and immunities
(6) The provincial labour relations board and each of its members has the powers, privileges and immunities granted by the Provincial Labour Relations Act.
Non-application of Federal Courts Act
(7) For the purposes of the Federal Courts Act, the provincial labour relations board, when exercising jurisdiction or powers under this section, is not a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Grievance under collective agreement
(8) An employee who is aggrieved by a subject-matter described in paragraph (1)(a) or (b) should, if the employee is bound by a collective agreement that provides for final and binding arbitration of grievances in respect of the subject-matter, present a grievance under the agreement.
Exercise of rights
(9) An employee who exercises their right within the time permitted under the collective agreement is not permitted to make an application under subsection (1) in respect of the same subject-matter unless it is determined that the arbitrator does not have jurisdiction to hear the grievance. In that case, the employee may, within 90 days after the day on which a final determination is made that the arbitrator does not have jurisdiction, make an application under that subsection.
Notice of decision
205.061 If the provincial labour relations board dismisses an application made under subsection 205.06(1) it shall immediately give notice of the decision to the applicant, the Chief Safety Officer and the operator, as well as to the employer, provider of services, person or organization that is the subject of the application.
Order to pay wages or grant benefits
205.062 (1) If the provincial labour relations board decides that an employer or a provider of services that is providing services related to the placement of an employee has failed to pay wages or grant benefits to the employee that are required under this Part, it may order the employer or provider of services, as the case may be, subject to any terms and conditions that it considers appropriate,
(a) to pay those wages or grant those benefits; and
(b) to take any other measure necessary to remedy the matter.
Order in case of reprisal action
(2) If the provincial labour relations board decides that a person or organization has taken reprisal action contrary to subsection 205.059(2), it may, subject to any terms and conditions that it considers appropriate, order
(a) the reinstatement of an employee by an employer on the same terms and conditions under which the employee was employed immediately before the reprisal action;
(b) the payment or the granting to an employee, by the person or organization, of any wages or benefits that the employee would have been entitled to but for the reprisal action;
(c) the removal of any reprimand or other references to the matter from the records of any person or organization;
(d) the reinstatement of an employee to a union if the employee has been expelled by the union; and
(e) the taking by the person or organization of any other measure necessary to remedy the matter.
Order in case of threat of reprisal action
(3) If the provincial labour relations board decides that a person or organization has threatened to take reprisal action contrary to subsection 205.059(2), it shall order the person or organization not to take that action.
Copy of order to Chief Safety Officer
(4) The provincial labour relations board shall, immediately after making an order under this section, give a copy of it to the Chief Safety Officer.
Order to specify breach
(5) An order made under this section shall specify the provisions of this Part or of the regulations made under this Part that have not been complied with or the nature of any reprisal action taken or threatened to be taken contrary to subsection 205.059(2), as the case may be.
Application by employer or provider of services
205.063 (1) An employer or a provider of services may apply in writing to the provincial labour relations board for a determination as to whether
(a) an employee has received wages and benefits under subsection 205.052(3) knowing that no circumstances existed that would warrant the employee’s refusal, under section 205.05, to perform an activity; or
(b) an employee has received wages and benefits under subsection 205.055(3) knowing that no circumstances existed that would warrant the employee’s refusal, under section 205.054, to be transported.
Time limit
(2) The application shall be made within 30 days after all avenues of redress have been exhausted by the employee.
Burden of proof
(3) The burden of proving that no circumstances existed that would warrant the refusal by the employee is on the employer or the provider of services.
Conduct of proceeding
(4) The rules of practice and procedure that apply to applications for the determination of a matter made under the Provincial Labour Relations Act apply to applications made under subsection (1).
Costs
(5) The costs incurred by the provincial labour relations board in respect of an application made under subsection (1), including the remuneration of its members, shall be paid by the Board as defined in section 2.
Powers, privileges and immunities
(6) The provincial labour relations board and each of its members has the powers, privileges and immunities granted by the Provincial Labour Relations Act.
Non-application of Federal Courts Act
(7) For the purposes of the Federal Courts Act, the provincial labour relations board, when exercising jurisdiction or powers under this section, is not a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Notice of decision
205.064 If the provincial labour relations board dismisses an application made under subsection 205.063(1), it shall immediately give notice of the decision to the applicant, the Chief Safety Officer and the operator, as well as to the employee who is the subject of the application.
Notice of decision
205.065 If the provincial labour relations board determines that an employee has received wages and benefits under subsection 205.052(3) or 205.055(3) knowing that no circumstances existed that would warrant the refusal by the employee under section 205.05 to perform an activity, or the refusal by the employee under section 205.054 to be transported, as the case may be, it shall immediately give notice of the decision to the applicant, the Chief Safety Officer and the operator, as well as to the employee who is the subject of the application.
Activities of Board
Research, studies and programs
205.066 (1) The Board may, for the purposes of this Part,
(a) undertake research into the causes of and the means of preventing or reducing occupational injury and illness;
(b) cause studies to be made into occupational health and safety;
(c) publish the results of the research or studies;
(d) compile, prepare and disseminate information related to occupational health and safety obtained from the research and studies;
(e) implement programs to prevent or reduce occupational injury and illness; and
(f) implement — in accordance with the regulations, if any — programs for medical monitoring and examination related to occupational health and safety, request any employer to do so or appoint any medical practitioner qualified in occupational medicine to do so.
Consent for medical monitoring or examination
(2) For the purposes of paragraph (1)(f), medical monitoring or examination of an employee may be conducted only with the employee’s written consent.
Cooperation with governments, etc.
(3) The Board may carry out the activities described in paragraphs (1)(a), (e) and (f) in conjunction with any department or agency of the Government of Canada, the government of any province or a foreign government, or with any other organization that carries out similar activities.
Guidelines and interpretation notes
205.067 (1) The Board may issue and publish, in any manner that it considers appropriate, guidelines and interpretation notes with respect to the application and administration of this Part.
Not statutory instruments
(2) The guidelines and interpretation notes are not statutory instruments for the purposes of the Statutory Instruments Act.
Authorization
Recommendation of Chief Safety Officer
205.068 (1) On receipt under subsection 138(3.1) of an application for an authorization, or to amend an authorization, the Chief Safety Officer shall
(a) consider the potential impact of the work or activity to be authorized on the health and safety of employees engaged in the work or activity; and
(b) make a written recommendation to the Board on the matters considered.
Board to take recommendation into account
(2) In deciding whether to issue or amend an authorization, the Board shall take into account the recommendation of the Chief Safety Officer.
Authorization — occupational health and safety
(3) In addition to any requirement or approval determined by the Board under Part III to which an authorization is subject, the authorization is also subject to any requirements and approvals, not inconsistent with the provisions of this Act or the regulations, that the Board determines relate to occupational health and safety.
Substitutions
Powers of Chief Safety Officer — workplace
205.069 (1) The Chief Safety Officer may, on application, permit the use at a workplace, for a specified time and subject to specified conditions, of specified equipment, methods, measures, standards or other things, in lieu of any required by regulations made under this Part, if he or she is satisfied that protection of the health and safety of employees at the workplace would not be diminished and the granting of the permission is not otherwise prohibited by regulation.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with a permission under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the permission is granted; and
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period fixed by him or her with the agreement of the applicable workplace committee — after the day on which the application has been made available.
Notice at workplace
(5) If the application is made in respect of an existing workplace, the applicant shall give a copy of the application to the operator. An operator shall, immediately after it receives or makes an application relating to an existing workplace
(a) post a copy of it in printed form in a prominent place at the workplace; and
(b) provide a copy to any committee established for that workplace and to any union representing employees within the offshore area.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), inform, in a manner that he or she considers advisable, the applicant, the operator and the public of the decision made on the application.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the applicant for the permission under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time if information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Powers of Chief Safety Officer — passenger craft
205.07 (1) The Chief Safety Officer may, on application by an operator, permit the use on a passenger craft, or the use in respect of employees or other passengers being transported on a passenger craft, for a specified time and subject to specified conditions, of specified equipment, methods, measures, standards or other things, in lieu of any required by regulations made under this Part, if the granting of the permission is not otherwise prohibited by regulation made under this Part and if he or she is satisfied that protection of the health and safety of the employees or other passengers being transported would not be diminished.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with a permission under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the permission is granted;
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application; and
(d) be accompanied by documentation issued by the Minister of Transport indicating that if the permission is granted, it would not contravene any Act or law that applies to the operation of a passenger craft.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period fixed by him or her with the agreement of each workplace committee established by the operator — after the day on which the application has been made available.
Notice at workplace
(5) An operator shall, immediately after it makes an application, post a copy of it in printed form in a prominent place at each of its workplaces, and provide a copy to any committee established for that workplace.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), inform, in a manner that he or she considers advisable, the operator and the public of the decision made on the application.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the operator who requested a permission under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time when information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Administration and Enforcement
Occupational health and safety officers
205.071 (1) Subject to subsection (3), the Federal Minister shall, within 30 days after the day on which the Minister is notified that the Provincial Minister has designated an individual as an occupational health and safety officer under the Provincial Act, designate that individ- ual as an occupational health and safety officer for the purposes of the administration and enforcement of this Part.
Notice of designation
(2) The Federal Minister shall, without delay after making the designation, notify the Provincial Minister in writing that the designation has been made and provide a copy to the Board.
Restriction
(3) The Federal Minister shall not designate an individual if he or she is not satisfied that the individual is qualified to exercise the powers and carry out the duties and functions of an occupational health and safety officer under this Part. If an individual is not designated, the Federal Minister shall without delay notify the Provincial Minister of it in writing and provide a copy to the Board.
Limitation
(4) No individual may be designated under subsection (1) unless they have been recommended to the Provincial Minister by the Board.
Indemnification
(5) An individual designated under subsection (1) who is not an employee of the Board is deemed to be an officer for the purposes of section 16.
Certificate to be produced
(6) An individual designated under subsection (1) shall be provided with a certificate of designation, and, on entering any place under the authority of this Part shall, if so requested, produce the certificate to the person in charge of the place.
Special officers
205.072 (1) If the Provincial Minister is satisfied that the circumstances described in paragraphs (a) and (b) exist and he or she appoints an individual as a special officer under the Provincial Act in relation to a matter connected to the risk described in paragraph (a), the Federal Minister may, after being advised of that appointment, and subject to subsection (2), designate that individual as a special officer for the purposes of the administration and enforcement of this Part in relation to the same matter:
(a) there are reasonable grounds to believe that action by a special officer is required to avoid a serious risk to the health and safety of employees in the offshore area within the near future; and
(b) the risk cannot be avoided through the exercise of powers conferred under subsection 42(1.1) or section 205.119 or 205.12.
Restriction
(2) The Federal Minister may designate the individual only if he or she, after consulting with the Minister of Labour, is satisfied that the circumstances described in paragraphs (1)(a) and (b) exist and that the individual is qualified to exercise the powers and carry out the duties and functions of a special officer under this Part.
Notice of designation
(3) The Federal Minister shall, without delay after making a designation, notify the Provincial Minister in writing that the designation has been made and provide a copy to the Board.
Certificate to be produced
(4) The individual shall be provided with a certificate of designation and, on entering any place under the authority of this Part, shall, if so requested, produce the certificate to the person in charge of the place.
No liability
(5) No action lies against the Board for anything done or omitted to be done by an individual designated under subsection (1) while carrying out their duties or functions, or by any person in the course of assisting such an individual.
Orders for verifying compliance
205.073 (1) A health and safety officer may, for the purpose of verifying compliance with this Part, order an operator, employer, employee, supervisor, interest holder, owner, provider of services or supplier
(a) to do, in a place that is used for any work or activity for which an authorization has been issued, including a passenger craft or an aircraft or vessel that has been used or is intended to be used as a passenger craft, any of the following:
(i) inspect anything,
(ii) pose questions or conduct tests or monitoring, and
(iii) take photographs or measurements or make recordings or drawings;
(b) to accompany or assist the officer while the officer is in a place described in paragraph (a);
(c) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(d) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(e) to ensure that all or part of a place described in paragraph (a), or anything located in the place, that is under their control, not be disturbed for a reasonable period pending the exercise of any powers under this section; and
(f) to remove anything from a place described in paragraph (a) and to provide it to the officer, in the manner specified by the officer, for examination, testing or copying.
Orders for verifying compliance
(2) A health and safety officer may, for the purpose of verifying compliance with this Part, order any person in charge of a place, other than a person in charge of a place referred to in paragraph (1)(a), in which the officer has reasonable grounds to believe that there is anything to which this Part applies
(a) to inspect anything in the place;
(b) to pose questions, or conduct tests or monitoring, in the place;
(c) to take photographs or measurements, or make recordings or drawings, in the place;
(d) to accompany or assist the officer while the officer is in the place;
(e) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(f) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(g) to ensure that all or part of the place, or anything located in the place, that is under their control, not be disturbed for a reasonable period pending the exercise of any powers under this section; and
(h) to remove anything from the place and to provide it to the officer, in the manner specified by the officer, for examination, testing or copying.
Powers on entry
(3) A health and safety officer may, for the purpose of verifying compliance with this Part and subject to section 205.075, enter a place that is used for any work or activity for which an authorization has been issued, including a passenger craft or an aircraft or vessel that has been used or is intended to be used as a passenger craft, or any other place in which the officer has reasonable grounds to believe that there is anything to which this Part applies, and may for that purpose
(a) inspect anything in the place;
(b) pose questions, or conduct tests or monitoring, in the place;
(c) take samples from the place, or cause them to be taken, for examination or testing, and dispose of those samples;
(d) remove anything from the place, or cause it to be removed, for examination, testing or copying;
(e) while at the place, take or cause to be taken photographs or measurements, make or cause to be made recordings or drawings or use systems in the place that capture images or cause them to be used;
(f) use any computer system in the place, or cause it to be used, to examine data contained in or available to it;
(g) prepare a document, or cause one to be prepared, based on data contained in or available to the computer system;
(h) use any copying equipment in the place, or cause it to be used, to make copies;
(i) be accompanied while in the place by any individual, or be assisted while in the place by any person, that the officer considers necessary; and
(j) meet in private with any individual in the place, with the agreement of that individual.
Clarification
(4) For greater certainty, a health and safety officer who has entered a place under subsection (3) may order any individual in the place to do anything described in paragraphs (1)(a) to (f) or (2)(a) to (h), as the case may be.
Return of things removed
(5) Anything removed under paragraph (1)(f), (2)(h) or (3)(d) for examination, testing or copying shall, if requested by the person from whom it was removed, be returned to that person after the examination, testing or copying is completed, unless it is required for the purpose of a prosecution under this Part.
Reports to be provided to operator
205.074 (1) A health and safety officer shall provide to an operator written reports respecting anything inspected, tested or monitored at any of its workplaces by, or on the order of, the officer for the purpose of verifying compliance with this Part.
Reports to be provided to employer
(2) A health and safety officer shall provide to each employer at a workplace written reports respecting anything inspected, tested or monitored at the workplace by, or on the order of, the officer for the purpose of verifying compliance with this Part that relate to the health and safety of the employer’s employees.
Editing of report — trade secrets
(3) If a report contains a trade secret, the health and safety officer may edit the report to protect the trade secret.
Editing of report — medical and other information
(4) If a report contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the health and safety officer shall edit the report to protect that information before providing it to an operator or employer, unless the individual to whom the information relates consents in writing to the disclosure of the information to the operator or employer.
Entering living quarters
205.075 (1) If the place referred to in subsection 205.073(3) is living quarters, a health and safety officer is not authorized to enter those quarters without the consent of the occupant except
(a) to execute a warrant issued under subsection (4);
(b) to verify that any lifesaving equipment that is prescribed is readily available and in good condition; or
(c) to verify that those quarters, if on a marine installation or structure, are in a structurally sound condition sufficient to ensure the health and safety of employees.
Notice
(2) The officer shall provide reasonable notice to the occupant before entering living quarters under paragraph (1)(b) or (c).
Exception
(3) Despite paragraphs (1)(b) and (c), any locker in the living quarters that is fitted with a locking device and that is assigned to the occupant shall not be opened by the officer without the occupant’s consent except under the authority of a warrant issued under subsection (4).
Authority to issue warrant
(4) On ex parte application, a justice of the peace may issue a warrant authorizing a health and safety officer who is named in it to enter living quarters subject to any conditions specified in the warrant if the justice is satisfied by information on oath that
(a) the living quarters are a place referred to in subsection 205.073(3);
(b) entry to the living quarters is necessary to verify compliance with this Part; and
(c) entry was refused by the occupant or there are reasonable grounds to believe that entry will be refused or that consent to entry cannot be obtained from the occupant.
Authority to open locker
(5) The warrant may also authorize a locker described in subsection (3) to be opened, subject to any conditions specified in the warrant, if the justice is satisfied by information on oath that
(a) it is necessary to open the locker to verify compliance with this Part; and
(b) the occupant to whom it is assigned refused to allow it to be opened or there are reasonable grounds to believe that the occupant to whom it is assigned will refuse to allow it to be opened or that consent to opening it cannot be obtained from that occupant.
Use of force
(6) The health and safety officer who executes a warrant issued under subsection (4) shall not use force unless the use of force has been specifically authorized in the warrant.
Telewarrant provisions to apply
(7) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by a health and safety officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Definition of “living quarters”
(8) In this section, “living quarters” means sleeping quarters provided for the accommodation of employees on a marine installation or structure or a passenger craft, and any room for the exclusive use of the occupants of those quarters that contains a toilet or a urinal.
Assistance to officers
205.076 (1) The operator for, employers, employees and supervisors at, owners of, suppliers or providers of services to, as well as the person in charge of, a place entered by a health and safety officer under subsection 205.073(3) — and the interest holders having an interest, or a share of an interest, in any portion of the offshore area in which the place is located — shall give all assistance that is reasonably required to enable the officer to verify compliance with this Part and shall provide any documents, data or information that is reasonably required for that purpose.
Transportation, accommodation and food
(2) If the place referred to in subsection 205.073(3) is a workplace, the operator shall provide to the health and safety officer, and to every individual accompanying that officer, free of charge,
(a) suitable transportation between the operator’s usual point of embarkation on shore and the workplace, between the workplace and the operator’s usual point of disembarkation on shore, and between workplaces; and
(b) suitable accommodation and food at the workplace.
False statements or information
205.077 No person shall make a false or misleading statement or provide false or misleading information, in connection with any matter under this Part, to a health and safety officer who is carrying out duties or functions under this Part or to the Chief Safety Officer when he or she is conducting a review under section 205.099.
Obstruction
205.078 No person shall obstruct or hinder a health and safety officer who is carrying out duties or functions under this Part or the Chief Safety Officer when he or she is conducting a review under section 205.099.
Accompaniment of health and safety officer
205.079 (1) A health and safety officer who is inspecting, testing or monitoring anything in a workplace under subsection 205.073(3) shall give to an employer representative at the workplace, and to a member of the workplace committee who represents employees, an opportunity to accompany the officer when the officer is carrying out those activities.
Employee representative unavailable
(2) If no employee representative from the workplace committee is available, the officer may select one or more other employees to accompany them.
Unaccompanied examination
(3) The officer may carry out the activities without being accompanied by an employer or employee representative if either or both of them are unavailable and the officer considers that it is necessary to proceed immediately with those activities.
Consultation with employees
(4) If the officer is not accompanied by an employee representative, the officer shall endeavour to consult with a number of employees when carrying out the activities.
Compensation of employee
(5) An individual who is accompanying or being consulted by an officer under this section shall be paid the same wages and granted the same benefits that the individual would have received had they been working.
Authority to issue warrant
205.08 (1) On ex parte application, a justice of the peace may issue a warrant if the justice is satisfied by information on oath that there are reasonable grounds to believe that there is in any place anything that will provide evidence or information relating to the commission of an offence under this Part.
Powers under warrant
(2) The warrant may authorize a health and safety officer, and any other individual named in the warrant, to at any time enter and search the place and to seize anything specified in the warrant, or do any of the following as specified in it, subject to any conditions that may be specified in it:
(a) conduct examinations, tests or monitoring;
(b) take samples for examination or testing, and dispose of those samples; or
(c) take photographs or measurements, make recordings or drawings, or use systems in the place that capture images.
Where warrant not necessary
(3) A health and safety officer may exercise the powers described in this section without a warrant if the conditions for obtaining the warrant exist but by reason of exigent circumstances it would not be feasible to obtain one.
Exigent circumstances
(4) Exigent circumstances include circumstances in which the delay necessary to obtain the warrant would result in danger to human life or the loss or destruction of evidence.
Operation of computer system and copying equipment
(5) An individual authorized under this section to search a computer system in a place may
(a) use or cause to be used any computer system at the place to search any data contained in or available to the computer system;
(b) reproduce or cause to be reproduced any data in the form of a printout or other intelligible output;
(c) seize any printout or other output for examination or copying; and
(d) use or cause to be used any copying equipment at the place to make copies of the data.
Duty of person in charge of place
(6) Every person who is in charge of a place in respect of which a search is carried out under this section shall, on presentation of the warrant, permit the individual carrying out the search to do anything described in subsection (5).
Transportation, accommodation and food
(7) An operator shall provide, free of charge, to an individual who is executing a warrant under this section at any of its workplaces
(a) suitable return transportation between the workplace and any location from which transportation services to that workplace are usually provided, and between workplaces; and
(b) suitable accommodation and food at the workplace.
Telewarrant provisions to apply
(8) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by a health and safety officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Storage and removal
205.081 (1) A thing seized under this Part may be stored in the place where it was seized or may, at the discretion of a health and safety officer, be removed to any other place for storage. The owner of the thing or the person who is lawfully entitled to possess it shall pay the costs of storage or removal.
Perishable things
(2) If the thing seized is perishable, a health and safety officer may destroy the thing, or otherwise dispose of it in any manner the officer considers appropriate. Any proceeds realized from its disposition shall be paid to the Receiver General.
Non-disturbance of Scene
Serious injury or death
205.082 (1) In the case of an incident at a workplace, or involving a passenger craft, that results in serious injury or death, no person shall, unless authorized to do so by a health and safety officer, disturb anything related to the incident except to the extent necessary to
(a) attend to any individuals who are injured or killed;
(b) prevent further injuries; or
(c) prevent damage to or loss of property.
Exception — passenger craft
(2) If an individual is killed or seriously injured by an incident involving a passenger craft, an individual who is investigating the incident under the Aeronautics Act, the Canada Shipping Act, 2001 or the Canadian Transportation Accident Investigation and Safety Board Act is not required to obtain an authorization under subsection (1).
Disclosure of Information
Provision of information
205.083 No person shall prevent an employee from providing to a health and safety officer or to the Board, or to any person or committee having duties or functions under this Part, information that they may require to carry out their duties or functions.
Information not to be disclosed
205.084 Subject to sections 205.087 to 205.089, no person shall — except for the purposes of this Part, for the purposes of a prosecution under this Part, for the purposes of Part III as it relates to safety or for the purposes of a prosecution under Part III that relates to safety — disclose the results of
(a) activities carried out by or on the order of a health and safety officer for the purpose of verifying compliance with this Part; or
(b) activities carried out under a warrant issued under this Part.
Non-disclosure of identity
205.085 Subject to section 205.088, no individual to whom information obtained under this Part is communicated in confidence shall disclose the identity of the individual who provided it except for the purposes of this Part, and no individual who obtains such information in confidence is competent or compellable to disclose the identity of the individual who provided it before any court or other tribunal except by order of the court or tribunal on any terms and conditions that the court or tribunal considers just.
Non-disclosure of trade secrets
205.086 (1) Subject to subsections (2) and 205.088(1), trade secrets that become known to a health and safety officer who enters a place under subsection 205.073(3), or to an individual accompanying or a person assisting the officer, are privileged and shall not be disclosed except for the purposes of this Part, or for the purposes of Part III as it relates to safety.
Information on hazardous products and materials
(2) Information that, under the Hazardous Materials Information Review Act, a person is exempt from disclosing under paragraph 205.022(d) or (e) or under paragraph 13(a) or (b) of the Hazardous Products Act, and that is obtained by a health and safety officer who enters a place under subsection 205.073(3), or by an individual accompanying or a person assisting the officer, is privileged and, despite the Access to Information Act or any other Act or law, shall not be disclosed to any other person except for the purposes of this Part, or for the purposes of Part III as it relates to safety.
Secondary release of information
(3) Subject to subsection 205.088(2), information disclosed under subsection (1) or (2) shall not be further disclosed by the recipient, except for the purpose for which it was disclosed to them.
Disclosure by Chief Safety Officer
205.087 (1) Despite section 119, the Chief Safety Officer may disclose information — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, an individual’s identity the disclosure of which is restricted under section 205.085 or information the disclosure of which is restricted under section 205.086 — related to occupational health and safety that he or she obtains in his or her capacity as Chief Safety Officer to officials of the federal government, a provincial government or a foreign government, or of an agency of any of those governments, for the purposes of a federal or provincial law or activity or a foreign law, if the Officer is satisfied that disclosure is in the interest of health and safety and the information is disclosed subject to any conditions agreed upon by the Officer and the government or agency.
Disclosure by federal government or agency
(2) Officials of the federal government or of an agency of the federal government may for the purposes of this Part disclose information related to occupational health and safety — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual — to the Chief Safety Officer, if they are satisfied that disclosure is in the interest of health and safety and it is disclosed subject to any conditions agreed upon by the federal government or agency and the Officer.
Secondary release of information
(3) Information disclosed under subsection (1) or (2) shall not be further disclosed by the recipient without the consent in writing of the person who disclosed it to them, unless it is disclosed for the same purposes and subject to the conditions referred to in that subsection.
Access to information by governments
205.088 (1) The Federal Minister and the Provincial Minister are entitled to access to any information that is recorded in any form — other than information relating to the medical history of an identifiable individual or information the disclosure of which is restricted under subsection 205.086(2) — if the record is under the control of the Board and the information relates to this Part, and that information shall, on the request of either Minister, be disclosed to that Minister without requiring the consent in writing of the person to whom the information relates.
Secondary release of information
(2) Information disclosed to either Minister under subsection (1) shall not be further disclosed by that Minister without the consent in writing of the person to whom it relates except for the purposes of this Part or for the purposes of Part III as it relates to safety.
Disclosure by Board
205.089 Despite section 119, the Board may, after consulting with the Chief Safety Officer, disclose information under its control that relates to this Part — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, an individ- ual’s identity the disclosure of which is restricted under section 205.085 or information the disclosure of which is restricted under section 205.086 — if the Board is satisfied that the public interest in making the disclosure clearly outweighs any potential harm resulting from the disclosure.
Proceedings
Privilege
205.09 (1) No health and safety officer and no individual who has accompanied or person who has assisted the officer in carrying out the officer’s duties or functions may be required to give testimony in civil or administrative proceedings, other than proceedings under this Part, relating to information obtained in the exercise of the officer’s powers or in the carrying out of the officer’s duties or functions or in accompanying or assisting the officer, except with the written permission of the Board.
Non-application of section 205.084
(2) If a person to whom subsection (1) applies is required to give testimony in civil or administrative proceedings for which they have the written permission referred to in that subsection, section 205.084 does not apply to restrict the disclosure of the results described in that section.
Privilege
(3) No person shall be required to produce or give evidence in any civil or administrative proceeding relating to any information disclosed to them under subsection 205.087(1) or (2) or 205.088(1).
No action against health and safety officer
205.091 No action lies against
(a) a health and safety officer for anything done or omitted to be done by them in good faith while carrying out their duties or functions under this Part; or
(b) an individual accompanying or a person assisting a health and safety officer for anything done or omitted to be done by them in good faith while carrying out their duties or functions under this Part.
Orders and Decisions
Order to terminate contravention
205.092 A health and safety officer who is of the opinion that a provision of this Part or of the regulations made under this Part is being contravened or has recently been contravened by any person may order the person to
(a) terminate the contravention within the time that the officer specifies; and
(b) take measures specified by the officer, within the period that they specify, to ensure that the contravention does not continue or reoccur.
Dangerous situations — order
205.093 (1) If a health and safety officer is of the opinion that the performance of an activity — including the use or operation of any thing or the conditions under which an activity is performed — constitutes a danger to an employee or other individual at a workplace or a passenger on a passenger craft, the officer shall order any person to take measures, immediately or within the period that the officer specifies
(a) to correct the hazard or condition, or to alter the activity, that constitutes the danger; or
(b) to protect any individual from the danger.
Dangerous situations — additional order
(2) If a health and safety officer is of the opinion that the measures cannot be taken immediately, the officer may order any person not to use a place, operate a thing or perform an activity to which an order under subsection (1) relates until that order is complied with.
Necessary measures
(3) Nothing in subsection (2) prevents the doing of anything necessary to comply with the order under subsection (1).
Posting notice of danger
(4) If a health and safety officer makes an order under subsection (2), the officer shall post or affix or cause to be posted or affixed to or near the place or thing to which the order relates, or in the area in which the activity to which the order relates is performed, a notice in the form, and containing the information, that the officer may specify, and no person shall remove the notice unless they are authorized by a health and safety officer to do so.
Cessation of use
(5) If a health and safety officer makes an order under subsection (2), the person to whom the order is directed shall cause the use or operation of the place or thing or the perform- ance of the activity to be discontinued, and no individual shall use or operate the place or thing or perform the activity until the order under subsection (1) is complied with.
Copy of order
205.094 (1) A health and safety officer shall give a copy of any order they make under section 205.092 or subsection 205.093(1) or (2) to the person to whom it is directed and to the operator to whom the order relates. If a special officer makes the order, they shall give a copy of it to the Chief Safety Officer also.
Copy to affected employee
(2) If an occupational health and safety officer makes an order under section 205.092 or subsection 205.093(1) or (2) as a result of being notified under subsection 205.049(4), 205.05(6) or 205.054(6), or decides after being so notified not to make an order, the officer shall, as soon as possible, give a copy of the order, or written notice of the decision, to the employee who made the report under subsection 205.049(1) or who exercised their rights under section 205.05 or 205.054.
Confirmation in writing
(3) If an order is made orally under section 205.092 or subsection 205.093(1) or (2), it shall be confirmed in writing and a copy given, as soon as possible, to the persons who, under subsections (1) and (2), are required to be given a copy.
When order may be made
(4) A health and safety officer may make an order under section 205.092 or subsection 205.093(1) or (2) even if the officer is not physically present in the place to which the order refers.
Compliance notice
205.095 The person to whom an order under section 205.092 or subsection 205.093(1) or (2) is directed shall, within the period specified in the order, submit to the health and safety officer a notice of compliance describing the extent to which they have complied with the order, unless the officer decides that the notice is not necessary because compliance with the order has been achieved.
Priority — special officer
205.096 (1) An order made by a special officer prevails over an order made by an occupational health and safety officer, the Chief Safety Officer, an operational safety officer, a conservation officer or the Chief Conservation Officer, as defined in section 135, to the extent of any inconsistency between the orders.
Priority — occupational health and safety officer
(2) An order or a decision made by an occupational health and safety officer prevails over an order or a decision made by an operational safety officer, a conservation officer or the Chief Conservation Officer, as defined in section 135, to the extent of any inconsistency between the orders or decisions.
Posting and Providing of Certain Documents
Duty of operator or employer
205.097 (1) Subject to subsections (2) and (3), every operator or employer, as the case may be, shall, as soon as practicable after filing or receiving any of the following documents, post a copy of it in a prominent location at the workplace to which it relates and provide a copy of it to the workplace committee or the coordinator, as the case may be:
(a) an order made under section 205.092 or subsection 205.093(1) or (2);
(b) a notice of compliance referred to in section 205.095;
(c) an application for a review made under subsection 205.098(1) or a decision made under subsection 205.099(1); or
(d) an application for a determination made under subsection 205.1(2) or a decision or order made under subsection 205.1(6).
Editing of document — trade secrets
(2) If any document required to be posted under subsection (1) contains a trade secret, the operator or employer, as the case may be, may, before posting it, edit it to protect that trade secret. If the document is edited, the operator or employer shall obtain the written approval of a health and safety officer for the document as edited before posting it.
Editing of document — medical and other information
(3) If any document required to be posted under subsection (1) contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the operator or employer, as the case may be, shall — unless the individual to whom the information relates consents in writing to the information being posted — before posting it, edit it to protect that information, and obtain the written approval of a health and safety officer for the document as edited.
Obligation to post satisfied
(4) An obligation imposed on an operator or employer under subsection (1) is satisfied if
(a) the operator or employer, as the case may be, ensures that the document is posted for the time necessary, which is at least 30 days or any longer period that is prescribed, to enable employees at the workplace to inform themselves of the content; or
(b) the operator or employer, as the case may be, provides a copy of the document to each employee at the workplace.
Review and Appeals
Review
205.098 (1) Subject to subsection (2), any person who is, or any union representing employees who are, directly affected by a decision of an occupational health and safety officer under subsection 205.05(10) or 205.054(10), or by an order of an occupational health and safety officer under section 205.092 or subsection 205.093(1) or (2), may apply for a review by the Chief Safety Officer of the decision or order.
Exception
(2) If the Chief Safety Officer, acting as an occupational health and safety officer, makes a decision under subsection 205.05(10) or 205.054(10) or an order under section 205.092 or subsection 205.093(1) or (2), he or she is not permitted to review those decisions or orders.
Time limit
(3) An application for a review shall be made in writing to the Chief Safety Officer within 45 days after the date of the decision or order that is the subject of the review being made in writing or, if the decision or order was made orally, of it being confirmed in writing.
No stay
(4) Unless otherwise ordered by the Chief Safety Officer, an application for review of a decision or an order does not operate as a stay of the decision or order.
Decision
205.099 (1) On receiving an application for a review, the Chief Safety Officer shall, in a summary way and without delay, enquire into the circumstances of the decision or order and may confirm, vary or revoke the decision or order. In making his or her enquiry, the Officer may consider new information including, but not limited to, information provided by the applicant.
Review not prevented
(2) The Chief Safety Officer is not prevented from conducting a review by reason only that he or she, in the course of carrying out his or her duties and functions under this Part, receives information regarding the matter under review or communicates with any person concerning that matter.
Communication of decision
(3) The Chief Safety Officer shall provide his or her decision in writing, with reasons, to the applicant, to the operator affected by it and to any person who made representations in relation to the matter under review.
Effect of decision
(4) A decision of the Chief Safety Officer made under this section that is not appealed is final and binding and not subject to review.
Appeal
205.1 (1) Any person who is, or any union representing employees who are, directly affected by any of the following decisions or orders may appeal the decision or order to the provincial labour relations board:
(a) an order of a special officer under section 205.092 or subsection 205.093(1) or (2);
(b) an order of the Chief Safety Officer referred to in subsection 205.046(1) or (2) or 205.098(2); or
(c) a decision of the Chief Safety Officer under subsection 205.099(1).
Time limit
(2) An appeal shall be made by filing an application for a determination of the matter under the Provincial Labour Relations Act within 45 days after the date of the decision or order that is the subject of the appeal.
No stay
(3) Unless otherwise ordered by the provincial labour relations board, an appeal of a decision or order does not operate as a stay of the decision or order.
Chief Safety Officer
(4) The Chief Safety Officer may make representations to the provincial labour relations board in respect of the decision or order being appealed and that board may impose any conditions on the representations that it considers appropriate.
Conduct of appeal
(5) The rules of practice and procedure that apply to applications for the determination of a matter made under the Provincial Labour Relations Act apply to appeals made under subsection (1).
Decision
(6) The provincial labour relations board may revoke, or make an order confirming or varying, the decision or order being appealed, and may make any order that a health and safety officer has the power or duty to make under subsection 205.093(1) or (2) if it is related to the subject-matter of the decision or order being appealed and that board is satisfied that the danger still exists.
Costs
(7) The costs incurred by the provincial labour relations board in respect of an appeal made under subsection (1), including the remuneration of its members, shall be paid by the Board as defined in section 2.
Requirement to give copies to operator, etc.
(8) If the provincial labour relations board makes a decision or order under subsection (6), and an employer is required to receive a copy of the decision or order under the Provincial Labour Relations Act, the operator and Chief Safety Officer shall receive a copy of it as well.
Powers, privileges and immunities
(9) The provincial labour relations board and each of its members has the powers, privileges and immunities granted by the Provincial Labour Relations Act.
Cessation of use
(10) If the provincial labour relations board makes an order that a health and safety officer has the power or duty to make under subsection 205.093(2) in respect of a place, thing or activity, the person to whom the order is directed shall cause the use or operation of the place or thing or the performance of the activity to be discontinued, and no individual shall use or operate the place or thing or perform the activity until the measures ordered by that board have been taken.
Non-application of Federal Courts Act
(11) For the purposes of the Federal Courts Act, the provincial labour relations board, when exercising jurisdiction or powers under this section, is not a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Compensation of employees
205.101 Time spent by an employee attending proceedings under section 205.1 as a party, or as a witness as a result of a summons, is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Non-application of Federal Courts Act
205.102 For the purposes of the Federal Courts Act, neither the Board, the Chief Safety Officer nor a health and safety officer, when exercising or purporting to exercise jurisdiction or powers conferred on them under this Part, is a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Enforcement of Orders
Supreme Court of Newfoundland and Labrador
205.103 (1) An order made under any of subsections 205.062(1) to (3) or 205.1(6) may, for the purpose of its enforcement, be made an order of the Supreme Court of Newfoundland and Labrador and shall be enforced in the same manner as any order of that Court.
Procedure for enforcement
(2) To make the order an order of the Supreme Court of Newfoundland and Labrador, the rules of practice and procedure established under the Provincial Labour Relations Act for making any order an order of that Court may be followed.
When order rescinded or replaced
(3) After an order has been made an order of the Supreme Court of Newfoundland and Labrador, any subsequent order rescinding or replacing the first order has the effect of cancelling the order of the Court, and that subsequent order may be made an order of that Court in the same manner.
Offences and Penalties
Offences
205.104 (1) Every person is guilty of an offence who
(a) contravenes any provision of this Part or of the regulations made under this Part;
(b) makes any false entry or statement in any report, record or other document required by this Part or the regulations made under this Part or by any order made under this Part;
(c) destroys, damages or falsifies any report, record or other document required by this Part or the regulations made under this Part or by any order made under this Part;
(d) fails to comply with an order of a health and safety officer;
(e) fails to comply with a requirement of the Chief Safety Officer under section 205.016 or 205.021;
(f) fails to comply with a decision of the Chief Safety Officer under section 205.099; or
(g) fails to comply with an order of the provincial labour relations board under subsection 205.1(6).
Punishment
(2) Every person who is guilty of an offence under subsection (1) is liable
(a) on summary conviction, to a fine not exceeding $100,000 or to imprisonment for a term not exceeding one year, or to both; or
(b) on conviction on indictment, to a fine not exceeding $1,000,000 or to imprisonment for a term not exceeding five years, or to both.
Offence — paragraph (1)(a)
(3) Despite paragraph (1)(a), a person who contravenes paragraph 205.013(l) or (m), 205.019(1)(k), 205.035(b) or 205.036(1)(b) is not guilty of an offence unless compliance with that paragraph is necessary to protect occupational health and safety.
Self-incrimination
(4) No individual shall be excused from recording in accordance with section 205.013 or 205.019 instances of non-compliance and any corrective action taken on the grounds that any information given by them may tend to incriminate them or subject them to any proceeding or penalty, but the information, or any evidence derived from it, may not be used or received to incriminate that individual in any criminal proceeding initiated against them, other than a prosecution under section 132, 136 or 137 of the Criminal Code.
Due diligence defence
(5) No person shall be found guilty of an offence under subsection (1) if they establish that they exercised due diligence to prevent the commission of the offence.
Offence by officers, etc., of corporation
205.105 (1) If a corporation commits an offence under this Part, any of the following individuals who directed, authorized, assented to, acquiesced in or participated in the commission of the offence is a party to and guilty of the offence and is liable on conviction to the punishment provided for the offence, whether or not the corporation has been prosecuted or convicted:
(a) an officer, director or agent of the corporation; and
(b) any other individual exercising managerial or supervisory functions in the corporation.
Offence by employee or agent
(2) In a prosecution for an offence under this Part, it is sufficient proof of the offence to establish that it was committed by an employee or agent of the accused, whether or not the employee or agent is identified or has been prosecuted for the offence.
Imprisonment precluded in certain cases
205.106 If an individual is convicted of an offence under this Part on proceedings by way of summary conviction, no imprisonment may be imposed in default of payment of any fine imposed as punishment.
Orders of court
205.107 (1) If a person is convicted of an offence under this Part, the court may, having regard to the nature of the offence and the circumstances surrounding its commission, in addition to any other punishment that may be imposed under this Part, make an order that has any or all of the following effects:
(a) prohibiting the offender from committing an act or engaging in an activity that may, in the opinion of the court, result in the continuation or repetition of the offence;
(b) directing the offender to take any meas- ures that the court considers appropriate to avoid any harm to health or safety that may result from the act or omission that constituted the offence, or to remedy any harm to health or safety resulting from it;
(c) directing the offender, at the offender’s own expense, to publish, in any manner that the court directs, the facts relating to the offence;
(d) directing the offender to submit to the Chief Safety Officer, on application by that Officer within three years after the conviction, any information with respect to the offender’s activities that the court considers appropriate in the circumstances;
(e) directing the offender to pay to the Board an amount of money that the court considers appropriate for the purpose of conducting research, education and training in occupational health and safety matters;
(f) directing the offender to perform community service, subject to any reasonable conditions that may be imposed by the court;
(g) directing the offender to post a bond or pay an amount of money into court that the court considers appropriate to ensure that the offender complies with any prohibition, direction, requirement or condition that is specified in the order; and
(h) requiring the offender to comply with any conditions that the court considers appropriate in the circumstances for securing the offender’s good conduct and for preventing the offender from repeating the same offence or committing another offence under this Part.
Coming into force and duration of order
(2) An order made under subsection (1) comes into force on the day on which the order is made or on any other day that the court may determine, but shall not continue in force for more than three years after that day.
Publication
(3) If an offender does not comply with an order under paragraph (1)(c) requiring the publication of facts relating to the offence, the Chief Safety Officer may publish the facts and recover the costs of publication from the offender.
Variation of sanctions
205.108 (1) Subject to subsection (2), if a court has made an order under subsection 205.107(1), the court may, on application by the offender or the Chief Safety Officer, require the offender to appear before it and, after hearing the offender and the Chief Safety Officer, vary the order in one or more of the following ways that the court considers appropriate because of a change in the circumstances of the offender since the order was made:
(a) by making changes to any prohibition, direction, requirement or condition that is specified in the order or by extending the time during which the order is to remain in force for any period, not exceeding one year, that the court considers appropriate; or
(b) by decreasing the time during which the order is to remain in force or by relieving the offender, either absolutely or partially or for any period that the court considers appropriate, of compliance with any condition that is specified in the order.
Notice
(2) Before making an order under subsection (1), the court may direct that notice be given to any persons that the court considers to be interested and may hear any of those persons.
Subsequent applications with leave
205.109 If an application made under subsection 205.108(1) in relation to an offender has been heard by a court, no other application may be made under that section in relation to the offender except with leave of the court.
Recovery of fines and amounts
205.11 If a person is convicted of an offence under this Part and a fine that is imposed is not paid when required or if a court orders an offender to pay an amount under subsection 205.107(1) or 205.108(1), the prosecutor may, by filing the conviction or order, as the case may be, enter as a judgment the amount of the fine or the amount ordered to be paid, and costs, if any, in the Supreme Court of Newfoundland and Labrador, and the judgment is enforceable against the person in the same manner as if it were a judgment rendered against them in that Court in civil proceedings.
Order to comply
205.111 If a person is guilty of an offence under this Part, a court may, in addition to any other penalty it may impose, order that person to comply with the provisions of this Part or the regulation or order for the contravention of which that person has been convicted.
Continuing offences
205.112 If an offence under this Part is committed on more than one day or is continued for more than one day, it constitutes a separate offence for each day on which it is committed or continued.
Time limited for summary conviction proceedings
205.113 Proceedings by way of summary conviction for an offence under this Part may be instituted at any time within but not later than three years after the day on which the subject-matter of the proceedings arose, unless the prosecutor and the defendant otherwise agree.
Evidence
205.114 In any prosecution for an offence under this Part, a copy of any order or other document purporting to have been made under this Part — and purporting to have been signed, in the case of an order or other document purporting to have been made by the provincial labour relations board, by the chief executive officer or a member of that board and, in any other case, by the individual authorized under this Part to make that order or document — is, in the absence of any evidence to the contrary, proof of the matters set out in it.
Jurisdiction of justice or judge
205.115 Any complaint or information relating to an offence under this Part may be heard, tried or determined by a justice of the peace or judge if the accused is resident or carrying on business within the territorial jurisdiction of that justice or judge although the matter of the complaint or information did not arise in that territorial jurisdiction.
Action to enjoin not prejudiced by prosecution
205.116 (1) Even though a prosecution has been instituted for an offence under this Part, the Board may commence and maintain an action to enjoin the committing of any contravention of any provision of this Part or of the regulations made under this Part.
Civil remedy not affected
(2) No civil remedy for any act or omission is suspended or affected by reason that the act or omission is an offence under this Part.
Information
205.117 In any proceedings for an offence under this Part
(a) an information may include more than one offence committed by the same person;
(b) all those offences may be tried concurrently; and
(c) one conviction for any or all offences so included may be made.
Advisory Council
Establishment
205.118 (1) An advisory council is established, composed of
(a) four representatives of employees and four representatives of industry;
(b) two representatives of the government of Canada and two representatives of the government of the Province; and
(c) the Chief Safety Officer ex officio or his or her representative.
Appointment of employee and industry representatives
(2) Two of the employee representatives and two of the industry representatives shall be appointed jointly by the Federal Minister and the Minister of Labour and the other four shall be appointed jointly by the provincial counterparts of those Ministers.
Consultation
(3) Before making any appointment referred to in subsection (2), the Federal Minister and the Minister of Labour, or their provincial counterparts, as the case may be, shall consult with non-management employees, or the unions representing them, on the appointment of an employee representative and with industry associations on the appointment of an industry representative.
Appointment of government representatives
(4) The federal government representatives shall be appointed jointly by the Federal Minister and the Minister of Labour and the provincial government representatives shall be appointed jointly by the provincial counterparts of those Ministers.
Mandate
(5) The mandate of the advisory council is to advise the Board, the Federal Minister, the Minister of Labour and the provincial counterparts of those Ministers on
(a) the administration and enforcement of this Part; and
(b) any other matter related to occupational health and safety that is referred to it by any of them.
Remuneration and expenses
(6) At the discretion of the Federal Minister, the Minister of Labour and their provincial counterparts, the members of the advisory council may be paid
(a) the remuneration that may be jointly fixed by those Ministers and their provincial counterparts; and
(b) any reasonable travel and living expenses that are incurred by the members while carrying out their duties or functions away from their ordinary place of residence.
The Board shall pay that remuneration and those expenses.
Duration and renewal of appointments
(7) Members are to be appointed for a term of not more than five years and may be reappointed.
Chairpersons
(8) The advisory council is to have two chairpersons selected from among its members. One of the chairpersons shall be selected by the employee representatives and the other shall be selected by the industry representatives.
Audits and Inquiries
Appointment of auditor
205.119 (1) The Federal Minister or the Provincial Minister, or both, may appoint any individual as auditor to measure and report on the effectiveness of the Board in carrying out its duties and functions under this Part. A report of the audit shall be made, as soon as practicable, to each of those Ministers and the Board.
Access to information
(2) The auditor is entitled to free access at all convenient times to information that relates to the fulfilment of their responsibilities and is also entitled to require and receive from the Board and from any persons or committees having duties or functions under this Part any information — including reports — and explanations that they consider necessary for that purpose.
Inquiries
(3) The auditor may examine any individual on oath on any matter pertaining to the effectiveness of the Board in carrying out its duties and functions under this Part and, for the purposes of an examination, may exercise all the powers of a commissioner under Part I of the Inquiries Act.
Secondary release of information
(4) Information — including reports — and explanations disclosed to the auditor under subsection (2) shall not be further disclosed by the auditor without the consent in writing of the person to whom it relates.
Consideration of report
(5) The Board shall consider the report of the audit and, within 60 days after the day on which the Board receives the report, it shall send to the auditor its written response to the report, and send a copy of that response to the Federal Minister and the Provincial Minister.
Cost of audit
(6) If the Federal Minister and the Provincial Minister jointly appoint the auditor, they may also jointly agree, with the consent in writing of the Provincial Minister as defined in section 2, to require the cost of the audit to be borne by the Board. If only one of those Ministers appoints the auditor, that Minister shall pay the cost of the audit.
Inquiries
205.12 (1) The Federal Minister, the Provincial Minister, the Federal Minister jointly with the Provincial Minister or the Board may appoint one or more individuals to inquire into and report on occupational health and safety matters that are related to employment to which this Part applies.
Powers of appointee
(2) An individual who is appointed by the Federal Minister, by the Federal Minister jointly with the Provincial Minister or by the Board has all the powers of a person appointed as a commissioner under Part I of the Inquiries Act, and the powers that may be conferred on a commissioner under section 11 of that Act.
Witnesses
(3) Every witness who attends and gives evidence at an inquiry under this section is entitled to be paid reasonable travel and living expenses incurred by the witness in doing so and the witness fees prescribed in the tariff of fees in use in the Trial Division of the Supreme Court of Newfoundland and Labrador.
Consideration of report
(4) Once the Board receives a copy of the report, it shall consider the report and shall, within 60 days after the day on which it is received, send to the Federal Minister and the Provincial Minister its written response to the report.
Directions to Board
(5) If one or more individuals are appointed by a Minister or Ministers under subsection (1) in respect of a matter, the Minister or Ministers making the appointment may, if that Minister or those Ministers determine that an inquiry is being conducted under section 165 in respect of the same matter, direct that the Board terminate that inquiry and provide to that individual or those individuals any records or evidence collected in respect of the matter.
Directions binding
(6) The Board shall comply with a direction made under subsection (5).
Costs of inquiry
(7) If the Federal Minister and the Provincial Minister jointly appoint the individual or individuals under subsection (1), they may also jointly agree, with the consent in writing of the Provincial Minister as defined in section 2, to require the cost of the inquiry to be borne by the Board. If only one of those Ministers appoints an individual or individuals under that subsection, that Minister shall pay the cost of the inquiry.
Documents in Electronic or Other Form
Definitions
205.121 The definitions in this section apply in this section and sections 205.122 and 205.123.
“electronic document”
« document électronique »
“electronic document” means any form of representation of information or of concepts fixed in any medium in or by electronic, optical or other similar means and that can be read or perceived by an individual or by any means.
“information system”
« système d’information »
“information system” means a system used to generate, send, receive, store or otherwise process an electronic document.
Use not mandatory
205.122 No provision of this Part or of the regulations made under this Part requires an electronic document to be created or provided.
Creation of information in writing
205.123 (1) A requirement under this Part that a notice, document or other information be created in writing is satisfied by the creation of an electronic document if
(a) the information in the electronic document is accessible so as to be usable for subsequent reference; and
(b) the regulations pertaining to this subsection, if any, have been complied with.
Provision of information
(2) A requirement under this Part that a notice, document or other information be provided under this Part, whether or not it is required to be provided in writing, is satisfied by the provision of an electronic document if
(a) the addressee has designated an information system for the receipt of the electronic document;
(b) the electronic document is provided to the designated information system, unless otherwise prescribed;
(c) the information in the electronic document is accessible by the addressee and capable of being retained by them, so as to be usable for subsequent reference; and
(d) the regulations pertaining to this subsection, if any, have been complied with.
Requirement for consent
(3) If a consent is required to be given in writing under this Part, the requirement is satisfied by the provision of an electronic document that signifies that consent has been given if
(a) the addressee has designated an information system for the receipt of the electronic document;
(b) the electronic document is provided to the designated information system, unless otherwise prescribed;
(c) the information in the electronic document that signifies that consent has been given is accessible by the addressee and capable of being retained by them, so as to be usable for subsequent reference; and
(d) the regulations pertaining to this subsection, if any, have been complied with.
Exceptions
(4) Despite subsection (2), the reasons referred to in subsection 205.059(5) and the decision referred to in subsection 205.099(3) shall be provided in writing.
Regulations
Regulations
205.124 (1) Subject to section 7 and on the recommendation of the Federal Minister and the Minister of Labour, the Governor in Council may make regulations generally for carrying out the purposes and provisions of this Part, including regulations
(a) establishing requirements in respect of anything described in subsection 205.015(2) or 205.02(2);
(b) respecting the manner in which an operator is required to investigate under subsection 205.017(2) any occupational disease or any accident, incident or other hazardous occurrence;
(c) respecting the establishment, by an operator, of procedures for safe entry to or exit from a marine installation or structure and of standards for occupancy of a marine installation or structure;
(d) respecting the establishment of codes of practice, and specifying who is responsible for ensuring that those codes of practice are complied with;
(e) respecting the safety of work or activities that are carried out in a confined space, at heights, directly over water, under water, or of any work or activity that involves the use of explosives;
(f) respecting ergonomic standards and procedures for a workplace;
(g) respecting the establishment of standards for the design, installation and maintenance of the following things:
(i) guards, guard-rails, barricades, fences and other equipment of a similar nature,
(ii) boilers and pressure vessels,
(iii) escalators, elevators and other devices of a similar nature,
(iv) all equipment for the generation, distribution or use of electricity,
(v) gas-burning or oil-burning equipment or other heat-generating equipment, and
(vi) heating, ventilation and air-conditioning systems;
(h) respecting the establishment of standards for the design and maintenance of equipment, machines, devices, materials and other things that may be used by employees in carrying out their job functions;
(i) respecting the circumstances and manner in which any thing referred to in paragraph (g) or (h) shall or shall not be used, and any qualifications that an individual is required to have in order to use it;
(j) specifying who is responsible for ensuring that the standards referred to in paragraphs (g) and (h) are complied with and that the things referred to in those paragraphs are used in the specified circumstances and manner and by individuals who have the required qualifications;
(k) respecting the establishment of standards relating to levels or limits for ventilation, lighting, temperature, humidity, sound and vibration and exposure to chemical agents, biological agents and radiation and specifying who is responsible for ensuring that those standards are complied with;
(l) respecting the qualifications of persons authorized to carry out prescribed training;
(m) respecting the establishment of fire safety and emergency measures, and specifying who is responsible for ensuring that those measures are complied with;
(n) respecting the provision, by an operator, an employer, or both, of sanitary and personal facilities, potable water, sustenance, and first-aid and health services;
(o) respecting the prevention of, and protection against, violence at the workplace;
(p) respecting the manner and form in which records are to be maintained and information communicated;
(q) respecting the manner in which programs for medical monitoring and examination referred to in paragraph 205.066(1)(f) are to be implemented, including restricting the types of interventions that may be used;
(r) respecting the procedures governing the granting of a permission under section 205.069 or 205.07, including any requirements for consultation or notice;
(s) specifying the equipment, methods, measures or standards or other things required by regulations made under this section in respect of which the granting of a permission under section 205.069 or 205.07 is prohibited;
(t) respecting the operation of an advisory council established under section 205.118;
(u) respecting any matter necessary for the purposes of the application of section 205.123, including
(i) the time and circumstances when, and the place where, an electronic document, as defined in section 205.121, is to be considered to have been provided or received, and
(ii) the circumstances in which a secure electronic signature, as defined in subsection 31(1) of the Personal Information Protection and Electronic Documents Act, is required to be linked to an electronic document, as defined in section 205.121; and
(v) prescribing anything that by this Part is to be prescribed.
Incorporation by reference
(2) Regulations made under subsection (1) may incorporate any material by reference, regardless of its source, either as it exists on a particular date or as amended from time to time.
No registration or publication
(3) For greater certainty, a document that is incorporated by reference into a regulation is not required to be transmitted for registration or published in the Canada Gazette by reason only that it is incorporated by reference.
Regulations general or specific
(4) Regulations made under subsection (1) may be made applicable to all persons or one or more classes of persons.
Recommendation of Minister of Transport
(5) Regulations made under subsection (1) in respect of employees and other passengers on a passenger craft, or the passenger craft, shall, in addition to the requirement set out in that subsection, be made on the recommendation of the Minister of Transport.
Publication of proposed regulations
205.125 (1) Subject to subsection (2), a copy of each regulation that the Governor in Council proposes to make under this Part shall be published in the Canada Gazette and a reasonable opportunity shall be given to interested persons to make representations to the Federal Minister with respect to it.
Single publication required
(2) No proposed regulation need be published more than once under subsection (1) whether or not it is altered or amended as a result of representations made by interested persons as provided in that subsection.
46. Sections 206 to 208 of the Act are replaced by the following:
Definitions
206. The following definitions apply in this Part.
“Consumption Tax Acts”
« lois sur la taxe à la consom- mation »
“Consumption Tax Acts” means section 2 and Parts I, II, III, VIII and IX of and the schedule to the Revenue Administration Act, S.N.L. 2009, c. R-15.01, as amended from time to time, and any other Act of the Legislature of the Province, as amended from time to time, that may be prescribed.
“Insurance Companies Tax Act”
« Loi sur l’imposition des compagnies d’assurances »
“Insurance Companies Tax Act” means section 2 and Parts I, II and VI of and the schedule to the Revenue Administration Act, S.N.L. 2009, c. R-15.01, as amended from time to time.
“Newfoundland and Labrador Income Tax Act”
« Loi de l’impôt sur le revenu de Terre-Neuve-et-Labrador »
“Newfoundland and Labrador Income Tax Act” means the Income Tax Act, 2000, S.N.L. 2000, c. I-1.1, as amended from time to time.
“Revenue Fund”
« Fonds de recettes »
“Revenue Fund” means the account established under section 214.
Imposition of Consumption Taxes
Imposition of consumption taxes in offshore area
207. (1) There shall be imposed, levied and collected under this Part in respect of the offshore area, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Consumption Tax Acts if the offshore area were in the Province.
Exception
(2) Despite subsection (1), if taxes are imposed in respect of any matter under any of the Consumption Tax Acts and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
Application of Newfoundland and Labrador legislation
(3) Subject to this Act and the regulations made under it, the Consumption Tax Acts and the regulations referred to in subsection (3.1) apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in those Acts to the Crown is to be read as a reference to Her Majesty in right of Canada;
(b) a reference in those Acts to the province is to be read as a reference to the offshore area; and
(c) a reference in those Acts to the Minister responsible for the administration of any of those Acts is to be read as a reference to the Minister of Finance.
Newfoundland and Labrador regulations
(3.1) The following regulations apply for the purposes of subsection (3):
(a) any regulations made under the Consumption Tax Acts; and
(b) any regulations made under section 107, 108, 111, 112 or 114 of the Revenue Administration Act, S.N.L. 2009, c. R-15.01, as that Act is amended from time to time.
Binding on certain entities
(4) This section is binding on
(a) the corporations mentioned in Schedule I to the Federal-Provincial Fiscal Arrangements Act, if Newfoundland and Labrador is a participating province as defined in subsection 31(1) of that Act; and
(b) the corporations mentioned in Schedule II to that Act.
Imposition of Insurance Companies Tax
Insurance companies tax in offshore area
208. (1) There shall be imposed, levied and collected under this Part in respect of the insurance premiums received by any company with respect to property that is situated in the offshore area at the time the insurance premiums become payable, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Insurance Companies Tax Act if the property were situated in the Province.
Exception
(2) Despite subsection (1), if taxes are imposed in respect of any matter under the Insurance Companies Tax Act and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
Application of Newfoundland and Labrador legislation
(3) Subject to this Act and the regulations made under it, the Insurance Companies Tax Act and any regulations made under section 107 of the Revenue Administration Act, S.N.L. 2009, c. R-15.01, as that Act is amended from time to time, apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to the Crown is to be read as a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the province is to be read as a reference to the offshore area; and
(c) a reference in that Act to the Minister responsible for the administration of that Act is to be read as a reference to the Minister of Finance.
Definition of “company”
(4) In this section, “company” has the same meaning as in the Insurance Companies Tax Act.
47. Subparagraph 209(5)(b)(ii) of the Act is replaced by the following:
(ii) the Consumption Tax Acts or the Insurance Companies Tax Act,
48. Subsection 210(2) of the Act is replaced by the following:
Transfer of powers and duties
(2) If a tax administration agreement is entered into, the Minister of Finance of the Province may
(a) perform the duties and exercise any power or discretion that the Provincial Minister has under subsection (1) or otherwise under this Part; and
(b) designate officers of the Department of Finance of the Province to carry out any functions, perform any duties and exercise any powers that are similar to those that are carried out, exercised or performed by them on behalf of the Provincial Minister under the Consumption Tax Acts and the Insurance Companies Tax Act.
49. Section 211 of the Act is replaced by the following:
Imposition of corporate income tax in offshore area
211. (1) There shall be imposed, levied and collected under this Part in respect of the taxable income of a corporation earned in a taxation year in the offshore area, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Newfoundland and Labrador Income Tax Act in respect of that taxable income if the offshore area were in the Province.
Exception
(2) Despite subsection (1), if taxes are imposed under the Newfoundland and Labrador Income Tax Act in respect of taxable income of a corporation earned in a taxation year in the Province and taxes would, but for this subsection, be imposed under subsection (1) in respect of that taxable income, no taxes shall be imposed under subsection (1) in respect of that taxable income.
Application of Newfoundland and Labrador Income Tax Act
(3) Subject to this Act and the regulations made under it, the Newfoundland and Labrador Income Tax Act and any regulations referred to in subsection (3.1) apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province of Newfoundland and Labrador is to be read as a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the province is to be read as a reference to the offshore area; and
(c) a reference in that Act to the “Minister of Finance” is to be read as a reference to
(i) in relation to the remittance of any amount as or on account of tax payable under that Act, the Receiver General for Canada, and
(ii) in relation to any other matter, the Minister of National Revenue for Canada.
Newfoundland and Labrador regulations
(3.1) The following regulations apply for the purposes of subsection (3):
(a) any regulations made under the Newfoundland and Labrador Income Tax Act; and
(b) any regulations made under an Act that was replaced by the Newfoundland and Labrador Income Tax Act, to the extent that those regulations remain in force in accord- ance with the laws of the Province and are not inconsistent with the Newfoundland and Labrador Income Tax Act.
Determination of taxable income earned in offshore area
(4) For the purposes of this section, the taxable income of a corporation earned in a taxation year in the offshore area or in the Province shall be determined in accordance with rules prescribed by regulations for the purposes of the definition “taxable income earned in the year in a province” in subsection 124(4) of the Income Tax Act.
50. Section 214 of the Act is amended by adding the following after subsection (1):
Change of name
(1.1) The name of the Newfoundland Offshore Petroleum Resource Revenue Fund is changed to Newfoundland and Labrador Offshore Petroleum Resource Revenue Fund.
References
(1.2) A reference in any contract, document, instrument, proclamation or order in council to the Newfoundland Offshore Petroleum Resource Revenue Fund is, unless the context otherwise requires, to be read as a reference to the Newfoundland and Labrador Offshore Petroleum Resource Revenue Fund.
51. Paragraph 216(a) of the Act is replaced by the following:
(a) excluding, for the purposes of this Act, any provision or any part of a provision of the Consumption Tax Acts, the Newfoundland and Labrador Income Tax Act, the Insurance Companies Tax Act or the Petroleum and Natural Gas Act as defined in subsection 97(1) or of any regulation referred to in subsection 97(4.1), 207(3.1), 208(3) or 211(3.1) that is inconsistent with this Act, the Atlantic Accord or any bilateral or international treaty, convention or agreement respecting taxation, tariffs or trade to which the Government of Canada is a signatory; and
Replacement of references to “chairman”
52. (1) The English version of the Act is amended by replacing “chairman” with “chairperson” in the following provisions:
(a) subsection 12(4);
(b) subsection 36(2);
(c) subsections 37(1) and (2); and
(d) subsections 141(2) and (3).
Replacement of references to “Chairman”
(2) The English version of the Act is amended by replacing “Chairman” with “Chairperson” in the following provisions:
(a) subsection 10(2);
(b) subsections 12(1), (2) and (6);
(c) subsection 13(1);
(d) section 14;
(e) subsections 15(1), (3), (4) and (5);
(f) subsection 16(1);
(g) subparagraph 19(b)(i); and
(h) paragraph 24(1)(a).
Replacement of references to “vice-chairmen” and “vice-chairman”
(3) The English version of the Act is amended by replacing “vice-chairmen” and “vice-chairman” with “vice-chairpersons” and “vice-chairperson”, respectively, in the following provisions:
(a) subsection 10(3); and
(b) subsection 10(4).
TRANSITIONAL PROVISIONS
Canada–Newfoundland and Labrador Atlantic Accord Implementation Act — transitional regulations
53. (1) If any of the following documents are transmitted by the Minister of Natural Resources to the Speaker of the Senate and to the Speaker of the House of Commons for tabling in those Houses during the 1st session of the 41st Parliament, then on the day on which this section comes into force that document is deemed to be a regulation made under subsection 205.124(1) of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act and, despite section 9 of the Statutory Instruments Act, to have come into force on that day:
(a) a document entitled Newfoundland and Labrador Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations; and
(b) a document entitled Newfoundland and Labrador Offshore Marine Installations and Structures Transitional Regulations.
Canada–Newfoundland and Labrador Atlantic Accord Implementation Act — transitional regulations
(2) If a document entitled Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Newfoundland and Labrador Offshore Area is transmitted by the Minister of Natural Resources to the Speaker of the Senate and to the Speaker of the House of Commons for tabling in those Houses during the 1st session of the 41st Parliament, then on the day on which this section comes into force
(a) the document is deemed to be a regulation made under paragraph 205.001(3)(a) and subsection 205.124(1) of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act and, despite section 9 of the Statutory Instruments Act, to have come into force on that day; and
(b) the Newfoundland Offshore Area Pe- troleum Diving Regulations are repealed.
Approval of provincial ministers
(3) The documents are to be transmitted to the Speaker of the Senate and to the Speaker of the House of Commons only if the Minister of Natural Resources is satisfied that, in the case of those referred to in paragraphs (1)(a) and (b), the minister of the government of Newfoundland and Labrador who is responsible for occupational health and safety has approved them and, in the case of the document entitled Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Newfoundland and Labrador Offshore Area, that provincial minister and the minister designated by that government as the provincial minister for the purposes of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act, have approved it.
Copies to Clerk
(4) The Minister of Natural Resources shall, within seven days after the coming into force of this section, transmit to the Clerk of the Privy Council copies of each document referred to in subsections (1) and (2) that the Minister of Natural Resources transmitted to the Speaker of the Senate and to the Speaker of the House of Commons. Section 5 of the Statutory Instruments Act is deemed to have been complied with in respect of a document referred in subsection (1) or (2) on the day on which that document is transmitted to the Clerk.
Repeal
(5) Unless repealed on an earlier date, the Newfoundland and Labrador Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations, the Newfoundland and Labrador Offshore Marine Installations and Structures Transitional Regulations and the Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Newfoundland and Labrador Offshore Area are repealed on the expiry of five years after the day on which this section comes into force.
Chief Safety Officer powers
54. (1) The Chief Safety Officer may, on application, grant an exemption in respect of a workplace, or grant an exemption to an operator in respect of passengers being transported on a passenger craft to or from any of its workplaces, for a specified time and subject to specified conditions, from any requirement in respect of equipment, methods, measures or standards that is set out in the Newfoundland and Labrador Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations, the Newfoundland and Labrador Offshore Marine Installations and Structures Transitional Regulations or the Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Newfoundland and Labrador Offshore Area, if he or she is satisfied that the health and safety of employees at the workplace or passengers on the passenger craft, as the case may be, will be maintained without compliance with the requirement.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with an exemption under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the exemption is granted; and
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period that he or she fixes with the agreement of the applicable workplace committee — after the day on which the application has been made available.
Notice at workplace, etc.
(5) If the application is made in respect of an existing workplace, the applicant shall give a copy of the application to the operator. An operator shall, immediately after it receives or makes an application relating to an existing workplace or to a passenger craft
(a) post a copy of it in printed form in a prominent place at the applicable workplace; and
(b) provide a copy to any committee established for that workplace and to any union representing employees within the offshore area.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), give to the applicant and the operator a copy of the decision made on the application, and make the decision available to the public in a manner that he or she considers advisable.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the applicant for the exemption under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time if information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Same meaning
(8) Words and expressions used in this section have the same meaning as in subsection 205.001(1) of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act.
1988, c. 28
CANADA-NOVA SCOTIA OFFSHORE PETROLEUM RESOURCES ACCORD IMPLEMENTATION ACT
55. The definition “Provincial Minister” in section 2 of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act is replaced by the following:
“Provincial Minister”
« ministre provincial »
“Provincial Minister” means, other than for the purposes of Part III.1, the minister of the government of the Province who is responsible for the management of offshore petroleum resources;
56. Section 6 of the Act is replaced by the following:
Approval of Provincial Minister
6. (1) Before a regulation is made under subsection 5(1) or 17(4), subsection 35(8), 39(7) or 45(7), section 67, subsection 70(2), section 121, subsection 125(1), 128(1) or 153(1) or section 208, 245 or 248, the Federal Minister shall consult the Provincial Minister with respect to the proposed regulation and no regulation shall be so made without the approval of the Provincial Minister.
Approval of Provincial Minister
(2) Before a regulation is made under subsection 210.001(3) or (4) or 210.126(1), the Federal Minister shall consult the minister of the government of the Province who is responsible for occupational health and safety with respect to the proposed regulation and no regulation shall be so made without the approval of that minister.
57. Subsection 13(3) of the English version of the Act is replaced by the following:
Selection of Chairperson of Board within 60 days
(3) The Chairperson of the Board shall be selected, from among persons nominated by each government, by the panel within 60 days after the appointment of the chairperson of the panel.
58. Section 26 of the Act is amended by adding the following after subsection (4):
Application of Nova Scotia legislation
(4.1) Nova Scotia social legislation as defined in subsection 210.001(1), the provisions of the Trade Union Act, R.S.N.S. 1989, c. 475, as amended from time to time, and the provisions of the Occupational Health and Safety Act, S.N.S. 1996, c. 7, as amended from time to time, and any regulations made under that legislation or those Acts, apply to persons employed under subsection (1).
Non-application of Canada Labour Code
(4.2) Despite section 4 and subsections 123(1) and 168(1) of the Canada Labour Code, that Act does not apply to persons employed under subsection (1).
59. The Act is amended by adding the following after section 27:
Audit and evaluation committee
27.1 (1) The Board shall appoint an audit and evaluation committee consisting of not fewer than three members of the Board and fix the duties and functions of the committee and may, by by-law, provide for the payment of expenses to the members of the committee.
Internal audit
(2) In addition to any other duties and functions that it is required to perform, the audit and evaluation committee shall cause internal audits to be conducted to ensure that the officers and employees of the Board act in accordance with management systems and controls established by the Board.
60. Subsection 30(2) of the Act is replaced by the following:
Contents of report
(2) The annual report submitted under subsection (1) shall contain an audited financial statement and a description of the activities of the Board, including those relating to occupational health and safety, during the fiscal year covered by the report.
61. Subsection 41(2) of the Act is replaced by the following:
Occupational health and safety directives
(2) The Federal Minister, on the recommendation of the Minister of Labour, and the minister of the government of the Province who is responsible for occupational health and safety, may jointly issue written directives in relation to
(a) the development of guidelines and interpretation notes with respect to occupational health and safety matters; and
(b) the implementation of any recommendations made by an auditor under section 210.121 or made following an inquiry under section 210.122.
Directives of either Minister
(3) If a request is received during any calendar year by the Board or the Federal Minister or the Provincial Minister to make a call for bids under Part II in relation to particular portions of the offshore area, the Federal Minister or the Provincial Minister may, after having reviewed the plan of the anticipated decisions of the Board during the calendar year submitted under section 43, issue to the Board a written directive to specify those portions of the offshore area in a call for bids made under Part II.
62. Subsection 46(1) of the Act is amended by adding the following after paragraph (c):
(c.1) aviation regulation;
63. Subsection 126(1) of the Act is replaced by the following:
Notice to comply
126. (1) If the Board has reason to believe that an interest owner or holder is failing or has failed to meet any requirement of this Part or Part III or III.1 or any regulation made under any of those Parts, the Board may give notice to that interest owner or holder requiring compliance with the requirement within 90 days after the day on which the notice is given or within any longer period that the Board considers appropriate.
64. (1) Section 142 of the Act is amended by adding the following after subsection (3):
Copy to Chief Safety Officer
(3.1) On receipt by the Board of an application for an authorization for a work or activity referred to in paragraph (1)(b) or of an application to amend such an authorization, the Board shall provide a copy of the application to the Chief Safety Officer.
(2) Section 142 of the Act is amended by adding the following after subsection (4):
Limitation
(4.1) The approvals, requirements and deposits that are determined, granted or prescribed shall not be inconsistent with the provisions of this Act or the regulations.
1992, c. 35, s. 96
(3) Paragraphs 142(5)(a) and (b) of the Act are replaced by the following:
(a) a requirement, approval, fee or deposit, determined by the Board in accordance with the provisions of this Part or Part III.1 or granted or prescribed by regulations made under either of those Parts, subject to which the licence or authorization was issued;
(b) a requirement undertaken in a declaration referred to in subsection 143.1(1);
(4) Subsection 142(5) of the Act is amended by striking out “or” at the end of paragraph (c) and by adding the following after that paragraph:
(c.1) any provision of Part III.1; or
1992, c. 35, s. 98
65. Subsection 143.1(2) of the Act is repealed.
1992, c. 35, s. 99
66. Section 144 of the Act is replaced by the following:
Designation
144. The Board may, for the purposes of this Act, designate any person as the Chief Safety Officer and any other person as the Chief Conservation Officer. However, the Chief Executive Officer may not be designated as the Chief Safety Officer.
1992, c. 35, s. 99
67. Section 144.1 of the Act is replaced by the following:
Orders
144.1 For the purposes of this Act, an order made by an operational safety officer, the Chief Safety Officer, a conservation officer, the Chief Conservation Officer, the Committee or a health and safety officer as defined in subsection 210.001(1) is not a statutory instrument as defined in the Statutory Instruments Act.
1992, c. 35, s. 102
68. Paragraphs 155(1)(a) and (b) of the Act are replaced by the following:
(a) authorize the use of equipment, methods, measures or standards in lieu of any required by any regulation made under section 153, if those Officers are satisfied that the use of that other equipment or those other methods, measures or standards would provide a level of safety, protection of the environment and conservation equivalent to that provided by compliance with the regulations; or
(b) grant an exemption from any requirement imposed, by any regulation made under section 153, in respect of equipment, methods, measures or standards, if those Officers are satisfied with the level of safety, protection of the environment and conservation that will be achieved without compliance with that requirement.
1992, c. 35, s. 103; 1999, c. 31, s. 33
69. Section 157 of the Act is repealed.
1992, c. 35, s. 111(2)(E)
70. Subsection 166(3) of the Act is replaced by the following:
Duty to take reasonable measures
(3) Every person required to report a spill under subsection (2) shall, as soon as possible, take all reasonable measures consistent with safety and the protection of health and the environment to prevent any further spill, to repair or remedy any condition resulting from the spill and to reduce or mitigate any damage or danger that results or may reasonably be expected to result from the spill.
1992, c. 35, s. 117
71. The heading before section 193 of the English version of the Act is replaced by the following:
Operational Safety Officers and Conservation Officers
1992, c. 35, s. 117
72. Sections 193 and 194 of the Act are replaced by the following:
Operational safety officers
193. (1) Subject to subsection (4), the Federal Minister and the Provincial Minister shall jointly designate as an operational safety officer for the purposes of the administration and enforcement of this Part an individual who has been recommended by the Board. The Ministers shall make the designation within 30 days after the day on which they receive the name of the individual from the Board.
Conservation officers
(2) Subject to subsection (4), the Federal Minister and the Provincial Minister shall jointly designate as a conservation officer for the purposes of the administration and enforcement of this Part an individual who has been recommended by the Board. The Ministers shall make the designation within 30 days after the day on which they receive the name of the individual from the Board.
Notice of designation
(3) The Ministers shall, without delay after making a designation, notify the Board, in writing, that the designation has been made.
Restriction
(4) The Ministers shall not designate an individual if they are not satisfied that the individual is qualified to exercise the powers and carry out the duties and functions of an operational safety officer or a conservation officer, as the case may be, under this Part. If an individual is not designated, the Ministers shall without delay notify the Board of it, in writing.
Indemnification
(5) An individual designated under subsection (1) or (2) who is not an employee of the Board is deemed to be an officer for the purposes of section 17.
Orders for verifying compliance
194. (1) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may, for the purpose of verifying compliance with this Part, order any person in charge of a place that is used for any work or activity in respect of which this Part applies or any other place in which that officer has reasonable grounds to believe that there is anything to which this Part applies
(a) to inspect anything in the place;
(b) to pose questions, or conduct tests or monitoring, in the place;
(c) to take photographs or measurements, or make recordings or drawings, in the place;
(d) to accompany or assist the officer while the officer is in the place;
(e) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(f) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(g) to ensure that all or part of the place, or anything located in the place, that is under their control, not be disturbed for a reasonable period specified by the officer pending the exercise of any powers under this section; and
(h) to remove anything from the place and to provide it to the officer, in the manner that he or she specifies, for examination, testing or copying.
Powers on entry
(2) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may, for the purpose of verifying compliance with this Part, and subject to section 194.2, enter a place that is used for any work or activity in respect of which this Part applies or any other place in which that officer has reasonable grounds to believe that there is anything to which this Part applies, and may for that purpose
(a) inspect anything in the place;
(b) pose questions, or conduct tests or monitoring, in the place;
(c) take samples from the place, or cause them to be taken, for examination or testing, and dispose of those samples;
(d) remove anything from the place, or cause it to be removed, for examination, testing or copying;
(e) while at the place, take or cause to be taken photographs or measurements, make or cause to be made recordings or drawings or use systems in the place that capture images or cause them to be used;
(f) use any computer system in the place, or cause it to be used, to examine data contained in or available to it;
(g) prepare a document, or cause one to be prepared, based on data contained in or available to the computer system;
(h) use any copying equipment in the place, or cause it to be used, to make copies;
(i) be accompanied while in the place by any individual, or be assisted while in the place by any person, that the officer considers necessary; and
(j) meet in private with any individual in the place, with the agreement of that individual.
Clarification
(3) For greater certainty, an officer who has entered a place under subsection (2) may order any individual in the place to do anything described in paragraphs (1)(a) to (h).
Return of things removed
(4) Anything removed under paragraph (1)(h) or (2)(d) for examination, testing or copying shall, if requested by the person from whom it was removed, be returned to that person after the examination, testing or copying is completed, unless it is required for the purpose of a prosecution under this Part.
Reports provided to holder of authorization
194.1 An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, as the case may be, shall provide written reports to the holder of an authorization about anything inspected, tested or monitored, by or on the order of the officer, for the purpose of verifying compliance with this Part, at any place that is used for a work or activity for which the authorization is issued.
Entering living quarters
194.2 (1) If the place referred to in subsection 194(2) is living quarters
(a) neither a conservation officer nor the Chief Conservation Officer is authorized to enter those quarters for the purpose of verifying compliance with this Part; and
(b) an operational safety officer or the Chief Safety Officer is not authorized to enter those quarters without the consent of the occupant except
(i) to execute a warrant issued under subsection (4), or
(ii) to verify that those quarters, if on a marine installation or structure, as defined in subsection 210.001(1), are in a structur- ally sound condition.
Notice
(2) The officer shall provide reasonable notice to the occupant before entering living quarters under subparagraph (1)(b)(ii).
Exception
(3) Despite subparagraph (1)(b)(ii), any locker in the living quarters that is fitted with a locking device and that is assigned to the occupant shall not be opened by the officer without the occupant’s consent except under the authority of a warrant issued under subsection (4).
Authority to issue warrant
(4) On ex parte application, a justice of the peace may issue a warrant authorizing an operational safety officer who is named in it or the Chief Safety Officer to enter living quarters subject to any conditions specified in the warrant if the justice is satisfied by information on oath that
(a) the living quarters are a place referred to in subsection 194(2);
(b) entry to the living quarters is necessary to verify compliance with this Part; and
(c) entry was refused by the occupant or there are reasonable grounds to believe that entry will be refused or that consent to entry cannot be obtained from the occupant.
Authority to open locker
(4.1) The warrant may also authorize a locker described in subsection (3) to be opened, subject to any conditions specified in the warrant, if the justice is satisfied by information on oath that
(a) it is necessary to open the locker to verify compliance with this Part; and
(b) the occupant to whom it is assigned refused to allow it to be opened or there are reasonable grounds to believe that the occupant to whom it is assigned will refuse to allow it to be opened or that consent to opening it cannot be obtained from that occupant.
Use of force
(5) The officer who executes a warrant issued under subsection (4) shall not use force unless the use of force has been specifically authorized in the warrant.
Telewarrant provisions to apply
(6) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by an operational safety officer or the Chief Safety Officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Definition of “living quarters”
(7) In this section, “living quarters” means sleeping quarters provided for employees, as defined in subsection 210.001(1), on a marine installation or structure, as defined in that subsection, and any room for the exclusive use of the occupants of those quarters that contains a toilet or a urinal.
1992, c. 35, s. 117
73. Section 195 of the English version of the Act is replaced by the following:
Certificate to be produced
195. The Board shall provide every operational safety officer and conservation officer and the Chief Safety Officer and the Chief Conservation Officer with a certificate of appointment or designation and, on entering any place under the authority of this Part, the officer shall, if so required, produce the certificate to the person in charge of the place.
1992, c. 35, s. 117
74. Sections 196 and 197 of the Act are replaced by the following:
Assistance to officers
196. (1) The owner of, and every person in charge of, a place entered by an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer under subsection 194(2), and every person found in that place, shall give all assistance that is reasonably required to enable the officer to verify compliance with this Part and provide any documents, data or information that are reasonably required for that purpose.
Transportation, accommodation and food
(2) If the place referred to in subsection 194(2) is a marine installation or structure, as defined in subsection 210.001(1), the person in charge of the marine installation or structure shall provide to the officer, and to every individual accompanying the officer, free of charge,
(a) suitable transportation between the usual point of embarkation on shore and the marine installation or structure, between the marine installation or structure and the usual point of disembarkation on shore, and between marine installations or structures, if the marine installation or structure or marine installations or structures are situated in the offshore area; and
(b) suitable accommodation and food at the marine installation or structure.
Obstruction of officers and making of false statements
197. No person shall obstruct or hinder, or make a false or misleading statement either orally or in writing to, an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer while the officer is engaged in carrying out his or her duties or functions under this Part.
Authority to issue warrant
197.1 (1) On ex parte application, a justice of the peace may issue a warrant if the justice is satisfied by information on oath that there are reasonable grounds to believe that there is in any place anything that will provide evidence or information relating to the commission of an offence under this Part.
Powers under warrant
(2) The warrant may authorize an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, and any other individual named in the warrant, to at any time enter and search the place and to seize anything specified in the warrant, or do any of the following as specified in it, subject to any conditions that may be specified in it:
(a) conduct examinations, tests or monitoring;
(b) take samples for examination or testing, and dispose of those samples; or
(c) take photographs or measurements, make recordings or drawings, or use systems in the place that capture images.
Where warrant not necessary
(3) An operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may exercise the powers described in this section without a warrant if the conditions for obtaining the warrant exist but by reason of exigent circumstances it would not be feasible to obtain one.
Exigent circumstances
(4) Exigent circumstances include circumstances in which the delay necessary to obtain the warrant would result in danger to human life or the environment or the loss or destruction of evidence.
Operation of computer system and copying equipment
(5) An individual authorized under this section to search a computer system in a place may
(a) use or cause to be used any computer system at the place to search any data contained in or available to the computer system;
(b) reproduce or cause to be reproduced any data in the form of a printout or other intelligible output;
(c) seize any printout or other output for examination or copying; and
(d) use or cause to be used any copying equipment at the place to make copies of the data.
Duty of person in charge of place
(6) Every person who is in charge of a place in respect of which a search is carried out under this section shall, on presentation of the warrant, permit the individual carrying out the search to do anything described in subsection (5).
Transportation, accommodation and food
(7) The person in charge of a marine installation or structure, as defined in subsection 210.001(1), shall provide to an individual who is executing a warrant under this section at the marine installation or structure, free of charge,
(a) suitable return transportation between the marine installation or structure and any location from which transportation services to that marine installation or structure are usually provided, and between marine installations or structures, if the marine installation or structure or marine installations or structures are situated in the offshore area; and
(b) suitable accommodation and food at the marine installation or structure.
Telewarrant provisions to apply
(8) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Storage and removal
197.2 (1) A thing seized under this Part may be stored in the place where it was seized or may, at the discretion of an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, be removed to any other place for storage. The owner of the thing or the person who is lawfully entitled to possess it shall pay the costs of storage or removal.
Perishable things
(2) If the thing seized is perishable, an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may destroy the thing, or otherwise dispose of it in any manner the officer considers appropriate. Any proceeds realized from its disposition shall be paid to the Receiver General.
1992, c. 35, s. 117
75. Subsections 198(1) to (4) of the English version of the Act are replaced by the following:
Power of operational safety officer
198. (1) If an operational safety officer or the Chief Safety Officer, on reasonable grounds, is of the opinion that continuation of an operation in relation to the exploration or drilling for or the production, conservation, processing or transportation of petroleum in any portion of the offshore area is likely to result in serious bodily injury, the operational safety officer or Chief Safety Officer, as the case may be, may order that the operation cease or be continued only in accordance with the terms of the order.
Notice
(2) The officer who makes an order under subsection (1) shall affix at or near the scene of the operation a notice of the order in prescribed form.
Expiry of order
(3) An order made by an operational safety officer under subsection (1) expires 72 hours after it is made unless it is confirmed before that time by order of the Chief Safety Officer.
Modification or revocation
(4) Immediately after an operational safety officer makes an order under subsection (1), they shall advise the Chief Safety Officer accordingly, and the Chief Safety Officer may modify or revoke the order.
1992, c. 35, s. 117
76. Section 198.1 of the English version of the Act is replaced by the following:
Priority
198.1 An order made by an operational safety officer or the Chief Safety Officer prevails over an order made by a conservation officer or the Chief Conservation Officer to the extent of any inconsistency between the orders.
1992, c. 35, s. 117
77. Subsection 198.2(3) of the Act is replaced by the following:
Emergency
(3) In a prescribed emergency situation, an installation manager’s powers are extended so that they also apply to each person in charge of a vessel, vehicle or aircraft that is at the installation or that is leaving or approaching it.
1992, c. 35, s. 118
78. (1) Paragraphs 199(1)(b) and (c) of the Act are replaced by the following:
(b) makes any false entry or statement in any report, record or document required by this Part or the regulations or by any order made under this Part or the regulations;
(c) destroys, mutilates or falsifies any report or other document required by this Part or the regulations or by any order made under this Part or the regulations;
1992, c. 35, s. 118
(2) Paragraphs 199(1)(e) and (f) of the Act are replaced by the following:
(e) undertakes or carries on a work or activity without an authorization under paragraph 142(1)(b) or without complying with the approvals or requirements, determined by the Board in accordance with the provisions of this Part or granted or prescribed by regulations made under this Part, of an authorization issued under that paragraph; or
(f) fails to comply with a direction, requirement or order of an operational safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer or with an order of an installation manager or the Committee.
(3) Section 199 of the Act is amended by adding the following after subsection (2):
Due diligence defence
(3) No person shall be found guilty of an offence under this Part if they establish that they exercised due diligence to prevent the commission of the offence.
79. The Act is amended by adding the following after section 199:
Offence by officers, etc., of corporation
200. (1) If a corporation commits an offence under this Part, any of the following individuals who directed, authorized, assented to, acquiesced in or participated in the commission of the offence is a party to and guilty of the offence and is liable on conviction to the punishment provided for the offence, whether or not the corporation has been prosecuted or convicted:
(a) an officer, director or agent of the corporation; and
(b) any other individual exercising managerial or supervisory functions in the corporation.
Offence by employee or agent
(2) In a prosecution for an offence under this Part, it is sufficient proof of the offence to establish that it was committed by an employee or agent of the accused, whether or not the employee or agent is identified or has been prosecuted for the offence.
Imprisonment precluded in certain cases
200.1 If an individual is convicted of an offence under this Part on proceedings by way of summary conviction, no imprisonment may be imposed in default of payment of any fine imposed as punishment.
Orders of court
200.2 (1) If a person is convicted of an offence under this Part, the court may, having regard to the nature of the offence and the circumstances surrounding its commission, in addition to any other punishment that may be imposed under this Part, make an order that has any or all of the following effects:
(a) prohibiting the offender from committing an act or engaging in an activity that may, in the opinion of the court, result in the continuation or repetition of the offence;
(b) directing the offender to take any meas- ures that the court considers appropriate to avoid any injury or damage that may result from the act or omission that constituted the offence, or to remedy any injury or damage resulting from it;
(c) directing the offender, at the offender’s own expense, to publish, in any manner that the court directs, the facts relating to the offence;
(d) directing the offender to submit to the Chief Safety Officer, on application by the Chief Safety Officer within three years after the conviction, any information with respect to the offender’s activities that the court considers appropriate in the circumstances;
(e) directing the offender to pay to the Board an amount of money that the court considers appropriate for the purpose of conducting research, education and training in matters related to the protection of the environment, conservation of petroleum resources or safety of petroleum operations;
(f) directing the offender to perform community service, subject to any reasonable conditions that may be imposed by the court;
(g) directing the offender to post a bond or pay an amount of money into court that the court considers appropriate to ensure that the offender complies with any prohibition, direction, requirement or condition that is specified in the order; and
(h) requiring the offender to comply with any conditions that the court considers appropriate in the circumstances for securing the offender’s good conduct and for preventing the offender from repeating the same offence or committing another offence under this Part.
Coming into force and duration of order
(2) An order made under subsection (1) comes into force on the day on which the order is made or on any other day that the court may determine, but shall not continue in force for more than three years after that day.
Publication
(3) If an offender does not comply with an order under paragraph (1)(c) requiring the publication of facts relating to the offence, the Chief Safety Officer may publish the facts and recover the costs of publication from the offender.
Variation of sanctions
200.3 (1) Subject to subsection (2), if a court has made, in relation to an offender, an order under subsection 200.2(1), the court may, on application by the offender or the Chief Safety Officer, require the offender to appear before it and, after hearing the offender and the Chief Safety Officer, vary the order in one or more of the following ways that the court considers appropriate because of a change in the circumstances of the offender since the order was made:
(a) by making changes to any prohibition, direction, requirement or condition that is specified in the order or by extending the time during which the order is to remain in force for any period, not exceeding one year, that the court considers appropriate; or
(b) by decreasing the time during which the order is to remain in force or by relieving the offender, either absolutely or partially or for any period that the court considers appropriate, of compliance with any condition that is specified in the order.
Notice
(2) Before making an order under subsection (1), the court may direct that notice be given to any persons that the court considers to be interested and may hear any of those persons.
Subsequent applications with leave
200.4 If an application made under subsection 200.3(1) in relation to an offender has been heard by a court, no other application may be made under section 200.3 section in relation to the offender except with leave of the court.
Recovery of fines and amounts
200.5 If a person is convicted of an offence under this Part and a fine that is imposed is not paid when required or if a court orders an offender to pay an amount under subsection 200.2(1) or 200.3(1), the prosecutor may, by filing the conviction or order, as the case may be, enter as a judgment the amount of the fine or the amount ordered to be paid, and costs, if any, in the Supreme Court of Nova Scotia, and the judgment is enforceable against the person in the same manner as if it were a judgment rendered against them in that Court in civil proceedings.
80. Section 204 of the Act is replaced by the following:
Time limited for summary conviction proceedings
204. Proceedings by way of summary conviction for an offence under this Part may be instituted at any time within but no later than three years after the day on which the subject-matter of the proceedings arose, unless the prosecutor and the defendant otherwise agree.
81. Section 205 of the French version of the Act is replaced by the following:
Preuve
205. Dans les poursuites pour infraction à la présente partie et en l’absence de preuve contraire, une copie de tout arrêté ou autre document respectivement pris ou établi en vertu de la présente partie ou de ses règlements et signée par la personne autorisée en vertu de la présente partie ou de ses règlements à le prendre ou à l’établir fait foi, sauf preuve contraire, de son contenu.
82. The Act is amended by adding the following after section 207:
Information
207.1 In any proceedings for an offence under this Part
(a) an information may include more than one offence committed by the same person;
(b) all those offences may be tried concurrently; and
(c) one conviction for any or all offences so included may be made.
83. Section 209 of the French version of the Act is replaced by the following:
Portée
209. La présente partie s’applique aux titres, droits ou intérêts pétroliers ou gaziers acquis ou octroyés avant l’entrée en vigueur du présent article et lie Sa Majesté du chef du Canada ou d’une province.
84. The Act is amended by adding the following after section 210:
PART III.1
OCCUPATIONAL HEALTH AND SAFETY
Interpretation
Definitions
210.001 (1) The following definitions apply in this Part.
“authorization”
« autorisation »
“authorization” means an authorization issued under paragraph 142(1)(b).
“Chief Safety Officer”
« délégué à la sécurité »
“Chief Safety Officer” means the person designated as the Chief Safety Officer under section 144.
“committee”
« comité »
“committee” means a special committee and a workplace committee.
“coordinator”
« coordonnateur »
“coordinator” means an employee designated under subsection 210.045(1) to act as an occupational health and safety coordinator.
“declaration”
« déclaration »
“declaration” means a declaration referred to in subsection 143.1(1).
“employee”
« employé »
“employee” means an individual who, in return for monetary compensation, performs work or services for an employer in respect of a work or activity for which an authorization has been issued.
“employer”
« employeur »
“employer” means a person who employs or contracts for the services of any individual in respect of a work or activity for which an authorization has been issued, if that person has the power to exercise direction and control over the individual’s work at the workplace.
“hazardous substance”
« substance dangereuse »
“hazardous substance” includes a controlled product and any chemical, biological or physical agent that, by reason of a property that the agent possesses, is hazardous to the health or safety of an individual exposed to it.
“health and safety officer”
« agent de santé et de sécurité »
“health and safety officer” means an occupational health and safety officer or a special officer.
“interest holder”
Version anglaise seulement
“interest holder” has the same meaning as in section 49.
“marine installation or structure”
« ouvrage en mer »
“marine installation or structure”
(a) includes
(i) any ship, including any ship used for construction, production or diving or for geotechnical or seismic work,
(ii) any offshore drilling unit, including a mobile offshore drilling unit,
(iii) any production platform, subsea installation, pipeline as defined in section 138, pumping station, living accommodation, storage structure or loading or landing platform, and
(iv) any other work, or work within a class of works, prescribed under paragraph (4)(a); but
(b) does not include
(i) any vessel, including any supply vessel, standby vessel, shuttle tanker or seismic chase vessel, that provides any supply or support services to a ship, installation, structure, work or anything else described in paragraph (a), unless the vessel is within a class of vessels that is prescribed under paragraph (4)(b), or
(ii) any ship or vessel within a class of ships or vessels prescribed under paragraph (4)(c).
“Nova Scotia social legislation”
« lois sociales »
“Nova Scotia social legislation” means the provisions of the following Acts, as those Acts are amended from time to time: the Human Rights Act, R.S.N.S. 1989, c. 214, the Labour Standards Code, R.S.N.S. 1989, c. 246, the Workers’ Compensation Act, S.N.S. 1994-95, c.10, and the Health Protection Act, S.N.S. 2004, c. 4.
“occupational health and safety officer”
« agent de santé et de sécurité au travail »
“occupational health and safety officer” means an individual designated by the Federal Minister under section 210.072.
“operator”
« exploitant »
“operator” means a person who holds an authorization.
“owner”
« propriétaire »
“owner” means a person who has a right, title or interest, including a leasehold interest, recognized by law, in a marine installation or structure that is used or is to be used as a workplace, or any entity in which the person has vested all or any part of their right, title or interest.
“passenger craft”
« véhicule de transport »
“passenger craft” means any aircraft or vessel used to transport employees to or from a workplace while — and immediately before — it is transporting them.
“person”
« personne »
“person” includes individuals, corporations and partnerships.
“personal protective equipment”
« équipement de protection personnelle »
“personal protective equipment” includes personal protective clothing, personal protective devices and personal protective materials.
“provider of services”
« fournisseur de services »
“provider of services” means a person who, for commercial gain,
(a) provides services related to the placement with an operator or employer of individuals who, in return for monetary compensation, perform work or services for the operator or employer at a workplace; or
(b) provides services that affect or could affect the health or safety of employees or other individuals at a workplace or on a passenger craft, including engineering serv- ices, architectural services, the services of a certifying authority referred to in subsection 143.2(6), or the services of any person who provides information or advice, issues a certificate or affixes a professional seal or stamp.
“Provincial Minister”
« ministre provincial »
“Provincial Minister” means the minister of the government of the Province who is responsible for occupational health and safety.
“special committee”
« comité spécial »
“special committee” means a special committee established under section 210.046.
“special officer”
« agent spécial »
“special officer” means an individual designated under section 210.073.
“supervisor”
« superviseur »
“supervisor” means an employee who is in charge of a workplace or part of a workplace or who has authority over other employees.
“supplier”
« fournisseur de biens »
“supplier” means a person who, for commercial gain, manufactures, supplies, sells, leases, distributes or installs any tool, equipment, machine or device, any biological, chemical, or physical agent or any other prescribed thing, to be used at a workplace or on a passenger craft.
“union”
« syndicat »
“union” means a trade union as defined in the Trade Union Act, R.S.N.S. 1989, c. 475, as amended from time to time, that has the status of a bargaining agent under that Act in respect of any bargaining unit at a workplace, or any organization representing employees that has exclusive bargaining rights under any other Act of the Legislature of the Province in respect of those employees.
“workplace”
« lieu de travail »
“workplace” means
(a) any marine installation or structure where an employee is employed in connection with a work or activity for which an authorization has been issued;
(b) any workboat used by an employee, and operated from a marine installation or structure, to perform routine maintenance or repair work in connection with a work or activity for which an authorization has been issued; and
(c) any dive site from which, and any underwater area at which, a diving operation is conducted by an employee in connection with a work or activity for which an authorization has been issued.
“workplace committee”
« comité du lieu de travail »
“workplace committee” means a workplace committee established under section 210.043.
Hazardous Products Act definitions
(2) In this Part, “controlled product”, “hazard symbol”, “Ingredient Disclosure List”, “label” and “material safety data sheet” have the same meanings as in section 2 and subsection 11(1) of the Hazardous Products Act. Subsection 11(2) of that Act also applies for the purposes of this Part.
Regulations
(3) Subject to section 6 and on the recommendation of the Federal Minister and the Minister of Labour, the Governor in Council may make regulations
(a) defining “danger”, “dive site”, “diving operation” and “incident” for the purposes of this Part; and
(b) amending the definition “Nova Scotia social legislation” in subsection (1) to add any Act of the Legislature of the Province or to remove any Act from the definition.
Regulations
(4) Subject to section 6 and on the recommendation of the Federal Minister, the Minister of Labour and the Minister of Transport, the Governor in Council may make regulations
(a) prescribing a work or a class of works for the purposes of subparagraph (a)(iv) of the definition “marine installation or structure” in subsection (1);
(b) prescribing a class of vessels for the purposes of subparagraph (b)(i) of the definition “marine installation or structure” in subsection (1); and
(c) prescribing a class of ships or vessels for the purposes of subparagraph (b)(ii) of the definition “marine installation or structure” in subsection (1).
Employees in transit
(5) For the purposes of sections 210.005, 210.007 and 210.008, an employee is deemed to be at a workplace within the offshore area while — and immediately before — the employee is being transported on a passenger craft between the last point of embarkation on shore and the workplace, between the workplace and the first point of disembarkation on shore, or between workplaces.
Her Majesty
Binding on Her Majesty
210.002 This Part is binding on Her Majesty in right of Canada or a province.
Application
Application of Part
210.003 (1) This Part applies to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Employees and other passengers in transit
(2) This Part also applies to employees and other passengers while — and immediately before — being transported on a passenger craft between the last point of embarkation on shore and the workplace, between the workplace and the first point of disembarkation on shore, or between workplaces.
Non-application of Parts II and III of Canada Labour Code
210.004 Despite subsections 123(1) and 168(1) of the Canada Labour Code and any other Act of Parliament, Parts II and III of the Canada Labour Code do not apply to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Non-application of Canadian Human Rights Act
210.005 The Canadian Human Rights Act does not apply to or in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Non-application of Non-smokers’ Health Act
210.006 The Non-smokers’ Health Act does not apply to or in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Application of Nova Scotia social legislation
210.007 (1) Nova Scotia social legislation and any regulations made under it apply to and in respect of a workplace that is situated within the offshore area for the purposes of the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area.
Inconsistency or conflict
(2) In the event of an inconsistency or conflict between the provisions of this Act, or any regulations made under it, and the provisions of Nova Scotia social legislation or any regulations made under that legislation, the provisions of this Act and the regulations made under it prevail to the extent of the inconsistency or conflict.
Application of Trade Union Act, R.S.N.S. 1989, c. 475
210.008 (1) Despite section 4 of the Canada Labour Code and any other Act of Parliament, the provisions of the Trade Union Act, R.S.N.S. 1989, c. 475, as amended from time to time, and any regulations made under it, apply to and in respect of
(a) a marine installation or structure that is situated within the offshore area in connection with the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area and that is in the offshore area for the purpose of becoming, or that is, permanently attached to, permanently anchored to or permanently resting on the seabed or subsoil of the submarine areas of the offshore area;
(b) any workboat used by an employee, and operated from a marine installation or structure, to perform routine maintenance or repair work in connection with a work or activity for which an authorization has been issued; and
(c) a dive site from which, and any underwater area at which, a diving operation is conducted by an employee in connection with a work or activity for which an authorization has been issued.
Application of Part I of Canada Labour Code
(2) Part I of the Canada Labour Code applies to and in respect of a marine installation or structure that is situated within the offshore area in connection with the exploration or drilling for — or the production, conservation or processing of — petroleum within the offshore area if subsection (1) does not apply to or in respect of the marine installation or structure.
Purpose
Prevention of accidents and injury
210.009 (1) The purpose of this Part is to prevent accidents and injury arising out of, linked to or occurring in the course of employment to which this Part applies, in particular by
(a) allocating responsibility for occupational health and safety among the Board and the persons, unions and committees having obligations under this Part; and
(b) establishing a framework for them to exercise their rights and carry out their obligations.
Preventive measures
(2) Preventive measures should first aim at the elimination of hazards, then the reduction of the risks posed by the hazards and finally, the taking of protective measures, all with the goal of ensuring the health and safety of employees.
Allocation of Responsibility
Principles
210.01 (1) The allocation of responsibility for occupational health and safety is based on the following principles:
(a) operators have overall responsibility; and
(b) operators, employers, suppliers, provid- ers of services, employees, supervisors, owners and interest holders have individual and shared responsibilities, and are responsible for cooperating with each other and coordinating their activities related to occupational health and safety.
Specific obligations not to limit general obligations
(2) For greater certainty, the imposition of any specific obligation under this Part shall not be construed as limiting the generality of any other obligation under this Part.
Duties of Operators
Duty to establish occupational health and safety policy
210.011 (1) Every operator shall develop an occupational health and safety policy governing its workplaces.
Contents
(2) The policy shall be set out in writing and contain
(a) the commitments of the operator related to occupational health and safety, including its commitment to cooperate with employees with regard to health and safety;
(b) the responsibilities of the employers at any of the operator’s workplaces related to occupational health and safety; and
(c) any prescribed requirements.
Duty to review
(3) The operator shall review the policy at least every three years in consultation with each workplace committee that it establishes and with each employer at any of the operator’s workplaces.
Duty to take reasonable measures
210.012 Every operator shall take all reasonable measures to ensure the health and safety of all employees and other individuals at its workplaces and of all employees or other passengers while — and immediately before — being transported on a passenger craft to or from any of those workplaces.
Specific duties — workplace
210.013 Every operator shall, in respect of each of its workplaces,
(a) ensure the coordination of all work and activities for which an authorization has been issued to the operator;
(b) comply with its occupational health and safety management system, and ensure that all employers, supervisors and employees at, owners of and providers of services to the workplace comply with that system;
(c) ensure that information necessary for the health and safety of employees and other individuals at the workplace is communicated to them;
(d) ensure that all employers, supervisors and employees at, owners of and suppliers and providers of services to the workplace comply with the provisions of this Part and the regulations made under this Part;
(e) ensure that each employee at the workplace is made aware of known or foreseeable health or safety hazards;
(f) ensure that all work and activities for which an authorization has been issued are conducted so as to minimize the exposure to hazards, including hazardous substances, of all employees and other individuals at the workplace;
(g) ensure that any installations, facilities, equipment and materials at the workplace are properly installed, stored and maintained and are safe for their intended use;
(h) ensure that all employees and other individuals at the workplace conduct themselves so as to minimize their exposure to hazards, including hazardous substances;
(i) ensure that all employees and other individuals at the workplace are provided with the facilities and personal protective equipment — including any that are prescribed — necessary for their health and safety;
(j) ensure that all employees and other individuals at the workplace are provided with the information and training — including any that are prescribed — required for the proper use of personal protective equipment that is prescribed or that is required by the operator to be used or worn;
(k) ensure that all employees and other individuals at the workplace are provided with the instruction, training and supervision — including any that are prescribed — nec­essary for their health and safety;
(l) comply with the occupational health and safety requirements of any authorization issued to them, and those undertaken in the declaration related to the authorization, and record all instances of failures to comply with those requirements as well as any measures taken to rectify the failure or to prevent further such failures;
(m) ensure that all employers, supervisors and employees at, owners of and providers of services to the workplace comply with the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and those undertaken in the declaration related to the authorization, and report any instances of failures to comply with those requirements to the operator;
(n) inform the relevant interest holders of the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and those undertaken in the declaration related to the authorization, and of any failure to comply with those requirements;
(o) ensure that members of committees established for the workplace are provided with the support, opportunities and training — including any that are prescribed — nec­essary to enable the members to fulfil their duties and functions as a member of the committee;
(p) cooperate with those committees and facilitate communications between the employees and the committees;
(q) ensure that all or part of the workplace as described in paragraphs (a) and (b) of the definition “workplace” in subsection 210.001(1) is inspected by or on behalf of the operator at least once a month, so that every part of that workplace is inspected at least once a year, and ensure that the workplace committee participates;
(r) ensure that a record is kept of each inspection referred to in paragraph (q), including any corrective action taken as a consequence; and
(s) cooperate with the Board and with persons carrying out duties or functions under this Part.
Specific duties — passenger craft
210.014 (1) Every operator shall, each time before employees or other passengers are transported on a passenger craft to or from any of its workplaces,
(a) ensure that the employees and other passengers are provided with any information and instruction — including any that are prescribed — necessary for their health and safety; and
(b) ensure that the employees are provided with the operator’s contact information for the purposes of subsection 210.054(2).
Specific duty — passenger craft
(2) Every operator shall ensure that a passenger craft going to or from any of its workplaces
(a) meets the requirements of any Act or other law that relates to the health or safety of the employees and other passengers on the passenger craft; and
(b) is equipped with any equipment, devices and materials necessary to ensure the health and safety of the employees and other passengers, including any that are prescribed.
Specific duties — personal protective equipment
(3) Every operator shall ensure that all employees and other passengers on a passenger craft going to or from any of its workplaces
(a) are provided with any personal protective equipment necessary to ensure their health and safety, including any that is prescribed; and
(b) are provided with the information and training — including any that are prescribed — required for the proper use of personal protective equipment provided under paragraph (a) and the equipment, devices and materials referred to in paragraph (2)(b).
Occupational health and safety management system
210.015 (1) Every operator shall develop, implement and maintain an occupational health and safety management system that fosters a culture of workplace safety and that is adapted to the circumstances of the work or activity specified in each authorization issued to the operator, for the purposes of
(a) implementing its occupational health and safety policy;
(b) ensuring that the provisions of this Part and the regulations made under this Part are complied with; and
(c) complying with the occupational health and safety requirements of each of those authorizations, and those undertaken in a declaration related to any of those authorizations.
Contents
(2) The system shall be set out in writing and include provisions regarding
(a) the management of risks to the health and safety of employees — including any prescribed risks — and procedures for
(i) the ongoing and systematic identification and reporting of all hazards,
(ii) the assessment of risks associated with identified hazards, and
(iii) the implementation of hazard control measures;
(b) the role of any committee established for any of the operator’s workplaces and the interaction between those committees;
(c) the roles and accountability of the employers, employees, providers of services and suppliers that are responsible for implementing the operator’s occupational health and safety policy and occupational health and safety management system;
(d) the allocation of sufficient resources to ensure that employees continue to be qualified and competent, that there is proper quality control of documents, facilities, equipment and materials and that there is effective cooperation among employers;
(e) the procedures for carrying out work or activities, dealing with changes in operations and responding to emergencies;
(f) the procedures for dealing with failures to comply with the system and the procedures for the reporting and investigating of occupational diseases and of accidents, incidents and other hazardous occurrences and the keeping of related records and statistical analysis;
(g) the auditing of the adequacy and effectiveness of the system, including
(i) determining the ability of the system to achieve the purposes set out in subsection (1), and
(ii) identifying improvements that could be made to the system; and
(h) the implementation of the improvements identified during the audit referred to in paragraph (g).
Duty to review
(3) The operator shall review the system at least every three years in consultation with each workplace committee that it establishes.
Limitation
(4) If the regulations establish requirements in respect of anything described in any of paragraphs (2)(a) to (h), the system shall meet the requirements of those regulations.
Power to require code of practice
210.016 (1) The Chief Safety Officer may, in writing, require an operator to establish a code of practice in respect of occupational health and safety, or to adopt a code of practice in respect of occupational health and safety that is specified by the Chief Safety Officer, in respect of
(a) any of its workplaces or any work or activity carried out at any of its workplaces; or
(b) the transportation of employees to or from any of its workplaces.
Revision of code of practice
(2) The code of practice may be revised by the Chief Safety Officer from time to time, or the Chief Safety Officer may require the operator to revise it from time to time.
Notification of accidents, etc.
210.017 (1) Every operator shall, as soon as it becomes known to the operator, notify the Chief Safety Officer of
(a) any occupational disease at any of its workplaces; or
(b) any accident, incident or other hazardous occurrence at any of its workplaces, or on a passenger craft going to or from any of those workplaces, that causes a death or serious injury or in which a death or serious injury is narrowly avoided.
Investigation of accidents, etc.
(2) Every operator shall investigate any occupational disease, or any accident, incident or other hazardous occurrence, described in paragraph (1)(a) or (b) and shall keep adequate records of its investigation — including any records that are prescribed — for the period that is prescribed.
Report
(3) An operator shall, no later than April 1 of each year, submit to each workplace committee that it establishes, to the Chief Safety Officer and, on request, to any special committee established for any of its workplaces, a written report for the immediately preceding calendar year, in a form determined by that Officer.
Contents of report
(4) The report shall set out data on all occupational diseases, and all accidents, incidents and other hazardous occurrences, that have occurred at any of the operator’s workplaces or on a passenger craft going to or from any of those workplaces during the calendar year covered by the report, including the number of deaths, the number of serious injuries and the number of minor injuries.
Definition of “serious injury”
(5) In this section, “serious injury” means an injury that
(a) results in the loss by an individual of a body member or part of a body member or in the complete loss by an individual of the usefulness of a body member or part of a body member;
(b) results in the permanent impairment of a body function of an individual; or
(c) prevents an employee from reporting for work or from effectively performing all the functions connected with their regular work on any day subsequent to the day on which the injury occurred, whether or not that subsequent day is a working day for them.
Duties of Employers
Duty to take reasonable measures
210.018 Every employer shall take all reasonable measures to ensure
(a) the health and safety of its employees and other individuals at a workplace under its control;
(b) the health and safety of its employees at a workplace that is not under its control, to the extent that it controls their activities at the workplace; and
(c) the health and safety of its employees while — and immediately before — they are transported on a passenger craft.
Specific duties
210.019 (1) Every employer shall, in respect of each workplace under its control, and in respect of any activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity,
(a) coordinate its undertaking with the work and activities of the operator and of any other employer at the workplace who may be affected by that undertaking;
(b) ensure that the operator’s occupational health and safety management system is complied with and carry out any responsibilities assigned to the employer under that system;
(c) determine, in consultation with the operator, the impact of its undertaking on occupational health and safety and ensure that other employers at the workplace who may be affected by that undertaking are provided with adequate information;
(d) communicate to its employees — and, in respect of a workplace under its control, to other individuals at the workplace — all information necessary to their health and safety, or ensure that the information is communicated to them;
(e) ensure that its employees comply with the provisions of this Part and the regulations made under this Part;
(f) ensure that each of its employees, and particularly each supervisor, is made aware of known or foreseeable health or safety haz- ards;
(g) ensure that its undertaking is conducted so as to minimize its employees’ exposure to hazards and, in respect of any other individ- uals at a workplace under its control, to minimize their exposure to hazards;
(h) provide to its employees, and, in respect of a workplace under its control, to other individuals at the workplace, the facilities and personal protective equipment — including any that are prescribed — necessary for their health and safety;
(i) provide to its employees, and, in respect of a workplace under its control, to other individuals at the workplace, the information and training — including any that are prescribed — required for the proper use of all personal protective equipment that is prescribed or that is required by the operator or employer to be used or worn;
(j) provide its employees with the instruction, training and supervision — including any that are prescribed — necessary for their health and safety;
(k) ensure that the occupational health and safety requirements of any authorization related to the workplace are complied with;
(l) record and report to the operator all instances of failures to comply with the provisions of this Part or of the regulations made under this Part, or with the occupational health and safety requirements of any authorization related to the workplace;
(m) ensure that all equipment, machines, devices, materials and other things at the workplace are properly installed, stored and maintained, are safe for their intended use and are used as intended;
(n) cooperate with and facilitate communication with committees established for the workplace;
(o) provide to members of any special committee it establishes for the workplace the support, opportunities and training — including any that are prescribed — necessary to enable the members to fulfil the duties and functions conferred on the committee;
(p) ensure that all or part of the workplace as described in paragraphs (a) and (b) of the definition “workplace” in subsection 210.001(1) under its control is inspected by it or on its behalf at least once a month, so that every part of that workplace is inspected at least once a year, and ensure that the workplace committee participates; and
(q) cooperate with the Board and with persons carrying out duties or functions under this Part.
Training
(2) An employee who, with the approval of their employer, is receiving training that is required under this Part shall be paid the same wages and granted the same benefits that the employee would have received had they been working.
Occupational health and safety program
210.02 (1) For the purpose of implementing the operator’s occupational health and safety policy, every employer shall, in consultation with the workplace committee, develop, implement and maintain, in respect of each workplace under the employer’s control, an occupational health and safety program that fosters a culture of workplace safety, if
(a) five or more employees are normally employed at the workplace by the employer;
(b) the program is required by the Chief Safety Officer; or
(c) the requirement for such a program is prescribed.
Contents
(2) The program shall be set out in writing and include provisions regarding
(a) the management of risks to the health and safety of the employees — including any prescribed risks — and procedures for
(i) the ongoing and systematic identification and reporting of all hazards,
(ii) the assessment of risks associated with identified hazards, and
(iii) the implementation of hazard control measures;
(b) the training and supervision of the employees that are necessary to ensure their health and safety and that of other individuals at the workplace;
(c) the establishment of special committees, the operation of workplace committees and special committees, the access by committees to a level of management with authority to resolve occupational health and safety matters and the information required under this Part to be maintained in relation to those committees;
(d) the roles of committees and their interaction in implementing the operator’s occupational health and safety policy;
(e) the roles and accountability of the employers, employees, providers of services and suppliers that are responsible for implementing the operator’s occupational health and safety policy;
(f) the procedures, including those required under this Part, to be followed to protect the employees’ health and safety, and the identification of the types of work to which those procedures apply;
(g) the procedures to be followed to deal with
(i) failures to comply with the program and with the reporting and investigating of occupational diseases, and of accidents, incidents and other hazardous occurrences, at the workplace, and
(ii) the keeping of related records and statistical analysis;
(h) the auditing of the adequacy and effectiveness of the program, including
(i) determining the ability of the program to meet the requirements of the operator’s occupational health and safety policy and occupational health and safety management system, and
(ii) identifying improvements that could be made to the program; and
(i) the implementation of the improvements identified during the audit referred to in paragraph (h).
Limitation
(3) If the regulations establish requirements in respect of anything described in any of paragraphs (2)(a) to (i), the program shall meet the requirements of those regulations.
Power to require code of practice
210.021 (1) The Chief Safety Officer may, in writing, require an employer to establish, in respect of a workplace under the employer’s control or any work or activity carried out at any of those workplaces, a code of practice in respect of occupational health and safety, or to adopt, in respect of such a workplace, work or activity, a code of practice in respect of occupational health and safety that is specified by the Chief Safety Officer.
Revision of code of practice
(2) The code of practice may be revised by the Chief Safety Officer from time to time, or the Chief Safety Officer may require the employer to revise it from time to time.
Specific duties of employer — hazardous materials
210.022 Subject to any exceptions that are prescribed, every employer shall, in respect of each workplace under its control, and in respect of any activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity,
(a) ensure that concentrations of hazardous substances at the workplace are controlled in accordance with any standards that are prescribed;
(b) ensure that all hazardous substances at the workplace are stored and handled in the manner that is prescribed;
(c) ensure that all hazardous substances at the workplace, other than controlled products, are identified in the manner that is prescribed;
(d) subject to the Hazardous Materials Information Review Act, ensure that each controlled product at the workplace or each container at the workplace in which a controlled product is contained has applied to it a label that discloses information that is prescribed and has displayed on it, in the manner that is prescribed, all applicable hazard symbols that are prescribed;
(e) subject to the Hazardous Materials Information Review Act, make available to every employee at the workplace, in the manner that is prescribed, a material safety data sheet that discloses the following information with respect to each controlled product to which the employee may be exposed, namely,
(i) if the controlled product is a pure substance, its chemical identity, and if it is not a pure substance, the chemical identity of any of its ingredients that is a controlled product and the concentration of that ingredient,
(ii) if the controlled product contains an ingredient that is included in the Ingredient Disclosure List and the ingredient is in a concentration that is equal to or greater than the concentration specified in that List for that ingredient, the chemical identity and concentration of that ingredient,
(iii) the chemical identity of any ingredient of the controlled product that the employer believes on reasonable grounds may be harmful to an employee at the workplace and the concentration of that ingredient,
(iv) the chemical identity of any ingredient of the controlled product whose toxicolog- ical properties are not known to the employer and the concentration of that ingredient, and
(v) any other information that is prescribed with respect to the controlled product;
(f) if employees at the workplace may be exposed to hazardous substances, investigate and assess the potential exposure in the manner that is prescribed, with the assistance of the workplace committee or the coordinator, as the case may be; and
(g) ensure that all records of exposure to hazardous substances are kept and maintained in the manner that is prescribed and that personal records of exposure are made available to the affected employees.
Employer to provide information in emergency
210.023 (1) Every employer shall, in respect of each workplace under its control, and in respect of an activity performed by any of its employees at a workplace that is not under its control, to the extent that it controls the activity, provide, in respect of any controlled product to which an employee may be exposed, as soon as the circumstances permit, any information referred to in paragraph 210.022(e) that is in the employer’s possession to any physician — or other medical professional that is prescribed — who requests that information for the purpose of making a medical diagnosis of, or rendering medical treatment to, an employee in an emergency.
Confidentiality
(2) Any physician — or other medical professional that is prescribed — to whom information is provided by an employer under subsection (1) shall keep confidential any information specified by the employer as being confidential, except for the purpose for which it is provided.
Duties of Supervisors
Duty to take reasonable measures
210.024 Every supervisor shall take all reasonable measures to ensure the health and safety of employees and other individuals that they supervise at a workplace.
Specific duties
210.025 Every supervisor shall
(a) ensure that the employees that they supervise comply with the provisions of this Part and the regulations made under this Part;
(b) inform their employer and each of those employees of known or foreseeable health or safety hazards;
(c) if required to do so by their employer or the operator, provide those employees with written instructions as to the measures to be taken and the procedures to be followed for the protection of the employees; and
(d) report to their employer any failure to comply with the provisions of this Part or of the regulations made under this Part, or with the occupational health and safety requirements of any authorization related to the workplace that is issued to the operator.
Duties of Employees
Duty to take reasonable measures
210.026 Every employee at a workplace or on a passenger craft shall take all reasonable measures to protect their own health and safety and that of other individuals at the workplace or on the passenger craft.
Specific duties — workplace
210.027 Every employee at a workplace shall
(a) cooperate with the operator and with all employers and other employees to protect the health and safety of individuals at the workplace;
(b) use or wear, in the manner intended, all personal protective equipment that is prescribed or that is required by the operator or their employer to be used or worn;
(c) take all reasonable measures to ensure that other employees use or wear, in the manner intended, all personal protective equipment referred to in paragraph (b);
(d) consult and cooperate with committees established for the workplace;
(e) cooperate with the Board and with persons carrying out duties or functions under this Part;
(f) follow all instructions of their employer given for the purposes of ensuring occupational health and safety; and
(g) report to their employer any thing or circumstance at the workplace that is likely to be hazardous to the health or safety of the employee or other individuals at the workplace.
Specific duties — passenger craft
210.028 Every employee shall
(a) while — and immediately before — being transported on a passenger craft, cooperate with the individual providing them with information and instruction on behalf of the operator, with their employer and with any individual who operates or assists in operating the passenger craft, so as to protect the health and safety of individuals on the passenger craft; and
(b) while being transported on a passenger craft, use or wear, in the manner intended, all personal protective equipment that is prescribed or that is required by the operator, or by any individual who operates or assists in operating the passenger craft, to be used or worn on the passenger craft.
Limitation of liability — employee
210.029 No employee who, at the workplace or while — or immediately before — being transported on a passenger craft, comes to the assistance of another individual or carries out an emergency measure is personally liable for any injury or damage that may result from it, unless the injury or damage is a result of the employee’s gross negligence or wilful misconduct.
Duties of Suppliers and Providers of Services
Duty of supplier — reasonable measures
210.03 Every supplier shall, to protect the health and safety of individuals at a workplace or on a passenger craft, take all reasonable measures to ensure that any thing it supplies for use at the workplace or on the passenger craft is in a safe condition.
Specific duties
210.031 Every supplier shall ensure
(a) that any thing it supplies for use at a workplace or on a passenger craft meets the requirements of the regulations made under this Part; and
(b) if there is an obligation in an agreement for the supplier to maintain the thing in safe condition, that it complies with that obligation.
Duty of provider of services — reasonable measures
210.032 Every provider of services shall take all reasonable measures to ensure that no individual at a workplace or on a passenger craft is endangered as a result of the services that it provides in connection with the workplace or passenger craft.
Specific duties
210.033 Every provider of services shall
(a) when it provides services in connection with a workplace that are related to the placement, with an operator or employer, of individuals who, in return for monetary compensation, perform work or services for the operator or employer at the workplace, ensure that those individuals have the qualifications and certifications — including any that are prescribed — that are necessary for them to perform the work or services in a manner that protects their health and safety and that of employees and other individuals at the workplace;
(b) ensure that any information that it provides in connection with the services that it provides is accurate and sufficiently complete so as to enable the operator or employer, as the case may be, to make a competent judgment on the basis of the information; and
(c) ensure, to the extent that it is possible to do so, that any operator, employer, employee, supplier or owner, or any other provider of services, will not, as a result of relying in good faith on its advice, or on a certificate, seal or stamp provided by it, be in contravention of the provisions of this Part or of the regulations made under this Part, or of the occupational health and safety requirements of the authorization or those undertaken in the declaration related to the authorization.
Duties of Owners, Interest Holders and Corporate Officials
Duty of owner — reasonable measures
210.034 Every owner shall take all reasonable measures to ensure that any workplace in respect of which they are an owner is delivered and maintained so as to ensure the health and safety of individuals at that workplace, including measures to inform the operator of known or foreseeable health or safety hazards that could assist the operator in
(a) reducing the risks posed by hazards at the workplace; and
(b) assessing whether the provisions of this Part and the regulations made under this Part — and the occupational health and safety requirements of any authorization related to the workplace that is issued to the operator, and the occupational health and safety requirements undertaken in the declaration related to the authorization — are being complied with.
Duty of interest holder — reasonable measures
210.035 Every interest holder shall take all reasonable measures to ensure that the operator for a workplace in any portion of the offshore area subject to the interest, or the share of the interest, of that interest holder complies with
(a) the provisions of this Part and the regulations made under this Part; and
(b) the occupational health and safety requirements of any authorization related to that workplace that is issued to the operator, and the occupational health and safety requirements undertaken in the declaration related to the authorization.
Duty of directors and officers of operators
210.036 (1) Every director and every officer of a corporation that holds an authorization shall take all reasonable measures to ensure that the corporation complies with
(a) the provisions of this Part and the regulations made under this Part; and
(b) the occupational health and safety requirements of the authorization, and the occupational health and safety requirements undertaken in the declaration related to the authorization.
Duty of directors and officers of suppliers and providers of services
(2) Every director and every officer of a corporation that is a supplier or a provider of services shall take all reasonable measures to ensure that the corporation complies with sections 210.03 to 210.033.
Duty of directors and officers of interest holders
(3) Every director and every officer of a corporation shall, if the corporation has duties under section 210.035, take all reasonable measures to ensure that the corporation complies with that section.
Communication of Information
Posting of information — operator
210.037 (1) Every operator shall post in printed form, in a prominent place at each of its workplaces,
(a) its occupational health and safety policy;
(b) contact information to enable the reporting of health or safety concerns to the Board; and
(c) the names of the members of any committees established by the operator for that workplace, the members’ contact information and the minutes of the most recent meeting of those committees.
Information and documents — operator
(2) Every operator shall make the following information and documents readily available at each of its workplaces in a prominent place accessible to every employee at the workplace, in printed or electronic form:
(a) a copy of this Part and the regulations made under this Part;
(b) a copy of the document describing the operator’s occupational health and safety management system;
(c) any code of practice required by the Chief Safety Officer under section 210.016 to be established or adopted by the operator for that workplace;
(d) any code of practice required by the Chief Safety Officer under section 210.021 to be established or adopted by any employer at that workplace;
(e) information relating to the equipment, methods, measures, standards or other things permitted to be used at the workplace under any permission granted under section 210.07, any conditions placed on the use of that equipment or those methods, measures, standards or other things and the duration of the permission; and
(f) information relating to the equipment, methods, measures, standards or other things permitted to be used on a passenger craft, or whose use is permitted in respect of employees or other passengers being transported on a passenger craft, under any permission granted to the operator under section 210.071, any conditions placed on the use of that equipment or those methods, measures, standards or other things and the duration of the permission.
Incorporated material — operator
(3) Every operator shall, at the request of any employee or employer at any of the operator’s workplaces or by any committee established for any of those workplaces, make readily available for their examination any material incorporated by reference in the regulations made under this Part, in printed or electronic form.
Information — operator
(4) Every operator shall provide to any committee established for any of its workplaces, or to any employer or employee at any of those workplaces, in printed or electronic form, within seven days after the day on which an occupational health and safety officer requires it, any information that enables employees to become acquainted with their rights and responsibilities under this Part as the officer may require.
Obligation to post satisfied
(5) An obligation imposed on an operator under subsection (1) is satisfied if the operator provides a copy of the information or document to each employee at the workplace.
Posting of information — employer
210.038 (1) Every employer shall post, in a prominent place at each workplace for which it has established a special committee, in printed form, the names of the members of the special committee, the members’ contact information and the minutes of the most recent meeting of that committee.
Program and codes of practice — employer
(2) Every employer shall, in respect of a workplace under its control, provide to the operator, and make readily available in a prominent place accessible to its employees at the workplace, in printed or electronic form,
(a) a copy of the occupational health and safety program for the workplace; and
(b) any code of practice required by the Chief Safety Officer under section 210.021 to be established or adopted by the employer for the workplace.
Material and information — employer
(3) Every employer shall make available to the Board, if required by an occupational health and safety officer, and to any persons, unions and committees that an occupational health and safety officer may require, in printed or electronic form, within and for the time that the officer requires, any material or information referred to in subsections 210.037(3) and (4).
Obligation to post satisfied
(4) An obligation imposed on an employer under subsection (1) is satisfied if the employer provides a copy of the information or document to each of its employees at the workplace.
Chief Safety Officer information — operator
210.039 (1) Every operator shall communicate to employees at a workplace and the workplace committee any information that the Chief Safety Officer requires to be communicated to them, within the time and in the manner specified by the Chief Safety Officer.
Chief Safety Officer information — employer
(2) An employer shall communicate to its employees at a workplace any information that the Chief Safety Officer requires to be communicated to them, within the time and in the manner specified by the Chief Safety Officer.
Provision of information to committees
210.04 (1) Every operator and every employer shall immediately after preparing or being provided with a report respecting anything inspected, tested or monitored under this Part at the operator’s workplace or at a workplace under the employer’s control, as the case may be, including a report under section 210.075, notify all committees established for the workplace of the report and, subject to section 210.041, within seven days after the day on which a request is received from any of those committees, shall provide that committee with a copy of it.
Reports available to employees
(2) Every operator shall make available to any employee at the workplace, and the employer shall make available to any of its employees at the workplace, on request, a copy of any report that has been provided to a committee established for the workplace.
Editing of report — trade secrets
210.041 (1) If a report referred to in subsection 210.04(1) contains a trade secret, the operator or employer, as the case may be, may edit the report to protect the trade secret.
Editing of report — medical information
(2) If a report referred to in subsection 210.04(1) contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the operator or employer, as the case may be, shall edit the report to protect that information before providing it to a committee, unless the individual to whom the information relates consents in writing to the disclosure of the information to the committee.
Edited report
(3) The edited report shall be provided to the committee within 21 days after the day on which the committee’s request is received.
Response to request for information — operator
210.042 (1) Subject to subsections (3) and (4), every operator who receives from a committee established for any of its workplaces or any employee at any of its workplaces a written request for any information related to occupational health and safety, other than a request for a report referred to in subsection 210.04(1), shall provide a written response to the request within 21 days after the day on which it is received.
Response to request for information — employer
(2) Subject to subsections (3) and (4), every employer who receives from a special committee it has established or any of its employees a written request for any information related to occupational health and safety, other than a request for a report referred to in subsection 210.04(1), shall provide a written response to the request within 21 days after the day on which it is received.
Limitation — special committees
(3) If the request is made by a special committee, the operator or employer is required to respond only if the information is necessary for the particular purposes for which the committee was established.
Other provisions
(4) Subsections 210.047(3) to (8) apply to the request with any modifications that the circumstances require.
Committees and Coordinator
Establishment
210.043 (1) Every operator shall establish one workplace committee for each of its workplaces, other than a workplace established for six months or less, for purposes related to occupational health and safety.
Exception
(2) Despite subsection (1), the Chief Safety Officer may authorize an operator to establish a single workplace committee in respect of two or more workplaces if the Chief Safety Officer is satisfied that the circumstances warrant it.
Other committees
(3) An occupational health and safety committee described in subsection 210.045(1) is deemed to be a workplace committee in respect of the workplace referred to in that subsection and to have been established by the operator for that workplace.
Duties of workplace committee
(4) A workplace committee shall
(a) receive, consider, investigate if necessary and promptly dispose of matters and complaints related to occupational health and safety;
(b) participate in inspections referred to in paragraphs 210.013(q) and 210.019(1)(p), in the investigation of any matter under paragraph 210.022(f) and in the activities of any health and safety officers that pertain to a matter under section 210.049 or subsection 210.05(8) or 210.054(8), and, at the discretion of a health and safety officer, participate in the officer’s activities that pertain to occupational diseases and to accidents, incidents and other hazardous occurrences;
(c) maintain records in a form and manner approved by the Chief Safety Officer, and provide a copy of those records, on request, to a health and safety officer, or to any person within a class of persons that is prescribed;
(d) keep minutes of committee meetings in a form and manner approved by the Chief Safety Officer and provide a copy of those minutes, on request, to a health and safety officer, or to any person within a class of persons that is prescribed; and
(e) perform any other duties that are assigned to it by the Chief Safety Officer or that are assigned to it under an agreement between the operator and any employers and employees — or the union representing them — at the workplace.
Functions of workplace committee
(5) A workplace committee may
(a) seek to identify those things and circumstances at the workplace that are likely to be hazardous to the health or safety of employees, and advise on effective procedures to eliminate the hazards, to reduce the risks posed by the hazards and to protect against the hazards;
(b) advise the operator and the employers at the workplace on the occupational health and safety policy, the occupational health and safety management system and the occupational health and safety programs — and any procedures — required under this Part;
(c) advise on the provision of personal protective equipment suited to the needs of the employees;
(d) make recommendations, for the improvement of occupational health and safety, to the operator and the employers and employees at the workplace and to any supplier, owner or provider of services that carries out duties or functions under this Part; and
(e) participate in the activities described in subsection 210.08(1).
Limitation of liability
(6) An individual who serves as a member of a workplace committee is not personally liable for anything done or omitted to be done by them in good faith while carrying out their duties or functions.
Number of members
210.044 (1) A workplace committee consists of any number of individuals that may be agreed to by the operator and the employees at the workplace or the unions representing them.
Selection of members
(2) The operator shall select no more than half of the members of a workplace committee from among employees at the workplace, at least one of whom shall be a representative of the operator. The other members, who represent the employees, shall be selected by the employees, or the unions representing them, from among employees at the workplace who do not exercise managerial functions.
Meetings
(3) A workplace committee shall meet at least once every month, or more frequently if the Chief Safety Officer requires it.
Time off work
(4) An employee who is a member of a workplace committee is entitled to any time off from work that is necessary to enable them to fulfil their duties and functions as a member of the committee, including time off to take training. That time off is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Rules of procedure
(5) A workplace committee may establish its own rules of procedure, but in establishing those rules it shall comply with any requirements that are prescribed.
Co-chairpersons
(6) A workplace committee is to be co-chaired by two of its members, one chosen by members that have been selected by employees, or unions representing them, and the other chosen by members that have been selected by the operator.
Resolution of disagreements
(7) If there is disagreement as to the size of a workplace committee, the selection of members or any other matter that prevents or impairs the proper functioning of the committee, the Chief Safety Officer shall determine the matter and provide those concerned with a written determination. A determination by the Chief Safety Officer is final and binding and not subject to review or appeal.
Occupational health and safety coordinator
210.045 (1) If an operator establishes a workplace for six months or less, the operator shall — unless there is already an occupational health and safety committee for the workplace that meets the requirements of subsections 210.044(1), (2) and (6) — designate an employee at that workplace who has been approved by the Chief Safety Officer to act as an occupational health and safety coordinator in respect of that workplace.
Duties of coordinator
(2) The coordinator shall
(a) receive, consider, investigate if necessary, and promptly dispose of matters and complaints related to occupational health and safety;
(b) assist their employer in carrying out the employer’s duties under paragraph 210.022(f);
(c) maintain records in a form and manner approved by the Chief Safety Officer, and provide a copy of those records, on request, to a health and safety officer, or to any person within a class of persons that is prescribed; and
(d) perform any other duties that are assigned to them by the Chief Safety Officer.
Recommendations
(3) The coordinator may make recommendations, for the improvement of occupational health and safety, to the operator and the employers and employees at the workplace and to any supplier, owner or provider of services that has duties or functions under this Part.
Duties of operator
(4) The operator shall
(a) ensure that the coordinator is informed of their responsibilities as coordinator under this section;
(b) ensure that the coordinator is provided with the training in health and safety — including any that is prescribed — necessary to enable them to fulfil their duties and functions as coordinator; and
(c) make readily available to employees at the workplace, in printed form, the name of the coordinator and the coordinator’s contact information.
Duties of operator and employer
(5) The operator and the employers at the workplace shall cooperate with the coordinator and facilitate communications between the coordinator and the employees at the workplace.
Limitation of liability
(6) An individual who serves as a coordinator is not personally liable for anything done or omitted to be done by them in good faith while carrying out their duties or functions.
Time off work
(7) An employee who is a coordinator is entitled to any time off from work that is necessary to enable them to fulfil their duties and functions as a coordinator, including time off to take training. That time off is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Order to establish special committee — operator
210.046 (1) The Chief Safety Officer may, after consultation with an operator, order the operator to establish a special committee for any of its workplaces for particular purposes related to occupational health and safety.
Order to establish special committee — employer
(2) The Chief Safety Officer may, after consultation with an employer having control over a workplace, the operator, and the employer’s employees at the workplace or the union representing them, order the employer to establish a special committee for that workplace for particular purposes related to occupational health and safety.
Mandate, duties and functions
(3) The order shall set out the mandate, duties and functions of the special committee and the responsibilities of the operator or employer, as the case may be.
Time limit
(4) The operator or employer, as the case may be, shall establish the special committee within 15 days after the day on which it receives the order.
Provisions applicable
(5) Paragraphs 210.043(5)(b) and (d) and subsections 210.043(6) and 210.044(1) to (7) apply, with any modifications that the circumstances require, in respect of a special committee.
Response to recommendations
210.047 (1) Subject to subsections (4), (6) and (7), an operator or employer who receives recommendations from a committee established for any of the operator’s workplaces or for a workplace under the employer’s control, as the case may be, together with a written request to respond to the recommendations, shall provide a written response within 21 days after the day on which it receives the request.
Nature of response
(2) The response shall indicate the recommendations being accepted as well as the action, if any, that will be taken and the date by which it will be taken, and the recommendations being rejected, together with the reasons for the rejection.
Response delayed — explanation
(3) If it is not possible to provide a response within 21 days, the operator or employer, as the case may be, shall within that period provide the committee with a written explanation for the delay and propose a date on which the response will be provided.
Revised date for response
(4) Unless the committee notifies the operator or employer, as the case may be, that it is not satisfied that the explanation provided or the proposed date is reasonable, the operator or employer shall provide the response by that date.
Report of delay
(5) If the committee is not satisfied that the explanation provided or the proposed date indicated is reasonable, the committee shall promptly report the matter to an occupational health and safety officer.
Confirmation of date
(6) If the occupational health and safety officer is satisfied that the explanation provided and the proposed date are reasonable, the officer shall notify the committee, and the operator or employer, as the case may be, that the operator or employer is to provide the response by the date indicated. The operator or employer, as the case may be, shall provide the response by that date.
Fixing new date
(7) If the occupational health and safety officer is not satisfied that the explanation provided or the proposed date is reasonable, the officer shall determine the date on which the response is to be provided and notify the committee, and the operator or employer, as the case may be, of that date. The operator or employer, as the case may be, shall provide the response by that date.
Report regarding response
(8) If the committee has not been provided with a response to its recommendations within the period required or if it considers that the response is not satisfactory, it shall inform an occupational health and safety officer of the matter.
Workplace Monitoring
Observers
210.048 (1) A workplace committee may choose an employee at the workplace to observe
(a) the set-up of, or any change to, systems for monitoring conditions at the workplace that affect the health or safety of employees, including systems for taking samples and measurements; and
(b) the subsequent monitoring of the conditions referred to in paragraph (a), including the taking of samples and measurements.
Observers
(2) Every employer who conducts an activity described in paragraph (1)(a) or (b) at the workplace, and the operator if the operator conducts such an activity, shall permit the observer to observe the activity.
Exception
(3) Subsection (2) does not apply in an emergency situation, or in respect of monitoring referred to in paragraph (1)(b) that is carried out continuously or on a regular and frequent basis.
Notice and access
(4) When an operator or an employer monitors health and safety conditions at a workplace, the following requirements apply:
(a) if an employer is carrying out the monitoring, the employer shall give reasonable notice to the operator to enable the operator to comply with paragraph (b);
(b) if an operator is carrying out the monitoring or is notified under paragraph (a), the operator shall give reasonable notice of the commencement of monitoring to all employers at the workplace;
(c) the operator or the employer carrying out the monitoring shall give reasonable notice of the commencement of monitoring to the observer, and shall provide the observer with access to the workplace for the purpose of observing the monitoring; and
(d) the operator or employer carrying out the monitoring shall, at the request of the observer, explain the monitoring process to the observer.
Monitoring by health and safety officers
(5) Monitoring may be carried out on the order of a health and safety officer under section 210.074 even if the notices referred to in paragraphs (4)(a) to (c) have not been given.
Compensation of employees
(6) An employee acting as an observer shall be paid the same wages and granted the same benefits that the employee would have received had they been working.
Reporting of Occupational Health and Safety Concerns
Duty to report
210.049 (1) An employee who has reasonable cause to believe that a provision of this Part or of the regulations made under this Part has been contravened or that there is likely to be an accident or injury arising out of, linked to or occurring in the course of employment shall report their concern to their supervisor.
Resolve concern
(2) The employee and the supervisor shall try to resolve the employee’s concern between themselves as soon as possible.
Notice to employer, etc.
(3) If the employee’s concern is not resolved, they may notify their employer, and when so notified the employer shall in turn notify the workplace committee or the coordinator, as the case may be, and the operator.
Notice to health and safety officer
(4) If the employee’s concern is not resolved after they notify their employer, the employee may notify a health and safety officer.
Right to Refuse
Refusal to perform activity
210.05 (1) Subject to subsection (2), an employee may refuse to perform an activity at a workplace if they have reasonable cause to believe that the performance of the activity constitutes a danger to themselves or another individual.
Circumstances when refusal not permitted
(2) An employee is not permitted to refuse to perform an activity if the refusal puts the life, health or safety of another individual directly in danger.
Report to supervisor
(3) An employee who refuses to perform an activity shall immediately report the circumstances of the matter to their supervisor.
Action by supervisor
(4) The supervisor shall immediately take action to try to resolve the matter. If the supervisor believes that a danger exists, they shall immediately take any action that is necessary to protect any individual from the danger and to inform the workplace committee or the coordinator, as the case may be, the operator and the employee’s employer of the matter. If the supervisor does not believe that a danger exists, they shall so notify the employee.
Report to employer, etc.
(5) If the employee continues to refuse to perform the activity, they shall immediately notify their employer and the workplace committee or the coordinator, as the case may be, and the employer shall in turn notify the operator and any provider of services that is providing services related to the placement of that employee.
Report to occupational health and safety officer
(6) Immediately after being notified under subsection (5), the operator shall notify an occupational health and safety officer of the continued refusal of the employee to perform the activity and of any remedial action taken.
Recommendations of committee or coordinator
(7) The workplace committee or the coordinator, as the case may be, may make any recommendations that they consider appropriate to the employee, the employee’s employer, the operator and any provider of services that is providing services related to the placement of that employee.
Enquiry and decision
(8) The occupational health and safety officer shall, if the employee continues to refuse to perform the activity, enquire into the matter, taking into account the recommendations, if any, made by the workplace committee or the coordinator. The officer shall give to the employee, the employee’s employer, the operator and any provider of services that is providing services related to the placement of that employee, and to the workplace committee or the coordinator, as the case may be, a written notification of their decision on the matter.
Dangerous situation — order
(9) If the occupational health and safety officer decides that the performance of the activity constitutes a danger to the employee or another individual, the officer shall make any order under subsection 210.094(1) or (2) that the officer considers appropriate, and the employee may continue to refuse to perform the activity until the order is complied with or until it is varied or revoked under this Part.
No right to refuse
(10) If the occupational health and safety officer decides that the performance of the activity does not constitute a danger to the employee or another individual, or that the refusal puts the life, health or safety of another individual directly in danger, the employee is not entitled under this section to continue to refuse to perform the activity.
Opportunity to explain reasons for refusal
210.051 (1) An employee who refuses under section 210.05 to perform an activity may accompany an occupational health and safety officer when the officer is enquiring into the matter under subsection 210.05(8), for the purpose of explaining the reasons for the employee’s refusal.
Compensation of employee
(2) An employee who, under subsection (1), accompanies an occupational health and safety officer shall, during that time, be paid the same wages and granted the same benefits that the employee would have received if they had not exercised their right to refuse.
Assignment of equivalent work
210.052 (1) Subject to any applicable collective agreement or other agreement, if an employee refuses under section 210.05 to perform an activity, the employer may assign reasonably equivalent work to the employee until the employee, by virtue of subsection 210.05(9) or (10), is no longer permitted to refuse to perform the activity.
Compensation during assignment
(2) If the employee is assigned reasonably equivalent work, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, shall pay them the same wages and grant them the same benefits that they would have received had they not refused to perform the activity.
Compensation if no assignment
(3) If the employee is not assigned reasonably equivalent work, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, shall, until the employee, by virtue of subsection 210.05(9) or (10), is no longer permitted to refuse to perform the activity, pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to perform the activity.
No compensation if refusal of equivalent work
(4) Subject to any applicable collective agreement or other agreement, if the employee refuses an assignment of reasonably equivalent work, they are not entitled to receive any wages or benefits.
Other employees
(5) For as long as the employee continues to exercise their right to refuse to perform an activity, another employee shall not be assigned to perform the activity unless the employer has advised that other employee of the refusal, the reasons for the refusal and the right of that other employee to refuse to perform the activity.
Repayment
(6) Subject to any applicable collective agreement or other agreement, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, may require repayment of any wages and benefits received by an employee under subsection (3) if an occupational health and safety officer determines in respect of an application made under section 210.064, after all avenues of redress have been exhausted by the employee, that the employee received the wages and benefits knowing that no circumstances existed that would warrant the refusal.
Compensation for other employees
210.053 (1) Subject to any applicable collective agreement or other agreement, an employee at a workplace who is affected by a work stoppage arising from a refusal by another employee to perform an activity shall be paid the same wages and granted the same benefits that they would have received had no work stoppage occurred, until work resumes or until they return to their usual point of disembarkation on shore, whichever event occurs first.
Equivalent work
(2) Subject to any applicable collective agreement or other agreement, an employer may assign reasonably equivalent work to an employee who is affected by a work stoppage at the same wages and benefits that the employee would have received if no work stoppage had occurred.
Refusal to be transported
210.054 (1) An employee may refuse to be transported on a passenger craft if they have reasonable cause to believe that being transported on it constitutes a danger to them.
Report to operator
(2) An employee who refuses to be transported on a passenger craft shall use the contact information provided under paragraph 210.014(1)(b) to immediately report the circumstances of the matter.
Notice to Chief Safety Officer or delegate
(3) On being notified of a refusal under subsection (2), the operator shall immediately notify the Chief Safety Officer unless the Chief Safety Officer has provided other contact information for the purposes of this subsection, in which case the operator shall use that contact information to make the notification.
Notice to passengers
(4) For as long as the employee continues to exercise their right to refuse to be transported on the passenger craft, or for any longer period specified by the Chief Safety Officer, the operator shall notify all other employees and other passengers to be transported on the passenger craft, before they are transported, of the refusal, the reasons for the refusal and the right of employees to refuse to be transported.
Action by operator
(5) The operator shall immediately take action to try to resolve the matter. If the operator believes that the transportation constitutes a danger to the employee, it shall immediately take any remedial action that is necessary and inform the workplace committee established for the workplace to or from which the employee was to be transported, and an occupational health and safety officer, of the matter. If the operator does not believe that the transportation constitutes a danger to the employee, it shall so notify the employee.
Report to workplace committee, etc.
(6) If the employee continues to refuse to be transported, the operator shall immediately notify the workplace committee, the employee’s employer and an occupational health and safety officer of the continued refusal of the employee to be transported and of any remedial action taken. The employer shall in turn notify any provider of services that is providing services related to the placement of that employee.
Recommendations of committee
(7) The workplace committee may make any recommendations to the employee and the operator that it considers appropriate.
Enquiry and decision
(8) The occupational health and safety officer shall, if the employee continues to refuse to be transported, enquire into the matter, taking into account any recommendations made by the workplace committee. The occupational health and safety officer shall decide whether the transportation constitutes a danger to the employee, and shall give to the employee, the employee’s employer, the operator and the workplace committee a written notification of the decision. The employer shall in turn notify any provider of services that is providing services related to the placement of that employee.
Dangerous situation — order
(9) If the occupational health and safety officer decides that the transportation constitutes a danger to the employee, the officer shall make any order under subsection 210.094(1) or (2) that they consider appropriate, and an employee may continue to refuse to be transported until the order is complied with or until it is varied or revoked under this Part.
No right to refuse
(10) If the occupational health and safety officer decides that the transportation does not constitute a danger to the employee, the employee is not entitled to continue to refuse to be transported.
Assignment of equivalent work
210.055 (1) Subject to any applicable collective agreement or other agreement, if an employee refuses under section 210.054 to be transported, the employer may assign reasonably equivalent work to the employee until the employee, by virtue of subsection 210.054(9) or (10), is no longer permitted to refuse to be transported.
Compensation during assignment
(2) If an employee is assigned reasonably equivalent work, the employer or the provider of services that is providing services related to the placement of the employee, as the case may be, shall pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to be transported.
Compensation if no assignment
(3) If an employee has not been assigned reasonably equivalent work, the employer or the provider of services that is providing services related to the placement of the employee, as the case may be, shall, until the employee, by virtue of subsection 210.054(9) or (10), is no longer permitted to refuse to be transported, pay the employee the same wages and grant the employee the same benefits that they would have received had they not refused to be transported.
No compensation if refusal of equivalent work
(4) Subject to any applicable collective agreement or other agreement, if an employee refuses an assignment of reasonably equivalent work, the employee is not entitled to receive any wages or benefits.
Repayment
(5) Subject to any applicable collective agreement or other agreement, the employer, or the provider of services that is providing services related to the placement of the employee, as the case may be, may require repay-ment of any wages and benefits received by an employee under subsection (3) if an occupational health and safety officer determines in respect of an application made under section 210.064, after all avenues of redress have been exhausted by the employee, that the employee received the wages and benefits knowing that no circumstances existed that would warrant the refusal.
Pregnant or Nursing Employees
Cessation of functions
210.056 (1) Without prejudice to the rights conferred by section 210.05 and subject to this section, an employee who is pregnant or nursing may cease to perform her job if she believes that, by reason of the pregnancy or nursing, continuing any of the functions connected with her regular work may pose a risk to her health or to that of her foetus or child.
Notification
(2) On being informed of the cessation, the employer, with the written consent of the employee, shall notify the workplace committee established for the employee’s workplace or the coordinator, as the case may be.
Medical certificate
(3) The employee shall provide to her employer, and any provider of services that is providing services related to her placement, as soon as possible, a certificate of a medical practitioner of her choice who is entitled to practise medicine under the laws of a province
(a) certifying that continuing any of the functions connected with her regular work poses a risk to her health or to that of her foetus or child and indicating the expected duration of the risk and the activities or conditions to avoid in order to eliminate the risk; or
(b) certifying that continuing the functions connected with her regular work does not pose a risk to her health or to that of her foetus or child.
Provision no longer applicable
(4) Without prejudice to any other right conferred by this Part, by a collective agreement, by another agreement or by any terms and conditions of employment, once the medical practitioner has established that there is a risk as described in subsection (1), the employee is no longer permitted to cease to perform her job under that subsection.
Employer may reassign
(5) For the period during which the employee does not perform her job under subsection (1), the employer may, in consultation with the employee, reassign her to another job that would not pose a risk to her health or to that of her foetus or child.
Status of employee
(6) Whether or not the employee has been reassigned to another job, she is deemed to continue to hold the job that she held at the time she ceased to perform her job and is to continue to receive the wages and benefits that are attached to that job for the period during which she does not perform the job.
Reassignment and job modification
210.057 (1) An employee who is pregnant or nursing may, during the period from the beginning of the pregnancy to the end of the twenty-fourth week following the birth, request that the employer modify the functions connected with her regular work or reassign her to another job if, by reason of the pregnancy or nursing, continuing any of those functions may pose a risk to her health or to that of her foetus or child.
Medical certificate
(2) The employee’s request shall be accompanied by a certificate described in paragraph 210.056(3)(a).
Employer’s obligations
210.058 (1) An employer to whom a request has been made under subsection 210.057(1) shall examine the request in consultation with the employee and, if feasible, shall modify the functions connected with her regular work or shall reassign her. The employer shall notify any provider of services that is providing services related to the placement of that employee that the request has been made.
Rights of employee
(2) An employee who has made a request under subsection 210.057(1) is entitled to continue in her current job while the employer examines her request, but, if the risk posed by continuing any of the functions connected with her regular work so requires, she is entitled to and shall be granted a leave of absence with the same wages and benefits — payable by the employer or any provider of services that is providing services related to the placement of that employee, as the case may be — that she would have received had she not been on leave of absence until the employer
(a) modifies the functions connected with her regular work or reassigns her; or
(b) informs her in writing that it is not feasible to modify the functions connected with her regular work or to reassign her.
Onus of proof
(3) The onus is on the employer to show that a modification of the functions connected with the employee’s regular work or a reassignment that would avoid the activities or conditions indicated in the medical certificate is not feasible.
Employee to be informed
(4) If the employer concludes that a modification of the functions connected with the employee’s regular work or a reassignment that would avoid the activities or conditions indicated in the medical certificate is not feasible, the employer shall so inform her in writing.
Status of employee
(5) If the functions connected with the employee’s regular work are modified or the employee is reassigned, the employee is deemed to continue to hold the job that she held at the time of making the request under subsection 210.057(1), and shall continue to receive the wages and benefits that are attached to that job.
Employee’s right to leave
(6) An employee referred to in subsection (4) is entitled to and shall be granted a leave of absence for the duration of the risk as indicated in the medical certificate.
Reprisals and Complaints
Definition of “reprisal action”
210.059 (1) In this section and in sections 210.06 and 210.063, “reprisal action” means an action that
(a) adversely affects an employee with respect to their terms or conditions of employment or any opportunity for employment or promotion, including dismissal, lay-off, suspension, demotion, transfer of job or location, discontinuation or elimination of the job, change in hours of work, reduction in wages or benefits, coercion, intimidation or the imposition of any disciplinary sanction, reprimand or other penalty; and
(b) is taken, in whole or in part, because the employee has acted in accordance with the provisions of this Part or of the regulations made under this Part or with a decision or order made under any of those provisions or has taken steps to ensure that those provisions are complied with.
Prohibition
(2) No operator, employer, provider of serv- ices or union shall take, or threaten to take, reprisal action against an employee.
No action against employee
(3) Without limiting the generality of subsection (2), actions referred to in paragraph (1)(a) cannot be taken against an employee for
(a) seeking to establish a committee, participating in the establishment or work of a committee or acting as a member of a committee or as a coordinator;
(b) acting as an observer under section 210.048;
(c) making a report under section 210.049;
(d) refusing to perform an activity under section 210.05, refusing to be transported under section 210.054 or ceasing to perform a job under section 210.056;
(e) requesting the employer under section 210.057 to modify the functions connected with the employee’s regular work or to reassign the employee;
(f) seeking access to information to which the employee is entitled under this Part;
(g) testifying in any proceeding or inquiry under this Part; or
(h) giving information in accordance with the provisions of this Part or of the regulations made under this Part or with a decision or order made under any of those provisions to a committee, a coordinator, a health and safety officer or any other person having duties or functions under this Part, or under Part III as it relates to safety.
Disciplinary action
(4) Despite paragraph (3)(d), any action referred to in paragraph (1)(a) may be taken against an employee who has exercised rights under section 210.05 or 210.054 after all avenues of redress have been exhausted by the employee, if the operator, employer, provider of services or union taking the action can demonstrate that the employee has wilfully abused those rights.
Reasons
(5) The operator, employer, provider of services or union shall provide the employee with written reasons for any action taken under subsection (4) within 15 days after the day on which a request is received from the employee to do so.
Complaints
210.06 (1) An employee may, either personally or through a representative, make a complaint in writing to an occupational health and safety officer that
(a) an employer or provider of services has failed to pay wages or grant benefits to the employee that are required under subsection 210.019(2), 210.044(4), 210.045(7), 210.048(6), 210.051(2), 210.052(2) or (3), 210.053(1) or (2), 210.055(2) or (3), 210.056(6) or 210.058(2) or (5); or
(b) an operator, employer, provider of serv- ices or union has taken or threatened to take reprisal action against the employee contrary to subsection 210.059(2).
Time limit
(2) The complaint shall be made within 90 days after the day on which the grounds for the complaint became known or ought to have become known to the employee.
Burden of proof
(3) On an enquiry into a complaint under paragraph (1)(b), the burden of proving that no reprisal action has been taken or threatened is on the operator, employer, provider of services or union against whom the complaint is made.
Grievance under collective agreement
(4) An employee who is aggrieved by a subject-matter described in paragraph (1)(a) or (b) should, if the employee is bound by a collective agreement that provides for final and binding arbitration of grievances in respect of the subject-matter, present a grievance under the agreement.
Exercise of rights
(5) An employee who exercises their right within the time permitted under the collective agreement is not permitted to make a complaint under subsection (1) in respect of the same subject-matter unless it is determined that the arbitrator does not have jurisdiction to hear the grievance. In that case, the employee may, within 90 days after the day on which a final determination is made that the arbitrator does not have jurisdiction, make an application under that subsection.
Enquiry into complaint
210.061 (1) If a complaint is made to an occupational health and safety officer, the officer shall enquire into it and decide if it is justified.
Enquiry on own initiative
(2) An occupational health and safety officer may carry out an enquiry on their own initiative if the officer is of the opinion, based on information that the officer considers to be reliable, that grounds for a complaint under section 210.06 exist.
Notice of decision
210.062 If, after carrying out their enquiry, the occupational health and safety officer decides that a complaint is not justified or that no grounds for a complaint exist, they shall immediately give notice of the decision to the operator and the complainant, as well as to the employer, provider of services or union that is the subject of the complaint.
Order to pay wages or grant benefits
210.063 (1) If the occupational health and safety officer decides that an employer or a provider of services that is providing services related to the placement of an employee has failed to pay wages or grant benefits to the employee that are required under this Part, they may order the employer or provider of services, as the case may be, subject to any terms and conditions that they consider appropriate,
(a) to pay those wages or grant those benefits; and
(b) to take any other measure necessary to remedy the matter.
Order in case of reprisal action
(2) If the occupational health and safety officer decides that an operator, employer, provider of services or union has taken reprisal action contrary to subsection 210.059(2), they may, subject to any terms and conditions that they consider appropriate, order
(a) the reinstatement of an employee on the same terms and conditions under which the employee was employed immediately before the reprisal action;
(b) the payment or the granting to an employee, by the employer or provider of services of any wages or benefits that the employee would have been entitled to but for the reprisal action;
(c) the removal of any reprimand or other references to the matter from the records of any operator, employer or provider of serv- ices;
(d) the reinstatement of an employee to a union if the employee has been expelled by the union; and
(e) the taking by the operator, employer, provider of services or union of any other measure necessary to remedy the matter.
Order in case of threat of reprisal action
(3) If the occupational health and safety officer decides that an operator, employer, provider of services or union has threatened to take reprisal action contrary to subsection 210.059(2), they shall order it not to take that action.
Order to specify breach
(4) An order made under this section shall specify the provisions of this Part or of the regulations made under this Part that have not been complied with or the nature of any reprisal action taken or threatened to be taken contrary to subsection 210.059(2), as the case may be.
Application by employer or provider of services
210.064 (1) An employer or a provider of services may apply in writing to an occupational health and safety officer for a determination as to whether
(a) an employee has received wages and benefits under subsection 210.052(3) knowing that no circumstances existed that would warrant the employee’s refusal, under section 210.05, to perform an activity; or
(b) an employee has received wages and benefits under subsection 210.055(3) knowing that no circumstances existed that would warrant the employee’s refusal, under section 210.054 to be transported.
Time limit
(2) The application shall be made within 30 days after all avenues of redress have been exhausted by the employee.
Burden of proof
(3) The burden of proving that no circumstances existed that would warrant the refusal by the employee is on the employer or the provider of services.
Notice of decision
210.065 If an occupational health and safety officer dismisses an application made under subsection 210.064(1), the officer shall immediately give notice of the decision to the applicant, the Chief Safety Officer and the operator, as well as to the employee who is the subject of the application.
Notice of decision
210.066 If an occupational health and safety officer determines that an employee has received wages and benefits under subsection 210.052(3) or 210.055(3) knowing that no circumstances existed that would warrant the refusal by the employee under section 210.05 to perform an activity, or the refusal by the employee under section 210.054 to be transported, as the case may be, the officer shall immediately give notice of the decision to the applicant, the Chief Safety Officer and the operator, as well as to the employee who is the subject of the application.
Activities of Board
Research, studies and programs
210.067 (1) The Board may, for the purposes of this Part,
(a) undertake research into the causes of and the means of preventing or reducing occupational injury and illness;
(b) cause studies to be made into occupational health and safety;
(c) publish the results of the research or studies;
(d) compile, prepare and disseminate information related to occupational health and safety obtained from the research and studies;
(e) implement programs to prevent or reduce occupational injury and illness; and
(f) implement — in accordance with the regulations, if any — programs for medical monitoring and examination related to occupational health and safety, request any employer to do so or appoint any medical practitioner qualified in occupational medicine to do so.
Consent for medical monitoring or examination
(2) For the purposes of paragraph (1)(f), medical monitoring or examination of an employee may be conducted only with the employee’s written consent.
Cooperation with governments, etc.
(3) The Board may carry out the activities described in paragraphs (1)(a), (e) and (f) in conjunction with any department or agency of the Government of Canada, the government of any province or a foreign government, or with any other organization that carries out similar activities.
Guidelines and interpretation notes
210.068 (1) The Board may issue and publish, in any manner that it considers appropriate, guidelines and interpretation notes with respect to the application and administration of this Part.
Not statutory instruments
(2) The guidelines and interpretation notes are not statutory instruments for the purposes of the Statutory Instruments Act.
Authorization
Recommendation of Chief Safety Officer
210.069 (1) On receipt under subsection 142(3.1) of an application for an authorization, or to amend an authorization, the Chief Safety Officer shall
(a) consider the potential impact of the work or activity to be authorized on the health and safety of employees engaged in the work or activity; and
(b) make a written recommendation to the Board on the matters considered.
Board to take recommendation into account
(2) In deciding whether to issue or amend an authorization, the Board shall take into account the recommendation of the Chief Safety Officer.
Authorization — occupational health and safety
(3) In addition to any requirement or approval determined by the Board under Part III to which an authorization is subject, the authorization is also subject to any requirements and approvals, not inconsistent with the provisions of this Act or the regulations, that the Board determines relate to occupational health and safety.
Substitutions
Powers of Chief Safety Officer — workplace
210.07 (1) The Chief Safety Officer may, on application, permit the use at a workplace, for a specified time and subject to specified conditions, of specified equipment, methods, meas- ures, standards or other things, in lieu of any required by regulations made under this Part, if he or she is satisfied that protection of the health and safety of employees at the workplace would not be diminished and the granting of the permission is not otherwise prohibited by regulation.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with a permission under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the permission is granted; and
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period fixed by him or her with the agreement of the applicable workplace committee — after the day on which the application has been made available.
Notice at workplace
(5) If the application is made in respect of an existing workplace, the applicant shall give a copy of the application to the operator. An operator shall, immediately after it receives or makes an application relating to an existing workplace
(a) post a copy of it in printed form in a prominent place at the workplace; and
(b) provide a copy to any committee established for that workplace and to any union representing employees within the offshore area.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), inform, in a manner that he or she considers advisable, the applicant, the operator and the public of the decision made on the application.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the applicant for the permission under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time if information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Powers of Chief Safety Officer — passenger craft
210.071 (1) The Chief Safety Officer may, on application by an operator, permit the use on a passenger craft, or the use in respect of employees or other passengers being transported on a passenger craft, for a specified time and subject to specified conditions, of specified equipment, methods, measures, standards or other things, in lieu of any required by regulations made under this Part, if the granting of the permission is not otherwise prohibited by regulation made under this Part and if he or she is satisfied that protection of the health and safety of the employees or other passengers being transported would not be diminished.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with a permission under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the permission is granted;
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application; and
(d) be accompanied by documentation issued by the Minister of Transport indicating that if the permission is granted, it would not contravene any Act or law that applies to the operation of a passenger craft.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period fixed by him or her with the agreement of each workplace committee established by the operator — after the day on which the application has been made available.
Notice at workplace
(5) An operator shall, immediately after it makes an application, post a copy of it in printed form in a prominent place at each of its workplaces, and provide a copy to any committee established for that workplace.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), inform, in a manner that he or she considers advisable, the operator and the public of the decision made on the application.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the operator who requested a permission under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time when information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Administration and Enforcement
Occupational health and safety officers
210.072 (1) Subject to subsection (3), the Federal Minister shall, within 30 days after the day on which the Minister is notified that the Provincial Minister has designated an individual as an occupational health and safety officer under the Provincial Act, designate that individ- ual as an occupational health and safety officer for the purposes of the administration and enforcement of this Part.
Notice of designation
(2) The Federal Minister shall, without delay after making the designation, notify the Provincial Minister in writing that the designation has been made and provide a copy to the Board.
Restriction
(3) The Federal Minister shall not designate an individual if he or she is not satisfied that the individual is qualified to exercise the powers and carry out the duties and functions of an occupational health and safety officer under this Part. If an individual is not designated, the Federal Minister shall without delay notify the Provincial Minister of it in writing and provide a copy to the Board.
Limitation
(4) No individual may be designated under subsection (1) unless they have been recommended to the Provincial Minister by the Board.
Indemnification
(5) An individual designated under subsection (1) who is not an employee of the Board is deemed to be an officer for the purposes of section 17.
Certificate to be produced
(6) An individual designated under subsection (1) shall be provided with a certificate of designation, and, on entering any place under the authority of this Part shall, if so requested, produce the certificate to the person in charge of the place.
Special officers
210.073 (1) If the Provincial Minister is satisfied that the circumstances described in paragraphs (a) and (b) exist and he or she appoints an individual as a special officer under the Provincial Act in relation to a matter connected to the risk described in paragraph (a), the Federal Minister may, after being advised of that appointment, and subject to subsection (2), designate that individual as a special officer for the purposes of the administration and enforcement of this Part in relation to the same matter:
(a) there are reasonable grounds to believe that action by a special officer is required to avoid a serious risk to the health and safety of employees in the offshore area within the near future; and
(b) the risk cannot be avoided through the exercise of powers conferred under subsection 41(2) or section 210.121 or 210.122.
Restriction
(2) The Federal Minister may designate the individual only if he or she, after consulting with the Minister of Labour, is satisfied that the circumstances described in paragraphs (1)(a) and (b) exist and that the individual is qualified to exercise the powers and carry out the duties and functions of a special officer under this Part.
Notice of designation
(3) The Federal Minister shall, without delay after making a designation, notify the Provincial Minister in writing that the designation has been made and provide a copy to the Board.
Certificate to be produced
(4) The individual shall be provided with a certificate of designation and, on entering any place under the authority of this Part, shall, if so requested, produce the certificate to the person in charge of the place.
No liability
(5) No action lies against the Board for anything done or omitted to be done by an individual designated under subsection (1) while carrying out their duties or functions, or by any person in the course of assisting such an individual.
Orders for verifying compliance
210.074 (1) A health and safety officer may, for the purpose of verifying compliance with this Part, order an operator, employer, employee, supervisor, interest holder, owner, provider of services or supplier
(a) to do, in a place that is used for any work or activity for which an authorization has been issued, including a passenger craft or an aircraft or vessel that has been used or is intended to be used as a passenger craft, any of the following:
(i) inspect anything,
(ii) pose questions or conduct tests or monitoring, and
(iii) take photographs or measurements or make recordings or drawings;
(b) to accompany or assist the officer while the officer is in a place described in paragraph (a);
(c) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(d) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(e) to ensure that all or part of a place described in paragraph (a), or anything located in the place, that is under their control, not be disturbed for a reasonable period pending the exercise of any powers under this section; and
(f) to remove anything from a place described in paragraph (a) and to provide it to the officer, in the manner specified by the officer, for examination, testing or copying.
Orders for verifying compliance
(2) A health and safety officer may, for the purpose of verifying compliance with this Part, order any person in charge of a place, other than a person in charge of a place referred to in paragraph (1)(a), in which the officer has reasonable grounds to believe that there is anything to which this Part applies
(a) to inspect anything in the place;
(b) to pose questions, or conduct tests or monitoring, in the place;
(c) to take photographs or measurements, or make recordings or drawings, in the place;
(d) to accompany or assist the officer while the officer is in the place;
(e) to produce a document or another thing that is in their possession or control, or to prepare and produce a document based on data or documents that are in their possession or control, in the form and manner that the officer may specify;
(f) to provide, to the best of their knowledge, information relating to any matter to which this Part applies, or to prepare and produce a document based on that information, in the form and manner that the officer may specify;
(g) to ensure that all or part of the place, or anything located in the place, that is under their control, not be disturbed for a reasonable period pending the exercise of any powers under this section; and
(h) to remove anything from the place and to provide it to the officer, in the manner specified by the officer, for examination, testing or copying.
Powers on entry
(3) A health and safety officer may, for the purpose of verifying compliance with this Part and subject to section 210.076, enter a place that is used for any work or activity for which an authorization has been issued, including a passenger craft or an aircraft or vessel that has been used or is intended to be used as a passenger craft, or any other place in which the officer has reasonable grounds to believe that there is anything to which this Part applies, and may for that purpose
(a) inspect anything in the place;
(b) pose questions, or conduct tests or monitoring, in the place;
(c) take samples from the place, or cause them to be taken, for examination or testing, and dispose of those samples;
(d) remove anything from the place, or cause it to be removed, for examination, testing or copying;
(e) while at the place, take or cause to be taken photographs or measurements, make or cause to be made recordings or drawings or use systems in the place that capture images or cause them to be used;
(f) use any computer system in the place, or cause it to be used, to examine data contained in or available to it;
(g) prepare a document, or cause one to be prepared, based on data contained in or available to the computer system;
(h) use any copying equipment in the place, or cause it to be used, to make copies;
(i) be accompanied while in the place by any individual, or be assisted while in the place by any person, that the officer considers necessary; and
(j) meet in private with any individual in the place, with the agreement of that individual.
Clarification
(4) For greater certainty, a health and safety officer who has entered a place under subsection (3) may order any individual in the place to do anything described in paragraphs (1)(a) to (f) or (2)(a) to (h), as the case may be.
Return of things removed
(5) Anything removed under paragraph (1)(f), (2)(h) or (3)(d) for examination, testing or copying shall, if requested by the person from whom it was removed, be returned to that person after the examination, testing or copying is completed, unless it is required for the purpose of a prosecution under this Part.
Reports to be provided to operator
210.075 (1) A health and safety officer shall provide to an operator written reports respecting anything inspected, tested or monitored at any of its workplaces by, or on the order of, the officer for the purpose of verifying compliance with this Part.
Reports to be provided to employer
(2) A health and safety officer shall provide to each employer at a workplace written reports respecting anything inspected, tested or monitored at the workplace by, or on the order of, the officer for the purpose of verifying compliance with this Part that relate to the health and safety of the employer’s employees.
Editing of report — trade secrets
(3) If a report contains a trade secret, the health and safety officer may edit the report to protect the trade secret.
Editing of report — medical and other information
(4) If a report contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the health and safety officer shall edit the report to protect that information before providing it to an operator or employer, unless the individual to whom the information relates consents in writing to the disclosure of the information to the operator or employer.
Entering living quarters
210.076 (1) If the place referred to in subsection 210.074(3) is living quarters, a health and safety officer is not authorized to enter those quarters without the consent of the occupant except
(a) to execute a warrant issued under subsection (4);
(b) to verify that any lifesaving equipment that is prescribed is readily available and in good condition; or
(c) to verify that those quarters, if on a marine installation or structure, are in a structurally sound condition sufficient to ensure the health and safety of employees.
Notice
(2) The officer shall provide reasonable notice to the occupant before entering living quarters under paragraph (1)(b) or (c).
Exception
(3) Despite paragraphs (1)(b) and (c), any locker in the living quarters that is fitted with a locking device and that is assigned to the occupant shall not be opened by the officer without the occupant’s consent except under the authority of a warrant issued under subsection (4).
Authority to issue warrant
(4) On ex parte application, a justice of the peace may issue a warrant authorizing a health and safety officer who is named in it to enter living quarters subject to any conditions specified in the warrant if the justice is satisfied by information on oath that
(a) the living quarters are a place referred to in subsection 210.074(3);
(b) entry to the living quarters is necessary to verify compliance with this Part; and
(c) entry was refused by the occupant or there are reasonable grounds to believe that entry will be refused or that consent to entry cannot be obtained from the occupant.
Authority to open locker
(5) The warrant may also authorize a locker described in subsection (3) to be opened, subject to any conditions specified in the warrant, if the justice is satisfied by information on oath that
(a) it is necessary to open the locker to verify compliance with this Part; and
(b) the occupant to whom it is assigned refused to allow it to be opened or there are reasonable grounds to believe that the occupant to whom it is assigned will refuse to allow it to be opened or that consent to opening it cannot be obtained from that occupant.
Use of force
(6) The health and safety officer who executes a warrant issued under subsection (4) shall not use force unless the use of force has been specifically authorized in the warrant.
Telewarrant provisions to apply
(7) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by a health and safety officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Definition of “living quarters”
(8) In this section, “living quarters” means sleeping quarters provided for the accommodation of employees on a marine installation or structure or a passenger craft, and any room for the exclusive use of the occupants of those quarters that contains a toilet or a urinal.
Assistance to officers
210.077 (1) The operator for, employers, employees and supervisors at, owners of, suppliers or providers of services to, as well as the person in charge of, a place entered by a health and safety officer under subsection 210.074(3) — and the interest holders having an interest, or a share of an interest, in any portion of the offshore area in which the place is located — shall give all assistance that is reasonably required to enable the officer to verify compliance with this Part and shall provide any documents, data or information that is reasonably required for that purpose.
Transportation, accommodation and food
(2) If the place referred to in subsection 210.074(3) is a workplace, the operator shall provide to the health and safety officer, and to every individual accompanying that officer, free of charge,
(a) suitable transportation between the operator’s usual point of embarkation on shore and the workplace, between the workplace and the operator’s usual point of disembarkation on shore, and between workplaces; and
(b) suitable accommodation and food at the workplace.
False statements or information
210.078 No person shall make a false or misleading statement or provide false or misleading information, in connection with any matter under this Part, to a health and safety officer who is carrying out duties or functions under this Part or to the Chief Safety Officer when he or she is conducting a review under section 210.1.
Obstruction
210.079 No person shall obstruct or hinder a health and safety officer who is carrying out duties or functions under this Part or the Chief Safety Officer when he or she is conducting a review under section 210.1.
Accompaniment of health and safety officer
210.08 (1) A health and safety officer who is inspecting, testing or monitoring anything in a workplace under subsection 210.074(3) shall give to an employer representative at the workplace, and to a member of the workplace committee who represents employees, an opportunity to accompany the officer when the officer is carrying out those activities.
Employee representative unavailable
(2) If no employee representative from the workplace committee is available, the officer may select one or more other employees to accompany them.
Unaccompanied examination
(3) The officer may carry out the activities without being accompanied by an employer or employee representative if either or both of them are unavailable and the officer considers that it is necessary to proceed immediately with those activities.
Consultation with employees
(4) If the officer is not accompanied by an employee representative, the officer shall endeavour to consult with a number of employees when carrying out the activities.
Compensation of employee
(5) An individual who is accompanying or being consulted by an officer under this section shall be paid the same wages and granted the same benefits that the individual would have received had they been working.
Authority to issue warrant
210.081 (1) On ex parte application, a justice of the peace may issue a warrant if the justice is satisfied by information on oath that there are reasonable grounds to believe that there is in any place anything that will provide evidence or information relating to the commission of an offence under this Part.
Powers under warrant
(2) The warrant may authorize a health and safety officer, and any other individual named in the warrant, to at any time enter and search the place and to seize anything specified in the warrant, or do any of the following as specified in it, subject to any conditions that may be specified in it:
(a) conduct examinations, tests or monitoring;
(b) take samples for examination or testing, and dispose of those samples; or
(c) take photographs or measurements, make recordings or drawings, or use systems in the place that capture images.
Where warrant not necessary
(3) A health and safety officer may exercise the powers described in this section without a warrant if the conditions for obtaining the warrant exist but by reason of exigent circumstances it would not be feasible to obtain one.
Exigent circumstances
(4) Exigent circumstances include circumstances in which the delay necessary to obtain the warrant would result in danger to human life or the loss or destruction of evidence.
Operation of computer system and copying equipment
(5) An individual authorized under this section to search a computer system in a place may
(a) use or cause to be used any computer system at the place to search any data contained in or available to the computer system;
(b) reproduce or cause to be reproduced any data in the form of a printout or other intelligible output;
(c) seize any printout or other output for examination or copying; and
(d) use or cause to be used any copying equipment at the place to make copies of the data.
Duty of person in charge of place
(6) Every person who is in charge of a place in respect of which a search is carried out under this section shall, on presentation of the warrant, permit the individual carrying out the search to do anything described in subsection (5).
Transportation, accommodation and food
(7) An operator shall provide, free of charge, to an individual who is executing a warrant under this section at any of its workplaces
(a) suitable return transportation between the workplace and any location from which transportation services to that workplace are usually provided, and between workplaces; and
(b) suitable accommodation and food at the workplace.
Telewarrant provisions to apply
(8) A warrant may be issued under this section by telephone or other means of telecommunication on information submitted by a health and safety officer by one of those means, and section 487.1 of the Criminal Code applies for that purpose, with any modifications that the circumstances require.
Storage and removal
210.082 (1) A thing seized under this Part may be stored in the place where it was seized or may, at the discretion of a health and safety officer, be removed to any other place for storage. The owner of the thing or the person who is lawfully entitled to possess it shall pay the costs of storage or removal.
Perishable things
(2) If the thing seized is perishable, a health and safety officer may destroy the thing, or otherwise dispose of it in any manner the officer considers appropriate. Any proceeds realized from its disposition shall be paid to the Receiver General.
Non-disturbance of Scene
Serious injury or death
210.083 (1) In the case of an incident at a workplace, or involving a passenger craft, that results in serious injury or death, no person shall, unless authorized to do so by a health and safety officer, disturb anything related to the incident except to the extent necessary to
(a) attend to any individuals who are injured or killed;
(b) prevent further injuries; or
(c) prevent damage to or loss of property.
Exception — passenger craft
(2) If an individual is killed or seriously injured by an incident involving a passenger craft, an individual who is investigating the incident under the Aeronautics Act, the Canada Shipping Act, 2001 or the Canadian Transportation Accident Investigation and Safety Board Act is not required to obtain an authorization under subsection (1).
Disclosure of Information
Provision of information
210.084 No person shall prevent an employee from providing to a health and safety officer or to the Board, or to any person or committee having duties or functions under this Part, information that they may require to carry out their duties or functions.
Information not to be disclosed
210.085 Subject to sections 210.088 to 210.09, no person shall — except for the purposes of this Part, for the purposes of a prosecution under this Part, for the purposes of Part III as it relates to safety or for the purposes of a prosecution under Part III that relates to safety — disclose the results of
(a) activities carried out by or on the order of a health and safety officer for the purpose of verifying compliance with this Part; or
(b) activities carried out under a warrant issued under this Part.
Non-disclosure of identity
210.086 Subject to section 210.089, no individual to whom information obtained under this Part is communicated in confidence shall disclose the identity of the individual who provided it except for the purposes of this Part, and no individual who obtains such information in confidence is competent or compellable to disclose the identity of the individual who provided it before any court or other tribunal except by order of the court or tribunal on any terms and conditions that the court or tribunal considers just.
Non-disclosure of trade secrets
210.087 (1) Subject to subsections (2) and 210.089(1), trade secrets that become known to a health and safety officer who enters a place under subsection 210.074(3), or to an individual accompanying or a person assisting the officer, are privileged and shall not be disclosed except for the purposes of this Part, or for the purposes of Part III as it relates to safety.
Information on hazardous products and materials
(2) Information that, under the Hazardous Materials Information Review Act, a person is exempt from disclosing under paragraph 210.022(d) or (e) or under paragraph 13(a) or (b) of the Hazardous Products Act, and that is obtained by a health and safety officer who enters a place under subsection 210.074(3), or by an individual accompanying or a person assisting the officer, is privileged and, despite the Access to Information Act or any other Act or law, shall not be disclosed to any other person except for the purposes of this Part, or for the purposes of Part III as it relates to safety.
Secondary release of information
(3) Subject to subsection 210.089(2), information disclosed under subsection (1) or (2) shall not be further disclosed by the recipient, except for the purpose for which it was disclosed to them.
Disclosure by Chief Safety Officer
210.088 (1) Despite section 122, the Chief Safety Officer may disclose information — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, an individual’s identity the disclosure of which is restricted under section 210.086 or information the disclosure of which is restricted under section 210.087 — related to occupational health and safety that he or she obtains in his or her capacity as Chief Safety Officer to officials of the federal government, a provincial government or a foreign government, or of an agency of any of those governments, for the purposes of a federal or provincial law or activity or a foreign law, if the Officer is satisfied that disclosure is in the interest of health and safety and the information is disclosed subject to any conditions agreed upon by the Officer and the government or agency.
Disclosure by federal government or agency
(2) Officials of the federal government or of an agency of the federal government may for the purposes of this Part disclose information related to occupational health and safety — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual — to the Chief Safety Officer, if they are satisfied that disclosure is in the interest of health and safety and it is disclosed subject to any conditions agreed upon by the federal government or agency and the Officer.
Secondary release of information
(3) Information disclosed under subsection (1) or (2) shall not be further disclosed by the recipient without the consent in writing of the person who disclosed it to them, unless it is disclosed for the same purposes and subject to the conditions referred to in that subsection.
Access to information by governments
210.089 (1) The Federal Minister and the Provincial Minister are entitled to access to any information that is recorded in any form — other than information relating to the medical history of an identifiable individual or information the disclosure of which is restricted under subsection 210.087(2) — if the record is under the control of the Board and the information relates to this Part, and that information shall, on the request of either Minister, be disclosed to that Minister without requiring the consent in writing of the person to whom the information relates.
Secondary release of information
(2) Information disclosed to either Minister under subsection (1) shall not be further disclosed by that Minister without the consent in writing of the person to whom it relates except for the purposes of this Part or for the purposes of Part III as it relates to safety.
Disclosure by Board
210.09 Despite section 122, the Board may, after consulting with the Chief Safety Officer, disclose information under its control that relates to this Part — other than information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, an individ­ual’s identity the disclosure of which is restricted under section 210.086 or information the disclosure of which is restricted under 210.087 — if the Board is satisfied that the public interest in making the disclosure clearly outweighs any potential harm resulting from the disclosure.
Proceedings
Privilege
210.091 (1) No health and safety officer and no individual who has accompanied or person who has assisted the officer in carrying out the officer’s duties or functions may be required to give testimony in civil or administrative proceedings, other than proceedings under this Part, relating to information obtained in the exercise of the officer’s powers or in the carrying out of the officer’s duties or functions or in accompanying or assisting the officer, except with the written permission of the Board.
Non-application of section 210.085
(2) If a person to whom subsection (1) applies is required to give testimony in civil or administrative proceedings for which they have the written permission referred to in that subsection, section 210.085 does not apply to restrict the disclosure of the results described in that section.
Privilege
(3) No person shall be required to produce or give evidence in any civil or administrative proceeding relating to any information disclosed to them under subsection 210.088(1) or (2) or 210.089(1).
No action against health and safety officer
210.092 No action lies against
(a) a health and safety officer for anything done or omitted to be done by them in good faith while carrying out their duties or functions under this Part; or
(b) an individual accompanying or a person assisting a health and safety officer for anything done or omitted to be done by them in good faith while carrying out their duties or functions under this Part.
Orders and Decisions
Order to terminate contravention
210.093 A health and safety officer who is of the opinion that a provision of this Part or of the regulations made under this Part is being contravened or has recently been contravened by any person may order the person to
(a) terminate the contravention within the time that the officer specifies; and
(b) take measures specified by the officer, within the period that they specify, to ensure that the contravention does not continue or reoccur.
Dangerous situations — order
210.094 (1) If a health and safety officer is of the opinion that the performance of an activity — including the use or operation of any thing or the conditions under which an activity is performed — constitutes a danger to an employee or other individual at a workplace or a passenger on a passenger craft, the officer shall order any person to take measures, immediately or within the period that the officer specifies
(a) to correct the hazard or condition, or to alter the activity, that constitutes the danger; or
(b) to protect any individual from the danger.
Dangerous situations — additional order
(2) If a health and safety officer is of the opinion that the measures cannot be taken immediately, the officer may order any person not to use a place, operate a thing or perform an activity to which an order under subsection (1) relates until that order is complied with.
Necessary measures
(3) Nothing in subsection (2) prevents the doing of anything necessary to comply with the order under subsection (1).
Posting notice of danger
(4) If a health and safety officer makes an order under subsection (2), the officer shall post or affix or cause to be posted or affixed to or near the place or thing to which the order relates, or in the area in which the activity to which the order relates is performed, a notice in the form, and containing the information, that the officer may specify, and no person shall remove the notice unless they are authorized by a health and safety officer to do so.
Cessation of use
(5) If a health and safety officer makes an order under subsection (2), the person to whom the order is directed shall cause the use or operation of the place or thing or the perform- ance of the activity to be discontinued, and no individual shall use or operate the place or thing or perform the activity until the order under subsection (1) is complied with.
Copy of order
210.095 (1) A health and safety officer shall give a copy of any order they make under section 210.093 or subsection 210.094(1) or (2) to the person to whom it is directed and to the operator to whom the order relates. If a special officer makes the order, they shall give a copy of it to the Chief Safety Officer also.
Copy to affected employee
(2) If an occupational health and safety officer makes an order under section 210.093 or subsection 210.094(1) or (2) as a result of being notified under subsection 210.049(4), 210.05(6) or 210.054(6), or decides after being so notified not to make an order, the officer shall, as soon as possible, give a copy of the order, or written notice of the decision, to the employee who made the report under subsection 210.049(1) or who exercised their rights under section 210.05 or 210.054.
Confirmation in writing
(3) If an order is made orally under section 210.093 or subsection 210.094(1) or (2), it shall be confirmed in writing and a copy given, as soon as possible, to the persons who, under subsections (1) and (2), are required to be given a copy.
When order may be made
(4) A health and safety officer may make an order under section 210.093 or subsection 210.094(1) or (2) even if the officer is not physically present in the place to which the order refers.
Compliance notice
210.096 The person to whom an order under section 210.093 or subsection 210.094(1) or (2) is directed shall, within the period specified in the order, submit to the health and safety officer a notice of compliance describing the extent to which they have complied with the order, unless the officer decides that the notice is not necessary because compliance with the order has been achieved.
Priority — special officer
210.097 (1) An order made by a special officer prevails over an order made by an occupational health and safety officer, the Chief Safety Officer, an operational safety officer, a conservation officer or the Chief Conservation Officer, as defined in section 138, to the extent of any inconsistency between the orders.
Priority — occupational health and safety officer
(2) An order or a decision made by an occupational health and safety officer prevails over an order or a decision made by an operational safety officer, a conservation officer or the Chief Conservation Officer, as defined in section 138, to the extent of any inconsistency between the orders or decisions.
Posting and Providing of Certain Documents
Duty of operator or employer
210.098 (1) Subject to subsections (2) and (3), every operator or employer, as the case may be, shall, as soon as practicable after filing or receiving any of the following documents, post a copy of it in a prominent location at the workplace to which it relates and provide a copy of it to the workplace committee or the coordinator, as the case may be:
(a) an order made under section 210.093 or subsection 210.094(1) or (2);
(b) a notice of compliance referred to in section 210.096 or subsection 210.101(11);
(c) an application for a review made under subsection 210.099(1) or a decision made under subsection 210.1(1); or
(d) a notice of an appeal made under subsection 210.101(1) or a decision or order made under subsection 210.101(9).
Editing of document — trade secrets
(2) If any document required to be posted under subsection (1) contains a trade secret, the operator or employer, as the case may be, may, before posting it, edit it to protect that trade secret. If the document is edited, the operator or employer shall obtain the written approval of a health and safety officer for the document as edited before posting it.
Editing of document — medical and other information
(3) If any document required to be posted under subsection (1) contains information relating to the medical history of an identifiable individual or other prescribed information relating to an identifiable individual, the operator or employer, as the case may be, shall — unless the individual to whom the information relates consents in writing to the information being posted — before posting it, edit it to protect that information, and obtain the written approval of a health and safety officer for the document as edited.
Obligation to post satisfied
(4) An obligation imposed on an operator or employer under subsection (1) is satisfied if
(a) the operator or employer, as the case may be, ensures that the document is posted for the time necessary, which is at least 30 days or any longer period that is prescribed, to enable employees at the workplace to inform themselves of the content; or
(b) the operator or employer, as the case may be, provides a copy of the document to each employee at the workplace.
Review and Appeals
Review
210.099 (1) Subject to subsection (2), any person who is, or any union representing employees who are, directly affected by a decision of an occupational health and safety officer under subsection 210.05(10) or 210.054(10), or by an order of an occupational health and safety officer under section 210.093 or subsection 210.094(1) or (2), may apply for a review by the Chief Safety Officer of the decision or order.
Exception
(2) If the Chief Safety Officer, acting as an occupational health and safety officer, makes a decision under subsection 210.05(10) or 210.054(10) or an order under section 210.093 or subsection 210.094(1) or (2), he or she is not permitted to review those decisions or orders.
Time limit
(3) An application for a review shall be made in writing to the Chief Safety Officer within 45 days after the date of the decision or order that is the subject of the review being made in writing or, if the decision or order was made orally, of it being confirmed in writing.
No stay
(4) Unless otherwise ordered by the Chief Safety Officer, an application for review of a decision or an order does not operate as a stay of the decision or order.
Decision
210.1 (1) On receiving an application for a review, the Chief Safety Officer shall, in a summary way and without delay, enquire into the circumstances of the decision or order and may confirm, vary or revoke the decision or order. In making his or her enquiry, the Officer may consider new information including, but not limited to, information provided by the applicant.
Review not prevented
(2) The Chief Safety Officer is not prevented from conducting a review by reason only that he or she, in the course of carrying out his or her duties and functions under this Part, receives information regarding the matter under review or communicates with any person concerning that matter.
Communication of decision
(3) The Chief Safety Officer shall provide his or her decision in writing, with reasons, to the applicant, to the operator affected by it and to any person who made representations in relation to the matter under review.
Effect of decision
(4) A decision of the Chief Safety Officer made under this section that is not appealed is final and binding and not subject to review.
Appeal
210.101 (1) Any person who is, or any union representing employees who are, directly affected by any of the following decisions or orders may appeal the decision or order to the Board (in this section and in sections 210.104, 210.105, 210.106 and 210.116 referred to as the “provincial labour board”) as defined in the Occupational Health and Safety Act, S.N.S. 1996, c. 7, as amended from time to time (in this section and in sections 210.104 and 210.105 referred to as the “Provincial Occupational Health and Safety Act”):
(a) a decision of an occupational health and safety officer under section 210.062;
(b) an order of an occupational health and safety officer under subsection 210.063(1), (2) or (3);
(c) a determination of an occupational health and safety officer made in respect of an application under section 210.064;
(d) an order of a special officer under section 210.093 or subsection 210.094(1) or (2);
(e) an order of the Chief Safety Officer referred to in subsection 210.046(1) or (2) or 210.099(2); or
(f) a decision of the Chief Safety Officer under subsection 210.1(1).
Costs
(2) The costs incurred by the provincial labour board in respect of appeals made under subsection (1), including the remuneration of their members, shall be paid by the Board as defined in section 2.
Time limit
(3) An appeal shall be made by filing a notice of appeal under the Provincial Occupational Health and Safety Act within 45 days after the date of the decision or order that is the subject of the appeal.
No stay
(4) Subject to subsection (5) or unless otherwise ordered by the provincial labour board, an appeal of a decision or order does not operate as a stay of the decision or order.
Stay
(5) Any order under subsection 210.063(1), (2) or (3) is stayed until disposition of the appeal.
Chief Safety Officer
(6) The Chief Safety Officer may, subject to any conditions imposed by the provincial labour board, make representations to that board in respect of the decision or order being appealed.
Conduct of appeal
(7) The rules of practice and procedure that apply to appeals made under the Provincial Occupational Health and Safety Act apply to appeals made under subsection (1); except, however, that when an employer is required to receive a copy of an order or decision, the operator and Chief Safety Officer shall receive a copy of it as well.
Powers, privileges and immunities
(8) The provincial labour board and each of its members has the powers, privileges and immunities granted under the Provincial Occupational Health and Safety Act.
Decision
(9) The provincial labour board may revoke, or make an order confirming or varying, the decision or order being appealed, and may make any order that a health and safety officer has the power or duty to make under section 210.093 or subsection 210.094(1) or (2).
Cessation of use
(10) If the provincial labour board makes an order that a health and safety officer has the power or duty to make under subsection 210.094(2) in respect of a place, thing or activity, the person to whom the order is directed shall cause the use or operation of the place or thing or the performance of the activity to be discontinued, and no individual shall use or operate the place or thing or perform the activity until the measures ordered by that board have been taken.
Compliance notice
(11) If required to do so by the Chief Safety Officer, the person or union to whom an order under subsection (9) is directed shall, within the period specified by that Officer, submit to that Officer a notice of compliance describing the extent to which they have complied with the order.
Non-application of Federal Courts Act
(12) For the purposes of the Federal Courts Act, the provincial labour board, when exercising jurisdiction or powers under this section, is not a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Compensation of employees
210.102 Time spent by an employee attending proceedings under section 210.101 as a party, or as a witness as a result of a summons, is considered to be work time for which the employee shall be paid the same wages and granted the same benefits that the employee would have received had they worked for that time.
Non-application of Federal Courts Act
210.103 For the purposes of the Federal Courts Act, neither the Board, the Chief Safety Officer nor a health and safety officer, when exercising or purporting to exercise jurisdiction or powers conferred on them under this Part, is a federal board, commission or other tribunal as defined in subsection 2(1) of that Act.
Enforcement of Monetary Orders
Supreme Court of Nova Scotia
210.104 (1) An order of an occupational health and safety officer made under any of subsections 210.063(1) to (3) that has not been appealed or an order of the provincial labour board under subsection 210.101(9) requiring payment of wages or benefit entitlements to an employee may, for the purpose of its enforcement, be made an order of the Supreme Court of Nova Scotia and shall be enforced in the same manner as any order of that Court.
Procedure for enforcement
(2) To make the order an order of the Supreme Court of Nova Scotia, the rules of practice and procedure established under the Provincial Occupational Health and Safety Act for making any order an order of that Court may be followed.
When order rescinded or replaced
(3) After an order has been made an order of the Supreme Court of Nova Scotia, any subsequent order rescinding or replacing the first order has the effect of cancelling the order of the Court, and that subsequent order may be made an order of that Court in the same manner.
Nova Scotia Director of Labour Standards
210.105 (1) The Chief Safety Officer may request the Director of Labour Standards designated under the Labour Standards Code, R.S.N.S. 1989, c. 246, as amended from time to time, to enforce an order referred to in section 210.104.
Provincial labour board
(2) For the purpose of enforcement under subsection (1), an order shall be made an order of the provincial labour board and may be enforced in the same manner as an order of that board.
Provisions applicable to enforcement
(3) Section 72 of the Provincial Occupational Health and Safety Act applies to the enforcement of an order, with any modifications that the circumstances require, including the substitution of the Chief Safety Officer for the Director in subsections 72(3), (5) and (6) of that Act.
Offences and Penalties
Offences
210.106 (1) Every person is guilty of an offence who
(a) contravenes any provision of this Part or of the regulations made under this Part;
(b) makes any false entry or statement in any report, record or other document required by this Part or the regulations made under this Part or by any order made under this Part;
(c) destroys, damages or falsifies any report, record or other document required by this Part or the regulations made under this Part or by any order made under this Part;
(d) fails to comply with an order of a health and safety officer;
(e) fails to comply with a requirement of the Chief Safety Officer under section 210.016 or 210.021;
(f) fails to comply with a decision of the Chief Safety Officer under section 210.1; or
(g) fails to comply with an order of the provincial labour board under subsection 210.101(9).
Punishment
(2) Every person who is guilty of an offence under subsection (1) is liable
(a) on summary conviction, to a fine not exceeding $100,000 or to imprisonment for a term not exceeding one year, or to both; or
(b) on conviction on indictment, to a fine not exceeding $1,000,000 or to imprisonment for a term not exceeding five years, or to both.
Offence — paragraph (1)(a)
(3) Despite paragraph (1)(a), a person who contravenes paragraph 210.013(l) or (m), 210.019(1)(k), 210.035(b) or 210.036(1)(b) is not guilty of an offence unless compliance with that paragraph is necessary to protect occupational health and safety.
Self-incrimination
(4) No individual shall be excused from recording in accordance with section 210.013 or 210.019 instances of non-compliance and any corrective action taken on the grounds that any information given by them may tend to incriminate them or subject them to any proceeding or penalty, but the information, or any evidence derived from it, may not be used or received to incriminate that individual in any criminal proceeding initiated against them, other than a prosecution under section 132, 136 or 137 of the Criminal Code.
Due diligence defence
(5) No person shall be found guilty of an offence under subsection (1) if they establish that they exercised due diligence to prevent the commission of the offence.
Offence by officers, etc., of corporation
210.107 (1) If a corporation commits an offence under this Part, any of the following individuals who directed, authorized, assented to, acquiesced in or participated in the commission of the offence is a party to and guilty of the offence and is liable on conviction to the punishment provided for the offence, whether or not the corporation has been prosecuted or convicted:
(a) an officer, director or agent of the corporation; and
(b) any other individual exercising managerial or supervisory functions in the corporation.
Offence by employee or agent
(2) In a prosecution for an offence under this Part, it is sufficient proof of the offence to establish that it was committed by an employee or agent of the accused, whether or not the employee or agent is identified or has been prosecuted for the offence.
Imprisonment precluded in certain cases
210.108 If an individual is convicted of an offence under this Part on proceedings by way of summary conviction, no imprisonment may be imposed in default of payment of any fine imposed as punishment.
Orders of court
210.109 (1) If a person is convicted of an offence under this Part, the court may, having regard to the nature of the offence and the circumstances surrounding its commission, in addition to any other punishment that may be imposed under this Part, make an order that has any or all of the following effects:
(a) prohibiting the offender from committing an act or engaging in an activity that may, in the opinion of the court, result in the continuation or repetition of the offence;
(b) directing the offender to take any meas- ures that the court considers appropriate to avoid any harm to health or safety that may result from the act or omission that constituted the offence, or to remedy any harm to health or safety resulting from it;
(c) directing the offender, at the offender’s own expense, to publish, in any manner that the court directs, the facts relating to the offence;
(d) directing the offender to submit to the Chief Safety Officer, on application by that Officer within three years after the conviction, any information with respect to the offender’s activities that the court considers appropriate in the circumstances;
(e) directing the offender to pay to the Board an amount of money that the court considers appropriate for the purpose of conducting research, education and training in occupational health and safety matters;
(f) directing the offender to perform community service, subject to any reasonable conditions that may be imposed by the court;
(g) directing the offender to post a bond or pay an amount of money into court that the court considers appropriate to ensure that the offender complies with any prohibition, direction, requirement or condition that is specified in the order; and
(h) requiring the offender to comply with any conditions that the court considers appropriate in the circumstances for securing the offender’s good conduct and for preventing the offender from repeating the same offence or committing another offence under this Part.
Coming into force and duration of order
(2) An order made under subsection (1) comes into force on the day on which the order is made or on any other day that the court may determine, but shall not continue in force for more than three years after that day.
Publication
(3) If an offender does not comply with an order under paragraph (1)(c) requiring the publication of facts relating to the offence, the Chief Safety Officer may publish the facts and recover the costs of publication from the offender.
Variation of sanctions
210.11 (1) Subject to subsection (2), if a court has made an order under subsection 210.109(1), the court may, on application by the offender or the Chief Safety Officer, require the offender to appear before it and, after hearing the offender and the Chief Safety Officer, vary the order in one or more of the following ways that the court considers appropriate because of a change in the circumstances of the offender since the order was made:
(a) by making changes to any prohibition, direction, requirement or condition that is specified in the order or by extending the time during which the order is to remain in force for any period, not exceeding one year, that the court considers appropriate; or
(b) by decreasing the time during which the order is to remain in force or by relieving the offender, either absolutely or partially or for any period that the court considers appropriate, of compliance with any condition that is specified in the order.
Notice
(2) Before making an order under subsection (1), the court may direct that notice be given to any persons that the court considers to be interested and may hear any of those persons.
Subsequent applications with leave
210.111 If an application made under subsection 210.11(1) in relation to an offender has been heard by a court, no other application may be made under that section in relation to the offender except with leave of the court.
Recovery of fines and amounts
210.112 If a person is convicted of an offence under this Part and a fine that is imposed is not paid when required or if a court orders an offender to pay an amount under subsection 210.109(1) or 210.11(1), the prosecutor may, by filing the conviction or order, as the case may be, enter as a judgment the amount of the fine or the amount ordered to be paid, and costs, if any, in the Supreme Court of Nova Scotia, and the judgment is enforceable against the person in the same manner as if it were a judgment rendered against them in that Court in civil proceedings.
Order to comply
210.113 If a person is guilty of an offence under this Part, a court may, in addition to any other penalty it may impose, order that person to comply with the provisions of this Part or the regulation or order for the contravention of which that person has been convicted.
Continuing offences
210.114 If an offence under this Part is committed on more than one day or is continued for more than one day, it constitutes a separate offence for each day on which it is committed or continued.
Time limited for summary conviction proceedings
210.115 Proceedings by way of summary conviction for an offence under this Part may be instituted at any time within but not later than three years after the day on which the subject-matter of the proceedings arose, unless the prosecutor and the defendant otherwise agree.
Evidence
210.116 In any prosecution for an offence under this Part, a copy of any order or other document purporting to have been made under this Part — and purporting to have been signed, in the case of an order or other document purporting to have been made by the provincial labour board, by the Chair, a vice-chair or a member of that board and, in any other case, by the individual authorized under this Part to make that order or document — is, in the absence of any evidence to the contrary, proof of the matters set out in it.
Jurisdiction of justice or judge
210.117 Any complaint or information relating to an offence under this Part may be heard, tried or determined by a justice of the peace or judge if the accused is resident or carrying on business within the territorial jurisdiction of that justice or judge although the matter of the complaint or information did not arise in that territorial jurisdiction.
Action to enjoin not prejudiced by prosecution
210.118 (1) Even though a prosecution has been instituted for an offence under this Part, the Board may commence and maintain an action to enjoin the committing of any contravention of any provision of this Part or of the regulations made under this Part.
Civil remedy not affected
(2) No civil remedy for any act or omission is suspended or affected by reason that the act or omission is an offence under this Part.
Information
210.119 In any proceedings for an offence under this Part
(a) an information may include more than one offence committed by the same person;
(b) all those offences may be tried concurrently; and
(c) one conviction for any or all offences so included may be made.
Advisory Council
Establishment
210.12 (1) An advisory council is established, composed of
(a) four representatives of employees and four representatives of industry;
(b) two representatives of the government of Canada and two representatives of the government of the Province; and
(c) the Chief Safety Officer ex officio or his or her representative.
Appointment of employee and industry representatives
(2) Two of the employee representatives and two of the industry representatives shall be appointed jointly by the Federal Minister and the Minister of Labour and the other four shall be appointed jointly by the provincial counterparts of those Ministers.
Consultation
(3) Before making any appointment referred to in subsection (2), the Federal Minister and the Minister of Labour, or their provincial counterparts, as the case may be, shall consult with non-management employees, or the unions representing them, on the appointment of an employee representative and with industry associations on the appointment of an industry representative.
Appointment of government representatives
(4) The federal government representatives shall be appointed jointly by the Federal Minister and the Minister of Labour and the provincial government representatives shall be appointed jointly by the provincial counterparts of those Ministers.
Mandate
(5) The mandate of the advisory council is to advise the Board, the Federal Minister, the Minister of Labour and the provincial counterparts of those Ministers on
(a) the administration and enforcement of this Part; and
(b) any other matter related to occupational health and safety that is referred to it by any of them.
Remuneration and expenses
(6) At the discretion of the Federal Minister, the Minister of Labour and their provincial counterparts, the members of the advisory council may be paid
(a) the remuneration that may be jointly fixed by those Ministers and their provincial counterparts; and
(b) any reasonable travel and living expenses that are incurred by the members while carrying out their duties or functions away from their ordinary place of residence.
The Board shall pay that remuneration and those expenses.
Duration and renewal of appointments
(7) Members are to be appointed for a term of not more than five years and may be reappointed.
Chairpersons
(8) The advisory council is to have two chairpersons selected from among its members. One of the chairpersons shall be selected by the employee representatives and the other shall be selected by the industry representatives.
Audits and Inquiries
Appointment of auditor
210.121 (1) The Federal Minister or the Provincial Minister, or both, may appoint any individual as auditor to measure and report on the effectiveness of the Board in carrying out its duties and functions under this Part. A report of the audit shall be made, as soon as practicable, to each of those Ministers and the Board.
Access to information
(2) The auditor is entitled to free access at all convenient times to information that relates to the fulfilment of their responsibilities and is also entitled to require and receive from the Board and from any persons or committees having duties or functions under this Part any information — including reports — and explanations that they consider necessary for that purpose.
Inquiries
(3) The auditor may examine any individual on oath on any matter pertaining to the effectiveness of the Board in carrying out its duties and functions under this Part and, for the purposes of an examination, may exercise all the powers of a commissioner under Part I of the Inquiries Act.
Secondary release of information
(4) Information — including reports — and explanations disclosed to the auditor under subsection (2) shall not be further disclosed by the auditor without the consent in writing of the person to whom it relates.
Consideration of report
(5) The Board shall consider the report of the audit and, within 60 days after the day on which the Board receives the report, it shall send to the auditor its written response to the report, and send a copy of that response to the Federal Minister and the Provincial Minister.
Cost of audit
(6) If the Federal Minister and the Provincial Minister jointly appoint the auditor, they may also jointly agree, with the consent in writing of the Minister of Mines and Energy of the Province, to require the cost of the audit to be borne by the Board. If only one of those Ministers appoints the auditor, that Minister shall pay the cost of the audit.
Inquiries
210.122 (1) The Federal Minister, the Provincial Minister, the Federal Minister jointly with the Provincial Minister or the Board may appoint one or more individuals to inquire into and report on occupational health and safety matters that are related to employment to which this Part applies.
Powers of appointee
(2) An individual who is appointed by the Federal Minister, by the Federal Minister jointly with the Provincial Minister or by the Board has all the powers of a person appointed as a commissioner under Part I of the Inquiries Act, and the powers that may be conferred on a commissioner under section 11 of that Act.
Witnesses
(3) Every witness who attends and gives evidence at an inquiry under this section is entitled to be paid reasonable travel and living expenses incurred by the witness in doing so and the witness fees prescribed in the tariff of fees in use in the Supreme Court of Nova Scotia.
Consideration of report
(4) Once the Board receives a copy of the report, it shall consider the report and shall, within 60 days after the day on which it is received, send to the Federal Minister and the Provincial Minister its written response to the report.
Directions to Board
(5) If one or more individuals are appointed by a Minister or Ministers under subsection (1) in respect of a matter, the Minister or Ministers making the appointment may, if that Minister or those Ministers determine that an inquiry is being conducted under section 170 in respect of the same matter, direct that the Board terminate that inquiry and provide to that individual or those individuals any records or evidence collected in respect of the matter.
Directions binding
(6) The Board shall comply with a direction made under subsection (5).
Costs of inquiry
(7) If the Federal Minister and the Provincial Minister jointly appoint the individual or individuals under subsection (1), they may also jointly agree, with the consent in writing of the Minister of Mines and Energy of the Province, to require the cost of the inquiry to be borne by the Board. If only one of those Ministers appoints an individual or individuals under that subsection, that Minister shall pay the cost of the inquiry.
Documents in Electronic or Other Form
Definitions
210.123 The definitions in this section apply in this section and sections 210.124 and 210.125.
“electronic document”
« document électronique »
“electronic document” means any form of representation of information or of concepts fixed in any medium in or by electronic, optical or other similar means and that can be read or perceived by an individual or by any means.
“information system”
« système d’information »
“information system” means a system used to generate, send, receive, store or otherwise process an electronic document.
Use not mandatory
210.124 No provision of this Part or of the regulations made under this Part requires an electronic document to be created or provided.
Creation of information in writing
210.125 (1) A requirement under this Part that a notice, document or other information be created in writing is satisfied by the creation of an electronic document if
(a) the information in the electronic document is accessible so as to be usable for subsequent reference; and
(b) the regulations pertaining to this subsection, if any, have been complied with.
Provision of information
(2) A requirement under this Part that a notice, document or other information be provided under this Part, whether or not it is required to be provided in writing, is satisfied by the provision of an electronic document if
(a) the addressee has designated an information system for the receipt of the electronic document;
(b) the electronic document is provided to the designated information system, unless otherwise prescribed;
(c) the information in the electronic document is accessible by the addressee and capable of being retained by them, so as to be usable for subsequent reference; and
(d) the regulations pertaining to this subsection, if any, have been complied with.
Requirement for consent
(3) If a consent is required to be given in writing under this Part, the requirement is satisfied by the provision of an electronic document that signifies that consent has been given if
(a) the addressee has designated an information system for the receipt of the electronic document;
(b) the electronic document is provided to the designated information system, unless otherwise prescribed;
(c) the information in the electronic document that signifies that consent has been given is accessible by the addressee and capable of being retained by them, so as to be usable for subsequent reference; and
(d) the regulations pertaining to this subsection, if any, have been complied with.
Exceptions
(4) Despite subsection (2), the reasons referred to in subsection 210.059(5) and the decision referred to in subsection 210.1(3) shall be provided in writing.
Regulations
Regulations
210.126 (1) Subject to section 6 and on the recommendation of the Federal Minister and the Minister of Labour, the Governor in Council may make regulations generally for carrying out the purposes and provisions of this Part, including regulations
(a) establishing requirements in respect of anything described in subsection 210.015(2) or 210.02(2);
(b) respecting the manner in which an operator is required to investigate under subsection 210.017(2) any occupational disease or any accident, incident or other hazardous occurrence;
(c) respecting the establishment, by an operator, of procedures for safe entry to or exit from a marine installation or structure and of standards for occupancy of a marine installation or structure;
(d) respecting the establishment of codes of practice, and specifying who is responsible for ensuring that those codes of practice are complied with;
(e) respecting the safety of work or activities that are carried out in a confined space, at heights, directly over water, under water, or of any work or activity that involves the use of explosives;
(f) respecting ergonomic standards and procedures for a workplace;
(g) respecting the establishment of standards for the design, installation and maintenance of the following things:
(i) guards, guard-rails, barricades, fences and other equipment of a similar nature,
(ii) boilers and pressure vessels,
(iii) escalators, elevators and other devices of a similar nature,
(iv) all equipment for the generation, distribution or use of electricity,
(v) gas-burning or oil-burning equipment or other heat-generating equipment, and
(vi) heating, ventilation and air-conditioning systems;
(h) respecting the establishment of standards for the design and maintenance of equipment, machines, devices, materials and other things that may be used by employees in carrying out their job functions;
(i) respecting the circumstances and manner in which any thing referred to in paragraph (g) or (h) shall or shall not be used, and any qualifications that an individual is required to have in order to use it;
(j) specifying who is responsible for ensuring that the standards referred to in paragraphs (g) and (h) are complied with and that the things referred to in those paragraphs are used in the specified circumstances and manner and by individuals who have the required qualifications;
(k) respecting the establishment of standards relating to levels or limits for ventilation, lighting, temperature, humidity, sound and vibration and exposure to chemical agents, biological agents and radiation and specifying who is responsible for ensuring that those standards are complied with;
(l) respecting the qualifications of persons authorized to carry out prescribed training;
(m) respecting the establishment of fire safety and emergency measures, and specifying who is responsible for ensuring that those measures are complied with;
(n) respecting the provision, by an operator, an employer, or both, of sanitary and personal facilities, potable water, sustenance, and first-aid and health services;
(o) respecting the prevention of, and protection against, violence at the workplace;
(p) respecting the manner and form in which records are to be maintained and information communicated;
(q) respecting the manner in which programs for medical monitoring and examination referred to in paragraph 210.067(1)(f) are to be implemented, including restricting the types of interventions that may be used;
(r) respecting the procedures governing the granting of a permission under section 210.07 or 210.071, including any requirements for consultation or notice;
(s) specifying the equipment, methods, measures or standards or other things required by regulations made under this section in respect of which the granting of a permission under section 210.07 or 210.071 is prohibited;
(t) respecting the operation of an advisory council established under section 210.12;
(u) respecting any matter necessary for the purposes of the application of section 210.125, including
(i) the time and circumstances when, and the place where, an electronic document, as defined in section 210.123, is to be considered to have been provided or received, and
(ii) the circumstances in which a secure electronic signature, as defined in subsection 31(1) of the Personal Information Protection and Electronic Documents Act, is required to be linked to an electronic document, as defined in section 210.123; and
(v) prescribing anything that by this Part is to be prescribed.
Incorporation by reference
(2) Regulations made under subsection (1) may incorporate any material by reference, regardless of its source, either as it exists on a particular date or as amended from time to time.
No registration or publication
(3) For greater certainty, a document that is incorporated by reference into a regulation is not required to be transmitted for registration or published in the Canada Gazette by reason only that it is incorporated by reference.
Regulations general or specific
(4) Regulations made under subsection (1) may be made applicable to all persons or one or more classes of persons.
Recommendation of Minister of Transport
(5) Regulations made under subsection (1) in respect of employees and other passengers on a passenger craft, or the passenger craft, shall, in addition to the requirement set out in that subsection, be made on the recommendation of the Minister of Transport.
Publication of proposed regulations
210.127 (1) Subject to subsection (2), a copy of each regulation that the Governor in Council proposes to make under this Part shall be published in the Canada Gazette and a reasonable opportunity shall be given to interested persons to make representations to the Federal Minister with respect to it.
Single publication required
(2) No proposed regulation need be published more than once under subsection (1) whether or not it is altered or amended as a result of representations made by interested persons as provided in that subsection.
85. Sections 211 to 213 of the Act are replaced by the following:
Definitions
211. The following definitions apply in this Part.
“Consumption Tax Acts”
« lois sur la taxe à la consom- mation »
“Consumption Tax Acts” means sections 2 and 3 and Parts I, IIA and IV of the Revenue Act, S.N.S. 1995-96, c. 17, as amended from time to time, and any other Act of the Legislature of the Province, as amended from time to time, as may be prescribed.
“Insurance Premiums Tax Act”
« Loi sur la taxation des primes d’assurance »
“Insurance Premiums Tax Act” means the Insurance Premiums Tax Act, R.S.N.S. 1989, c. 232, as amended from time to time.
“Nova Scotia Income Tax Act”
« Loi néo-écossaise de l’impôt sur le revenu »
“Nova Scotia Income Tax Act” means the Income Tax Act, R.S.N.S. 1989, c. 217, as amended from time to time.
“Revenue Account”
« Compte de recettes »
“Revenue Account” means the account established under section 219.
Imposition of Consumption Taxes
Imposition of consumption taxes in offshore area
212. (1) There shall be imposed, levied and collected under this Part in respect of the offshore area, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Consumption Tax Acts if the offshore area were in the Province.
Exception
(2) Despite subsection (1), if taxes are imposed in respect of any matter under any of the Consumption Tax Acts and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
Application of Nova Scotia legislation
(3) Subject to this Act and the regulations made under it, the Consumption Tax Acts and the regulations referred to in subsection (3.1) apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in those Acts to Her Majesty in right of the Province is to be read as a reference to Her Majesty in right of Canada;
(b) a reference in those Acts to the Province is to be read as a reference to the offshore area; and
(c) a reference in those Acts to the Minister responsible for the administration of any of those Acts or to the Provincial Tax Commissioner is to be read as a reference to the Minister of Finance.
Nova Scotia regulations
(3.1) The following regulations apply for the purposes of subsection (3):
(a) any regulations made under the Consumption Tax Acts;
(b) any regulations made under an Act that was replaced by a Part of the Revenue Act, S.N.S. 1995-96, c. 17, that is referred to in the definition “Consumption Tax Acts” in section 211 to the extent that those regulations remain in force in accordance with the laws of the Province and are not inconsistent with that Part; and
(c) any regulations made under the Sales Tax Act, S.N.S. 1996, c. 31, as amended from time to time.
Binding on certain entities
(4) This section is binding on
(a) the corporations mentioned in Schedule I to the Federal-Provincial Fiscal Arrangements Act, if Nova Scotia is a participating province as defined in subsection 31(1) of that Act; and
(b) the corporations mentioned in Schedule II to that Act.
Imposition of Insurance Premiums Tax
Insurance premiums tax in offshore area
213. (1) There shall be imposed, levied and collected under this Part in respect of the insurance premiums received by any company with respect to property that is situated in the offshore area at the time the insurance premiums become payable, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Insurance Premiums Tax Act if the property were situated in the Province.
Exception
(2) Despite subsection (1), if taxes are imposed in respect of any matter under the Insurance Premiums Tax Act and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
Application of Nova Scotia legislation
(3) Subject to this Act and the regulations made under it, the Insurance Premiums Tax Act and the regulations referred to in subsection (3.1) apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to the Province is to be read as a reference to the offshore area; and
(b) a reference in that Act to the Minister of Consumer Affairs is to be read as a reference to the Minister of Finance.
Nova Scotia regulations
(3.1) The following regulations apply for the purposes of subsection (3):
(a) any regulations made under the Insurance Premiums Tax Act; and
(b) any regulations made under an Act that was replaced by the Insurance Premiums Tax Act, to the extent that those regulations remain in force in accordance with the laws of the Province and are not inconsistent with the Insurance Premiums Tax Act.
Definition of “company”
(4) In this section, “company” has the meaning assigned by the definition “insurance company” in section 2 of the Insurance Premiums Tax Act.
86. Subparagraph 214(5)(b)(ii) of the Act is replaced by the following:
(ii) the Consumption Tax Acts or the Insurance Premiums Tax Act,
87. Subsection 215(2) of the Act is replaced by the following:
Transfer of powers and duties
(2) If a tax administration agreement is entered into,
(a) the Provincial Tax Commissioner of the Province may
(i) perform the duties and exercise any power or discretion that the Minister of Finance of the Province has under subsection (1) or otherwise under this Part in relation to the Consumption Tax Acts, and
(ii) designate personnel of the Department of Finance of the Province to carry out any functions, perform any duties and exercise any powers that are similar to those that are carried out, exercised or performed by them on behalf of that Minister under the Consumption Tax Acts; and
(b) the Minister of Finance of the Province or any other Minister of the Crown in right of the Province that may be designated by the Provincial Government for the purpose may
(i) perform the duties and exercise any power or discretion that the Minister of Finance of the Province has under subsection (1) or otherwise under this Part in relation to the Insurance Premiums Tax Act, and
(ii) designate personnel of the Department of Finance of the Province, or any other department of the Province for which that Minister is responsible, to carry out any functions, perform any duties and exercise any powers that are similar to those that are carried out, exercised or performed by them on behalf of that Minister under the Insurance Premiums Tax Act.
88. (1) Subsection 216(1) of the Act is replaced by the following:
Imposition of corporate income tax in offshore area
216. (1) There shall be imposed, levied and collected under this Part in respect of the taxable income of a corporation earned in a taxation year in the offshore area, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Nova Scotia Income Tax Act in respect of that taxable income if the offshore area were in the Province.
(2) Subsection 216(2) of the French version of the Act is replaced by the following:
Exception
(2) Aucun impôt n’est institué sous le régime du paragraphe (1) sur le revenu imposable, gagné au cours d’une année d’imposition dans la province, sous celui de la Loi néo-écossaise de l’impôt sur le revenu.
(3) Subsections 216(3) and (4) of the Act are replaced by the following:
Application of Nova Scotia Income Tax Act
(3) Subject to this Act and the regulations made under it, the Nova Scotia Income Tax Act and any regulations referred to in subsection (3.1) apply, with any modifications that the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province is to be read as a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the Province is to be read as a reference to the offshore area; and
(c) a reference in that Act to the “Minister of Finance” is to be read as a reference to
(i) in relation to the remittance of any amount as or on account of tax payable under that Act, the Receiver General for Canada, and
(ii) in relation to any other matter, the Minister of National Revenue for Canada.
Nova Scotia regulations
(3.1) The following regulations apply for the purposes of subsection (3):
(a) any regulations made under the Nova Scotia Income Tax Act; and
(b) any regulations made under an Act that was replaced by the Nova Scotia Income Tax Act, to the extent that those regulations remain in force in accordance with the laws of the Province and are not inconsistent with the Nova Scotia Income Tax Act.
Determination of taxable income earned in offshore area
(4) For the purposes of this section, the taxable income of a corporation earned in a taxation year in the offshore area or in the Province shall be determined in accordance with rules prescribed by regulations for the purposes of the definition “taxable income earned in the year in a province” in subsection 124(4) of the Income Tax Act.
89. Subsection 220(2) of the Act is replaced by the following:
Presumption
(2) For the purposes of subsection (1), the offshore area shall be deemed to be within the territorial limits of Halifax District.
90. Paragraph 221(a) of the Act is replaced by the following:
(a) excluding, for the purposes of this Act, any provision or any part of a provision of the following that is inconsistent with this Act, the Accord or any bilateral or international treaty, convention or agreement respecting taxation, tariffs or trade to which the Government of Canada is a signatory:
(i) the Offshore Petroleum Royalty Act or any regulation made under it,
(ii) the Consumption Tax Acts or any regulation referred to in subsection 212(3.1),
(iii) the Insurance Premiums Tax Act or any regulation referred to in subsection 213(3.1), or
(iv) the Nova Scotia Income Tax Act or any regulation referred to in subsection 216(3.1); and
Replacement of references to “chairman”
91. (1) The English version of the Act is amended by replacing “chairman” with “chairperson” in the following provisions:
(a) subsection 25(4);
(b) subsection 37(1);
(c) subsection 47(3);
(d) subsections 141(4) and (5); and
(e) subsections 145(2) and (3).
Replacement of references to “Chairman”
(2) The English version of the Act is amended by replacing “Chairman” with “Chairperson” in the following provisions:
(a) subsection 10(2);
(b) subsection 11(3);
(c) subsections 12(1), (2) and (3);
(d) subsections 13(1), (2) and (4);
(e) section 14;
(f) subsection 15(1);
(g) subparagraph 22(b)(i); and
(h) paragraph 25(1)(a).
TRANSITIONAL PROVISIONS
Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act — transitional regulations
92. (1) If any of the following documents are transmitted by the Minister of Natural Resources to the Speaker of the Senate and to the Speaker of the House of Commons for tabling in those Houses during the 1st session of the 41st Parliament, then on the day on which this section comes into force that document is deemed to be a regulation made under subsection 210.126(1) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act and, despite section 9 of the Statutory Instruments Act, to have come into force on that day:
(a) a document entitled Nova Scotia Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations; and
(b) a document entitled Nova Scotia Offshore Marine Installations and Structures Transitional Regulations.
Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act — transitional regulations
(2) If a document entitled Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Nova Scotia Offshore Area is transmitted by the Minister of Natural Resources to the Speaker of the Senate and to the Speaker of the House of Commons for tabling in those Houses during the 1st session of the 41st Parliament, then on the day on which this section comes into force
(a) the document is deemed to be a regulation made under paragraph 210.001(3)(a) and subsection 210.126(1) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act and, despite section 9 of the Statutory Instruments Act, to have come into force on that day; and
(b) the Nova Scotia Offshore Area Petroleum Diving Regulations are repealed.
Approval of provincial ministers
(3) The documents are to be transmitted to the Speaker of the Senate and to the Speaker of the House of Commons only if the Minister of Natural Resources is satisfied that, in the case of those referred to in paragraphs (1)(a) and (b), the minister of the government of Nova Scotia who is responsible for occupational health and safety has approved them and, in the case of the document entitled Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Nova Scotia Offshore Area, that provincial minister and the minister of the government of Nova Scotia who is responsible for the management of offshore petroleum resources, have approved it.
Copies to Clerk
(4) The Minister of Natural Resources shall, within seven days after the coming into force of this section, transmit to the Clerk of the Privy Council copies of each document referred to in subsections (1) and (2) that the Minister of Natural Resources transmitted to the Speaker of the Senate and to the Speaker of the House of Commons. Section 5 of the Statutory Instruments Act is deemed to have been complied with in respect of a document referred in subsection (1) or (2) on the day on which that document is transmitted to the Clerk.
Repeal
(5) Unless repealed on an earlier date, the Nova Scotia Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations, the Nova Scotia Offshore Marine Installations and Structures Transitional Regulations and the Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Nova Scotia Offshore Area are repealed on the expiry of five years after the day on which this section comes into force.
Chief Safety Officer powers
93. (1) The Chief Safety Officer may, on application, grant an exemption in respect of a workplace, or grant an exemption to an operator in respect of passengers being transported on a passenger craft to or from any of its workplaces, for a specified time and subject to specified conditions, from any requirement in respect of equipment, methods, measures or standards that is set out in the Nova Scotia Offshore Marine Installations and Structures Occupational Health and Safety Transitional Regulations, the Nova Scotia Offshore Marine Installations and Structures Transitional Regulations or the Transitional Regulations Respecting the Safety of Diving Operations Conducted in the Nova Scotia Offshore Area, if he or she is satisfied that the health and safety of employees at the workplace or passengers on the passenger craft, as the case may be, will be maintained without compliance with the requirement.
No contravention
(2) The regulations are not considered to be contravened if there is compliance with an exemption under subsection (1).
Application
(3) The application shall
(a) be in a form acceptable to the Chief Safety Officer;
(b) include information with respect to the consequences to health and safety that might reasonably be anticipated if the exemption is granted; and
(c) be accompanied by technical information sufficient to enable the Chief Safety Officer to make a decision on the application.
Public notice
(4) On receipt of the application, the Chief Safety Officer shall make it available to the public in a manner that he or she considers advisable, together with a notice that submissions may be made to him or her for a period of 30 days — or any shorter period that he or she fixes with the agreement of the applicable workplace committee — after the day on which the application has been made available.
Notice at workplace, etc.
(5) If the application is made in respect of an existing workplace, the applicant shall give a copy of the application to the operator. An operator shall, immediately after it receives or makes an application relating to an existing workplace or to a passenger craft
(a) post a copy of it in printed form in a prominent place at the applicable workplace; and
(b) provide a copy to any committee established for that workplace and to any union representing employees within the offshore area.
Decision
(6) The Chief Safety Officer shall, as soon as possible after the end of the period referred to in subsection (4), give to the applicant and the operator a copy of the decision made on the application, and make the decision available to the public in a manner that he or she considers advisable.
Reconsideration of decision
(7) The Chief Safety Officer may, on his or her own initiative or on application by the applicant for the exemption under subsection (1), reconsider, confirm, vary, revoke or suspend a decision made on the application at any time if information is made available that, had it been known when the decision was made, would reasonably be expected to have resulted in a different decision from the one made at that time. In that case, subsections (1) to (6) apply with the necessary modifications.
Same meaning
(8) Words and expressions used in this section have the same meaning as in subsection 210.001(1) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act.
R.S., c. L-2
CANADA LABOUR CODE
2000, c. 20, s. 14
94. (1) Subsection 144(1) of the Canada Labour Code is replaced by the following:
Evidence in civil or administrative proceedings precluded
144. (1) No health and safety officer or person who has accompanied or assisted the officer in carrying out the officer’s duties under this Part may be required to give testimony in civil or administrative proceedings, other than proceedings under this Part, with regard to information obtained in the carrying out of those duties or in accompanying or assisting the officer, except with the written permission of the Minister, in which case subsection (5) does not apply to restrict the disclosure of the information.
2000, c. 20, s. 14; 2005, c. 34, s. 62
(2) Subsections 144(5) and (5.1) of the Act are replaced by the following:
Information not to be published
(5) No person shall, except for the purposes of this Part or for the purposes of a prosecution under this Part or unless the Minister is satisfied that the publication or disclosure is in the interest of occupational health and safety or the public interest, publish or disclose any information obtained as a result of activities carried out by or at the request of an appeals officer or a health and safety officer under section 141.
Factors Minister may consider
(5.01) Situations in which the Minister may be so satisfied include, but are not limited to, situations in which the publication or disclosure is for the purposes of a coroner’s inquiry, the administration or enforcement of a federal or provincial law or the administration of a foreign law or international agreement.
Personal information
(5.1) If the information referred to in subsection (5) is information within the meaning of Part 4 of the Department of Human Resources and Skills Development Act, the disclosure of that information is governed by Part 4 of that Act.
R.S., c. 9 (1st Supp.), s. 4
95. Subsection 149(4) of the Act is replaced by the following:
Limitation period
(4) Proceedings in respect of an offence under this Part may be instituted at any time within but not later than two years after the day on which the subject-matter of the proceedings arose.
R.S., c. A-1
ACCESS TO INFORMATION ACT
R.S., c. 3 (3rd Supp.), s. 1(1)
96. Schedule I to the Access to Information Act, under the heading “OTHER GOVERNMENT INSTITUTIONS”, is amended by striking out the reference to
Canada-Newfoundland Offshore Petroleum Board
Office Canada — Terre-Neuve des hydrocarbures extracôtiers
97. Schedule I to the Act, under the heading “OTHER GOVERNMENT INSTITUTIONS, is amended by adding, in alphabetical order, a reference to
Canada–Newfoundland and Labrador Offshore Petroleum Board
Office Canada — Terre-Neuve-et-Labrador des hydrocarbures extracôtiers
R.S., c. 3 (3rd Supp.), s. 1(2)
98. Schedule II to the Act is amended by striking out the reference to
Canada-Newfoundland Atlantic Accord Implementation Act, S.C. 1987, c. 3
Loi de mise en oeuvre de l’Accord atlantique Canada — Terre-Neuve, S.C. 1987, ch. 3
and the corresponding reference to “section 119”.
99. Schedule II to the Act is amended by adding, in alphabetical order, a reference to
Canada–Newfoundland and Labrador Atlantic Accord Implementation Act
Loi de mise en oeuvre de l’Accord atlantique Canada — Terre-Neuve-et-Labrador
and a corresponding reference to “section 119 and subsection 205.086(1)”.
R.S., c. 21 (4th Supp.), s. 2
100. Schedule II to the Act is amended by replacing the reference to “sections 19 and 122” opposite the reference to “Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act, S.C. 1988, c. 28” with a reference to “section 122 and subsection 210.087(1)”.
R.S., c. E-15
EXCISE TAX ACT
1997, c. 10, s. 150(6)
101. Paragraphs (a) and (b) of the definition “offshore activity” in subsection 123(1) of the Excise Tax Act are replaced by the following:
(a) when used in connection with an activity carried on in the Nova Scotia offshore area, an activity in respect of which tax would be imposed under section 212 of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act if this Part were included in the definition “Consumption Tax Acts” in section 211 of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act; and
(b) when used in connection with an activity carried on in the Newfoundland offshore area, an activity in respect of which tax would be imposed under section 207 of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act if this Part were included in the definition “Consumption Tax Acts” in section 206 of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act;
R.S., c. O-7; 1992, c. 35, s. 2
CANADA OIL AND GAS OPERATIONS ACT
1994, c. 10, s. 6; 2012, c. 19, s. 120(E)
102. Subsection 5.4(1) of the Canada Oil and Gas Operations Act is replaced by the following:
Council established
5.4 (1) There is established a council, to be known as the Oil and Gas Administration Advisory Council, consisting of the following six members, namely, the Chairperson of the Canada-Nova Scotia Offshore Petroleum Board, the Chairperson of the Canada–Newfoundland and Labrador Offshore Petroleum Board, the Chairperson of the National Energy Board, a person designated jointly by the federal Ministers, a person designated by one of the Provincial Ministers and a person designated by the other Provincial Minister.
R.S. c. P-21
PRIVACY ACT
R.S., c. 3 (3rd Supp.), s. 2
103. The schedule to the Privacy Act, under the heading “OTHER GOVERNMENT INSTITUTIONS, is amended by striking out the reference to
Canada-Newfoundland Offshore Petroleum Board
Office Canada — Terre-Neuve des hydrocarbures extracôtiers
104. The schedule to the Act, under the heading “OTHER GOVERNMENT INSTITUTIONS, is amended by adding, in alphabetical order, a reference to
Canada–Newfoundland and Labrador Offshore Petroleum Board
Office Canada — Terre-Neuve-et-Labrador des hydrocarbures extracôtiers
R.S., c. 24 (3rd Supp.), Part III
HAZARDOUS MATERIALS INFORMATION REVIEW ACT
105. Section 10 of the Hazardous Materials Information Review Act is amended by adding the following after subsection (3):
Definition of “provisions of the Accord Act”
(4) In this Act, “provisions of the Accord Act” means
(a) the provisions of Part III.1 of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act or the regulations made under that Part, other than the provisions of section 205.023 of that Act or of any regulation made under section 205.124 of that Act for the purposes of section 205.023 of that Act; or
(b) the provisions of Part III.1 of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act or the regulations made under that Part, other than the provisions of section 210.023 of that Act or of any regulation made under section 210.126 of that Act for the purposes of section 210.023 of that Act.
106. The portion of subsection 11(2) of the Act before paragraph (a) is replaced by the following:
Claim for exemption by employer
(2) Any employer who is required, either directly or indirectly, under the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, to disclose
107. Paragraph 13(1)(b) of the Act is replaced by the following:
(b) decide whether the material safety data sheet or label to which the claim relates, except to the extent that it does not disclose the information in respect of which the claim is made, complies with the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be.
108. (1) Subsection 16(1) of the Act is replaced by the following:
Order of screening officer
16. (1) If, under paragraph 13(1)(a), a screening officer determines that a claim or portion of a claim for exemption is not valid, the screening officer shall order the claimant to comply, in the manner and within the period specified in the order, with the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act in respect of which the claim or portion of the claim for exemption was determined not to be valid.
(2) Subsection 16(4) of the Act is replaced by the following:
Deemed compliance
(4) Every claimant who complies with an order under subsection (1) in the manner and within the period specified in the order shall, for the purposes of the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, be deemed to have complied with those provisions.
2007, c. 7, s. 3
109. (1) Subsection 16.1(1) of the Act is replaced by the following:
Undertaking
16.1 (1) If a screening officer determines under paragraph 13(1)(b) that a material safety data sheet or label to which a claim for exemption relates does not comply with the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, the screening officer may send an undertaking to the claimant setting out the measures that are required to be taken for the purpose of ensuring compliance with those provisions, except to the extent that they would require the claimant to disclose the information in respect of which the claim is made, in the manner and within the period specified in the undertaking.
2007, c. 7, s. 3
(2) Subsection 16.1(4) of the Act is replaced by the following:
Deemed compliance
(4) A claimant to whom the notice is sent is, for the purposes of the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, deemed to have complied with those provisions.
2007, c. 7, s. 4
110. (1) Subsection 17(1) of the Act is replaced by the following:
Order re material safety data sheet
17. (1) If the screening officer does not receive the signed undertaking, or is not satisfied that the claimant has taken the measures set out in the undertaking in the manner and within the period specified in it, the screening officer shall order the claimant to comply with the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, except to the extent that they would require the claimant to disclose the information in respect of which the claim is made, in the manner and within the period specified in the order.
(2) Subsection 17(4) of the Act is replaced by the following:
Deemed compliance
(4) Every claimant who complies with an order under subsection (1) in the manner and within the period specified in the order shall, for the purposes of the provisions of the Hazardous Products Act, the provisions of the Canada Labour Code or the provisions of the Accord Act, as the case may be, be deemed to have complied with those provisions.
111. Section 43 of the Act is amended by adding the following after subsection (2):
Idem
(2.1) An appeal board shall, in relation to an appeal relating to the provisions of the Accord Act, consist of three members to be appointed as follows:
(a) one member, who shall be the chairperson of the appeal board, appointed by the Chief Appeals Officer on the recommendation of the lieutenant governor in council of the province in which the appeal board is to be convened;
(b) one member appointed by the chairperson of the appeal board from among the persons whose names appear on the list referred to in subparagraph (3)(a)(i) or (b)(i) maintained in respect of the province in which the appeal board is to be convened; and
(c) one member appointed by the chairperson of the appeal board from among the persons whose names appear on the list referred to in subparagraph (3)(a)(ii) or (b)(ii) maintained in respect of that province.
112. Subsection 46(2) of the Act is amended by adding the following after paragraph (c):
(c.1) any health and safety officer as defined in subsection 205.001(1) of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act, for the purposes of the administration and enforcement of Part III.1 of that Act or any health and safety officer as defined in subsection 210.001(1) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act, for the purposes of the administration and enforcement of Part III.1 of that Act;
1990, c. 41
HIBERNIA DEVELOPMENT PROJECT ACT
113. The definition “Board” in subsection 2(1) of the Hibernia Development Project Act is replaced by the following:
“Board”
« Office »
“Board” means the Canada–Newfoundland and Labrador Offshore Petroleum Board established by the joint operation of section 9 of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act and section 9 of The Canada-Newfoundland Atlantic Accord Implementation (Newfoundland) Act, chapter 37 of the Statutes of Newfoundland, 1986;
SOR/96-280
FEDERAL AUTHORITIES REGULATIONS
114. Item 1 of the schedule to the Federal Authorities Regulations is replaced by the following:
1. Canada–Newfoundland and Labrador Offshore Petroleum Board established by the joint operation of the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act and The Canada-Newfoundland Atlantic Accord Implementation (Newfoundland) Act, chapter 37 of the Statutes of Newfoundland, 1986.
TERMINOLOGY
Replacement of references
115. Unless the context requires otherwise, “Canada-Newfoundland Atlantic Accord Implementation Act” and “Canada–Newfoundland Atlantic Accord Implementation Act” are replaced with “Canada–Newfoundland and Labrador Atlantic Accord Implementation Act” in any Act of Parliament other than this Act, and more particularly in the following:
(a) paragraph (a) of the definition “Accord Acts” in section 2 of the Canada Oil and Gas Operations Act;
(b) section 64 of the Canada Revenue Agency Act;
(c) the definition “Newfoundland offshore area” in subsection 123(1) of the Excise Tax Act;
(d) item 2 of Schedule 1 to the Canadian Environmental Assessment Act, 2012;
(e) in the Federal-Provincial Fiscal Arrangements Act,
(i) the description of D in the definition “total per capita fiscal capacity” in subsection 3.5(1),
(ii) subparagraph 3.71(1)(b)(iii),
(iii) subsection 3.71(2),
(iv) subsection 3.9(7), and
(v) section 3.97;
(f) in the Hibernia Development Project Act,
(i) paragraph 3(2)(e), and
(ii) subsection 6(1);
(g) in the Income Tax Act,
(i) subparagraph 241(4)(d)(vi), and
(ii) the definition “Newfoundland offshore area” in subsection 248(1); and
(h) in the Nova Scotia and Newfoundland and Labrador Additional Fiscal Equalization Offset Payments Act,
(i) subsections 11(1) and (2),
(ii) the definition “fiscal equalization offset payment”, paragraph (a) of the definition “offshore revenue” and the definition “petroleum” in section 18, and
(iii) section 25.
Replacement of references
116. Unless the context requires otherwise, “Canada-Newfoundland Atlantic Accord Implementation Act” and “Canada–Newfoundland Atlantic Accord Implementation Act” are replaced with “Canada–Newfoundland and Labrador Atlantic Accord Implementation Act” in any regulations, as defined in subsection 2(1) of the Statutory Instruments Act, made under the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act, and more particularly in the following provisions:
(a) section 2 of the Canada-Newfoundland Oil and Gas Spills and Debris Liability Regulations;
(b) section 1 of the Newfoundland and Labrador Offshore Area Line Regulations;
(c) the definition “Act” in section 1 of the Newfoundland and Labrador Offshore Revenue Fiscal Equalization Offset Payments Regulations;
(d) the definition “Act” in section 2 of the Newfoundland Offshore Area Oil and Gas Operations Regulations;
(e) the definition “Act” in section 2 of the Newfoundland Offshore Area Petroleum Geophysical Operations Regulations;
(f) section 2 of the Newfoundland Offshore Area Registration Regulations;
(g) the definition “Act” in section 2 of the Newfoundland Offshore Certificate of Fitness Regulations;
(h) the definition “Act” in subsection 1(1) of the Newfoundland Offshore Petroleum Drilling and Production Regulations;
(i) the definition “Act” in subsection 2(1) of the Newfoundland Offshore Petroleum Installations Regulations; and
(j) the definition “Act” in section 2 of the Newfoundland Offshore Petroleum Resource Revenue Fund Regulations.
Replacement of references
117. Unless the context requires otherwise, “Canada-Newfoundland Atlantic Accord Implementation Act” and “Canada – Newfoundland Atlantic Accord Implementation Act” are replaced with “Canada–Newfoundland and Labrador Atlantic Accord Implementation Act” in any regulations, as defined in subsection 2(1) of the Statutory Instruments Act, made under any Act of Parliament other than the Canada–Newfoundland and Labrador Atlantic Accord Implementation Act, and more particularly in the following:
(a) paragraph (b) of the definition “offshore” in section 2 of the Comprehensive Study List Regulations;
(b) in the Federal-Provincial Fiscal Arrangements Regulations, 2007
(i) subparagraph 4(1)(e)(vii),
(ii) subparagraph 7(1)(z.5)(i),
(iii) subparagraph 8(1)(z.5)(i), and
(iv) the description of F in subsection 16.8(1);
(c) in the Inclusion List Regulations
(i) paragraph (a) of the definition “drilling program” in section 2, and
(ii) sections 19.1 and 19.2 of the sched- ule;
(d) item 1.1 of Part I of Schedule I to the Law List Regulations;
(e) subsections 200(2) and (3) of the Marine Personnel Regulations; and
(f) paragraph (b) of the definition “offshore” in section 1 of the Regulations Designating Physical Activities.
Replacement of reference to Canada-Newfoundland Offshore Petroleum Board
118. Item 15.01 of the schedule to the Access to Information Act Heads of Government Institutions Designation Order is replaced by the following:
Item
Government Institution
Position
Column I
Column II
15.01
Canada–New-foundland and Labrador Offshore Petroleum Board
Chairperson
Office Canada – Terre-Neuve-et-Labrador des hydrocarbures extracôtiers
Président



Replacement of reference to Canada-Newfoundland Offshore Petroleum Board
119. Item 15.1 of the schedule to the Privacy Act Heads of Government Institutions Designation Order is replaced by the following:
Column I
Column II
Item
Government Institution
Position
15.1
Canada–New-foundland and Labrador Offshore Petroleum Board
Chairperson
Office Canada – Terre-Neuve-et-Labrador des hydrocarbures extracôtiers
Président
COORDINATING AMENDMENTS
Bill C-48
120. (1) Subsections (2) to (4) apply if Bill C-48, introduced in the 1st session of the 41st Parliament and entitled the Technical Tax Amendments Act, 2012 (in this section referred to as the “other Act”), receives royal assent.
(2) On the first day on which both subsection 369(1) of the other Act and subsection 88(1) of this Act are in force, subsection 216(1) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act is replaced by the following:
Imposition of corporate income tax and capital tax in offshore area
216. (1) There shall be imposed, levied and collected under this Part in respect of the taxable income earned by, and the taxable capital of, a corporation in a taxation year in the offshore area, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Nova Scotia Income Tax Act in respect of that taxable income and that taxable capital if the offshore area were in the Province.
(3) On the first day on which both subsection 369(1) of the other Act and subsection 88(2) of this Act are in force, subsection 216(2) of the French version of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act is replaced by the following:
Exception
(2) Aucun impôt n’est institué sous le régime du paragraphe (1) sur le capital imposable, ou sur le revenu imposable gagné, au cours d’une année d’imposition dans la province, sous celui de la Loi néo-écossaise de l’impôt sur le revenu.
(4) On the first day on which both subsection 369(2) of the other Act and subsection 88(3) of this Act are in force, subsection 216(4) of the Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act is replaced by the following:
Interpretation
(4) For the purposes of this section, the taxable income of a corporation earned in a taxation year in the offshore area or in the Province shall be determined in accordance with rules prescribed by regulations for the purposes of the definition “taxable income earned in the year in a province” in subsection 124(4) of the Income Tax Act, and “taxable capital” means taxable capital employed in Canada determined in accordance with Part I.3 of that Act.
Bill C-60
121. (1) Subsections (2) and (3) apply if Bill C-60, introduced in the 1st session of the 41st Parliament and entitled the Economic Action Plan 2013 Act, No. 1 (in this section referred to as the “other Act”), receives royal assent.
(2) If section 115 of the other Act comes into force before section 115 of this Act, then paragraph 115(e) of this Act is repealed.
(3) If section 115 of the other Act comes into force on the same day as section 115 of this Act, then section 115 of the other Act is deemed to have come into force before section 115 of this Act and subsection (2) applies as a consequence.
COMING INTO FORCE
Order in council
122. Sections 2 to 93 and sections 96 to 119 come into force on a day or days to be fixed by order of the Governor in Council.
Published under authority of the Speaker of the House of Commons






Explanatory Notes
Canada-Newfoundland Atlantic Accord Implementation Act
Clause 2: Existing text of the long title:
An Act to implement an agreement between the Government of Canada and the Government of Newfoundland and Labrador on offshore petroleum resource management and revenue sharing and to make related and consequential amendments
Clause 3: Existing text of section 1:
1. This Act may be cited as the Canada-Newfoundland Atlantic Accord Implementation Act.
Clause 4: (1) Existing text of the definition:
“Canada-Newfoundland benefits plan” means a plan submitted pursuant to subsection 45(2);
(2) Existing text of the definitions:
“Board” means the Canada-Newfoundland Offshore Petroleum Board established by the joint operation of section 9 of this Act and section 9 of the Provincial Act;
“Province” means the province of Newfoundland;
“Provincial Act” means The Canada-Newfoundland Atlantic Accord Implementation (Newfoundland) Act, chapter 37 of the Statutes of Newfoundland, 1986;
“Provincial Minister” means the Minister of the Crown in right of the Province designated, pursuant to the Provincial Act, by the Provincial Government as the provincial minister for the purposes of the Provincial Act or any provision thereof.
(3) New.
Clause 5: Existing text of section 7:
7. Before a regulation is made pursuant to subsection 5(1) or 41(7), section 64, subsection 67(2), section 118, subsection 122(1), 125(1), 149(1), 152(5) or 160(4) or section 203, the Federal Minister shall consult the Provincial Minister with respect to the proposed regulation and no regulation shall be so made without the approval of the Provincial Minister.
Clause 6: New.
Section 7: (1) Relevant portion of subsection 12(4):
(4) The chairman of the panel shall be appointed
(b) where the two members of the panel fail to agree on the appointment of the chairman of the panel within the thirty day period referred to in paragraph (a), by the Chief Justice of Newfoundland within thirty days after the expiration of that period.
(2) Existing text of subsection 12(5):
(5) The Chairman of the Board shall be selected by the panel within sixty days after the appointment of the chairman of the panel.
Clause 8: New.
Clause 9: New.
Clause 10: Existing text of subsection 29(2):
(2) Each annual report submitted pursuant to subsection (1) shall contain an audited financial statement and a description of the activities of the Board during the fiscal year covered by the report.
Clause 11: Relevant portion of subsection 41(1):
41. (1) For the purposes of this section “shortfall of petroleum deliveries in the Province” means deliveries of petroleum that are inadequate to supply, on commercial terms,
...
(c) the feedstock requirements of any refining facility located in the Province that was not in place on the coming into force of this Act, other than a facility referred to in paragraph (b), where the feedstock requirements required to satisfy the demand of industrial capacity, on the day of the coming into force of this Act, in the Provinces of Nova Scotia, New Brunswick, Prince Edward Island and Newfoundland have been met.
Clause 12: (1) Relevant portion of subsection 42(1):
42. (1) The Federal Minister and the Provincial Minister may jointly issue to the Board written directives in relation to
...
(d) Canada-Newfoundland benefits plans and any of the provisions thereof; and
(2) New.
(3) Existing text of subsections 42(2) and (3):
(2) The Board shall comply with a directive issued under subsection (1).
(3) Directives issued under subsection (1) shall be deemed not to be statutory instruments for the purposes of the Statutory Instruments Act.
(4) Existing text of subsection 42(4):
(4) Where a directive is issued under subsection (1), a notice shall be published in the Canada Gazette that the directive has been issued and that the text thereof is available for inspection by any person on request made to the Board.
Clause 13: Relevant portion of subsection 44(2):
(2) Where a public review is conducted in relation to any potential development of a pool or field, the Board may
...
(c) where the potential development has been proposed to the Board by any person, require that person to submit and make available for public distribution a preliminary development plan, an environmental impact statement, a socio-economic impact statement, a preliminary Canada-Newfoundland benefits plan and any other plan specified by the Board; and
Clause 14: Existing text of the heading:
Canada-Newfoundland Benefits Plan
Clause 15: (1) and (2) Existing text of subsections 45(1) and (2):
45. (1) In this section, “Canada-Newfoundland benefits plan” means a plan for the employment of Canadians and, in particular, members of the labour force of the Province and, subject to paragraph (3)(d), for providing manufacturers, consultants, contractors and service companies in the Province and other parts of Canada with a full and fair opportunity to participate on a competitive basis in the supply of goods and services used in any proposed work or activity referred to in the benefits plan.
(2) Before the Board may approve any development plan pursuant to subsection 139(4) or authorize any work or activity under paragraph 138(1)(b), a Canada-Newfoundland benefits plan shall be submitted to and approved by the Board, unless the Board directs that that requirement need not be complied with.
(3) Relevant portion of subsection 45(3):
(3) A Canada-Newfoundland benefits plan shall contain provisions intended to ensure that
(4) Existing text of subsections 45(4) to (6):
(4) The Board may require that any Canada-Newfoundland benefits plan include provisions to ensure that disadvantaged individuals or groups have access to training and employment opportunities and to enable such individuals or groups or corporations owned or cooperatives operated by them to participate in the supply of goods and services used in any proposed work or activity referred to in the benefits plan.
(5) In reviewing any Canada-Newfoundland benefits plan, the Board shall consult with both Ministers on the extent to which the plan meets the requirements set out in subsections (1), (3) and (4).
(6) Subject to any directives issued under subsection 42(1), the Board may approve any Canada-Newfoundland benefits plan.
Clause 16: Relevant portion of subsection 46(1):
46. (1) The Board shall, to ensure effective coordination and avoid duplication of work and activities, conclude with the appropriate departments and agencies of the Government of Canada and of the Government of the Province memoranda of understanding in relation to
Clause 17: (1) to (4) Existing text of section 97:
97. (1) In this Division, the “Petroleum and Natural Gas Act” means Part II of The Petroleum and Natural Gas Act, Chapter 294 of the Revised Statutes of Newfoundland, 1970, as amended from time to time.
(2) There is hereby reserved to Her Majesty in right of Canada and each holder of a share in a production licence is liable for and shall pay to Her Majesty in right of Canada, in accordance with subsection (4), the royalties, interest and penalties that would be payable in respect of petroleum under the Petroleum and Natural Gas Act if the petroleum were produced from areas within the Province.
(3) Notwithstanding subsection (2), where petroleum is subject to a royalty under the Petroleum and Natural Gas Act, that petroleum is not subject to a royalty under subsection (2).
(4) Subject to this Act and the regulations, the Petroleum and Natural Gas Act and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this section and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada; and
(b) a reference in that Act to the Province of Newfoundland or the province shall be deemed to be a reference to the offshore area.
(5) No provision of the Petroleum and Natural Gas Act or any regulation made thereunder shall apply so as to reserve to Her Majesty a Crown share in any interest issued in respect of any portion of the offshore area.
Clause 18: Existing text of subsection 98(6):
(6) An administration agreement may provide that, where any payment is received by the Government of the Province on account of any royalties, interest, penalties or other sum payable by a person under
(a) section 97, or
(b) both
(i) section 97, and
(ii) the Petroleum and Natural Gas Act,
the payment so received may be applied by the Government of the Province towards the royalties, interest, penalties or other sums payable by the person under any such provision or Act in such manner as is specified in the agreement, notwithstanding that the person directed that the payment be applied in any other manner or made no direction as to its application.
Clause 19: Existing text of the definition:
“court” means the Trial Division of the Supreme Court of Newfoundland and includes a judge thereof;
Clause 20: Existing text of subsection 123(1):
123. (1) Where the Board has reason to believe that an interest owner or holder is failing or has failed to meet any requirement of or under this Part or Part III or any regulation made under either Part, the Board may give notice to that interest owner or holder requiring compliance with the requirement within ninety days after the date of the notice or within such longer period as the Board considers appropriate.
Clause 21: Existing text of subsection 124(10):
(10) Any order, decision or action in respect of which a hearing is held under this section is subject to review and to be set aside by the Trial Division of the Supreme Court of Newfoundland.
Clause 22: (1) New.
(2) New.
(3) and (4) Relevant portion of subsection 138(5):
(5) The Board may suspend or revoke an operating licence or an authorization for failure to comply with, contravention of or default in respect of
(a) a requirement, approval, fee or deposit subject to which the licence or authorization was issued;
(b) a requirement undertaken in a declaration referred to in subsection 139.1(1) or (2);
Clause 23: Existing text of subsection 139.1(2):
(2) The Board may accept, in respect of equipment that is to be used in a work or activity to be authorized, a declaration from the owner of the equipment in lieu of a declaration from the applicant for the authorization, and such a declaration shall be in a form fixed by the Board and shall state that
(a) the equipment is fit for the purpose for which it is to be used, the operating procedures relating to it are appropriate for that use, and the personnel who are to be employed by the owner in connection with it are qualified and competent for their employment; and
(b) the owner shall ensure, so long as the equipment is used in the work or activity that is authorized, that the equipment continues to be fit for the purpose for which it is used, the operating procedures continue to be appropriate for that use, and the personnel continue to be so qualified and competent.
Clause 24: Existing text of section 140:
140. The Board may, for the purposes of this Act, designate the Chief Executive Officer or any other person as the Chief Safety Officer and the same or another person as the Chief Conservation Officer.
Clause 25: Existing text of section 140.1:
140.1 For the purposes of this Act, an order made by a safety officer, the Chief Safety Officer, a conservation officer, the Chief Conservation Officer or the Committee is not a statutory instrument as defined in the Statutory Instruments Act.
Clause 26: Existing text of section 148:
148. (1) Any order made by the Committee may, for the purpose of enforcement thereof, be made an order of the Supreme Court of Newfoundland and shall be enforced in like manner as any order of that Court.
(2) To make an order of the Committee an order of the Supreme Court of Newfoundland, the practice and procedure established by the Provincial Act for making any order an order of that Court may be followed.
(3) When an order of the Committee has been made an order of the Supreme Court of Newfoundland, any order of the Committee, or of the Board under section 186, rescinding or replacing the first mentioned order of the Committee, shall be deemed to cancel the order of the Court and may in like manner be made an order of the Court.
Clause 27: Relevant portion of subsection 151(1):
151. (1) Subject to subsection (2), the Chief Safety Officer and Chief Conservation Officer may
(a) authorize the use of equipment, methods, measures or standards in lieu of any required by regulation, where those Officers are satisfied that the use of that other equipment and those other methods, measures or standards would provide a level of safety, protection of the environment and conservation equivalent to that provided by compliance with the regulations; or
(b) grant an exemption from any regulatory requirement in respect of equipment, methods, measures or standards, where those Officers are satisfied with the level of safety, protection of the environment and conservation that will be achieved without compliance with that requirement.
Clause 28: Existing text of section 152:
152. (1) In this section,
“marine installation or structure” includes
(a) any ship, offshore drilling unit, production platform, subsea installation, pumping station, living accommodation, storage structure, loading or landing platform, and
(b) any other work or work within a class of works prescribed pursuant to paragraph (5)(a),
but does not include any vessel that provides any supply or support services to a ship, installation, structure or work described in paragraph (a) or (b);
“Newfoundland social legislation” means The Boiler, Pressure Vessel and Compressed Gas Act, Chapter 12 of the Statutes of Newfoundland, 1981, as amended from time to time, The Elevators Act, Chapter 107 of the Revised Statutes of Newfoundland, 1970, as amended from time to time, The Labour Standards Act, Chapter 52 of the Statutes of Newfoundland, 1977, as amended from time to time, The Occupational Health and Safety Act, Chapter 23 of the Statutes of Newfoundland, 1978, as amended from time to time, The Radiation Health and Safety Act, Chapter 90 of the Statutes of Newfoundland, 1977, as amended from time to time, The Workers’ Compensation Act, 1983, Chapter 48 of the Statutes of Newfoundland, 1983, as amended from time to time and any other Act of the Legislature of the Province, as amended from time to time, as may be prescribed.
(2) The Newfoundland social legislation and any regulations made thereunder apply on any marine installation or structure that is within the offshore area in connection with the exploration or drilling for or the production, conservation or processing of petroleum within the offshore area.
(3) Notwithstanding subsection (2), any provision of any Act or regulation referred to in that subsection that is made in relation to a matter in respect of which a regulation may be made under paragraph 149(1)(d), (m), (o) or (p) of this Act as it read before the coming into force of section 66 of An Act to amend the Oil and Gas Production and Conservation Act and other Acts in consequence thereof, or under any provision of this Act respecting occupational health or safety does not apply on marine installations or structures referred to in subsection (2) during such time as those installations or structures are within the offshore area in connection with a purpose referred to in that subsection.
(4) Notwithstanding subsection 123(1) of the Canada Labour Code or any other Act of Parliament
(a) Parts II and III of the Canada Labour Code do not apply on any marine installation or structure referred to in subsection (2), and
(b) in respect of any marine installation or structure referred to in subsection (2) that is within the offshore area for the purpose of becoming, or that is, permanently attached to, permanently anchored to or permanently resting on the seabed or subsoil of the submarine areas of the offshore area,
(i) Part I of the Canada Labour Code does not apply, and
(ii) The Labour Relations Act, 1977, Chapter 64 of the Statutes of Newfoundland, 1977, as amended from time to time, applies
during such time as the marine installation or structure is within the offshore area in connection with a purpose referred to in that subsection.
(5) Subject to section 7, the Governor in Council may make regulations
(a) prescribing a work or a class of works for the purpose of the definition “marine installation or structure” in subsection (1); and
(b) prescribing, for the purpose of subsection (2), any Act of the legislature of the Province or excluding any such Act from the application of that subsection.
Clause 29: Existing text of subsection 161(3):
(3) Every person required to report a spill under subsection (2) shall, as soon as possible, take all reasonable measures consistent with safety and the protection of the environment to prevent any further spill, to repair or remedy any condition resulting from the spill and to reduce or mitigate any danger to life, health, property or the environment that results or may reasonably be expected to result from the spill.
Clause 30: (1) and (2) Existing text of section 185:
185. (1) The Committee may of its own motion or at the request of the Board state a case, in writing, for the opinion of the Trial Division of the Supreme Court of Newfoundland on any question that in the opinion of the Committee is a question of law or of the jurisdiction of the Committee.
(2) The Trial Division of the Supreme Court of Newfoundland shall hear and determine the case stated, and remit the matter to the Committee with the opinion of the Court thereon.
Clause 31: (1) Existing text of subsection 187(1):
187. (1) An appeal lies from a decision or order of the Committee to the Trial Division of the Supreme Court of Newfoundland on a question of law, on leave therefor being obtained from that Court, in accordance with the practice of that Court, on application made within one month after the making of the decision or order sought to be appealed from or within such further time as that Court may allow.
(2) Existing text of subsection 187(3):
(3) After the hearing of the appeal, the Trial Division of the Supreme Court of Newfoundland shall certify its opinion to the Committee and the Committee shall make any order necessary to comply with that opinion.
Clause 32: Existing text of the heading:
Safety and Conservation Officers
Clause 33: Existing text of sections 188 and 189:
188. The safety officers and conservation officers necessary for the administration and enforcement of this Part and the regulations shall be appointed by the Board.
189. A safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may at any reasonable time
(a) enter any place, including lands, buildings, installations, vessels, vehicles and aircraft, used for any work or activity in respect of which this Part applies, for the purpose of carrying out inspections, examinations, tests or inquiries or of directing that the person in charge of the place carry them out, and the officer may be accompanied by any other person that the officer believes is necessary to help carry out the inspection, examination, test or inquiry;
(b) take photographs or make drawings of any place or thing referred to in this section;
(c) order that any place or thing referred to in this section not be interfered with for a specified period;
(d) require the production, for inspection or copying, of any books, records, documents, licences or permits required by this Part or the regulations;
(e) take samples or particulars and carry out, or have carried out, any reasonable tests or examinations; and
(f) require the person in charge of the place, or any other person in the place who has knowledge relevant to an inspection, examination, test or inquiry, to furnish information, either orally or in writing, in the form requested.
Clause 34: Existing text of section 190:
190. The Board shall provide every safety officer and conservation officer and the Chief Safety Officer and the Chief Conservation Officer with a certificate of appointment or designation and, on entering any place pursuant to the authority of this Part, the officer shall, if so required, produce the certificate to the person in charge of the place.
Clause 35: Existing text of sections 191 and 192:
191. The owner, the person in charge of any place referred to in section 189 and every person found therein shall give a safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, as the case may be, all reasonable assistance to enable the officer to carry out duties and functions under this Part or the regulations.
192. No person shall obstruct or hinder or make a false or misleading statement, either orally or in writing, to a safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer who is engaged in carrying out duties and functions under this Part or the regulations.
Clause 36: Existing text of subsections 193(1) to (4):
193. (1) Where a safety officer or the Chief Safety Officer, on reasonable grounds, is of the opinion that continuation of an operation in relation to the exploration or drilling for or the production, conservation, processing or transportation of petroleum in any portion of the offshore area is likely to result in serious bodily injury, the safety officer or Chief Safety Officer, as the case may be, may order that the operation cease or be continued only in accordance with the terms of the order.
(2) The safety officer or Chief Safety Officer who makes an order under subsection (1) shall affix at or near the scene of the operation a notice of the order in prescribed form.
(3) An order made by a safety officer under subsection (1) expires seventy-two hours after it is made unless it is confirmed before that time by order of the Chief Safety Officer.
(4) A safety officer who makes an order under subsection (1) shall immediately so advise the Chief Safety Officer, and the Chief Safety Officer may modify or revoke the order.
Clause 37: Existing text of section 193.1:
193.1 An order made by a safety officer or the Chief Safety Officer prevails over an order made by a conservation officer or the Chief Conservation Officer to the extent of any inconsistency between the orders.
Clause 38: Existing text of subsection 193.2(3):
(3) In a prescribed emergency situation, an installation manager’s powers are extended so that they also apply to each operator of a vessel, vehicle or aircraft that is at the installation or that is leaving or approaching it.
Clause 39: (1) and (2) Relevant portion of subsection 194(1):
194. (1) Every person is guilty of an offence who
...
(b) knowingly makes any false entry or statement in any report, record or document required by this Part or the regulations or by any order made pursuant to this Part or the regulations;
(c) knowingly destroys, mutilates or falsifies any report or other document required by this Part or the regulations or by any order made pursuant to this Part or the regulations;
...
(e) undertakes or carries on a work or activity without an authorization under paragraph 138(1)(b) or without complying with the approvals or requirements of such an authorization; or
(f) fails to comply with a direction, requirement or order of a safety officer, the Chief Safety Officer, a conservation officer, the Chief Conservation Officer or an installation manager or with an order of the Committee.
(3) New.
Clause 40: New.
Clause 41: Existing text of section 199:
199. A prosecution for an offence under this Part may be instituted at any time within two years after the time when the subject-matter of the complaint arose.
Clause 42: Existing text of section 200:
200. In any prosecution for an offence under this Part, a copy of any order or other document purporting to have been made pursuant to this Part or the regulations and purporting to have been signed by the person authorized by this Part or the regulations to make that order or document is, in the absence of any evidence to the contrary, proof of the matters set out therein.
Clause 43: New.
Clause 44: Existing text of section 204:
204. This Part applies to every interest or right in petroleum acquired or vested before the coming into force of this section and is binding on Her Majesty in right of Canada or a province.
Clause 45: New.
Clause 46: Existing text of sections 206 to 208:
206. In this Part,
“Newfoundland Consumption Tax Acts” means The Retail Sales Tax Act, 1978, Chapter 36 of the Statutes of Newfoundland, 1978, as amended from time to time, The Gasoline Tax Act, 1978, Chapter 39 of the Statutes of Newfoundland, 1978, as amended from time to time, The Tobacco Tax Act, 1978, Chapter 38 of the Statutes of Newfoundland, 1978, as amended from time to time and The Insurance Premiums Tax Act, 1978, Chapter 40 of the Statutes of Newfoundland, 1978, as amended from time to time and any other Act of the Legislature of the Province, as amended from time to time, as may be prescribed;
“Newfoundland Income Tax Act” means The Income Tax Act, Chapter 163 of the Revised Statutes of Newfoundland, 1970, as amended from time to time;
“Newfoundland Insurance Companies Tax Act” means The Insurance Companies Tax Act, Chapter 177 of the Revised Statutes of Newfoundland, 1970, as amended from time to time;
“Petroleum and Natural Gas Act” means The Petroleum and Natural Gas Act, Chapter 294 of the Revised Statutes of Newfoundland, 1970, as amended from time to time;
“Revenue Fund” means the account established under section 214.
Imposition of Consumption Taxes
207. (1) There shall be imposed, levied and collected under this Part in respect of the offshore area, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Newfoundland Consumption Tax Acts if the offshore area were in the Province.
(2) Notwithstanding subsection (1), where taxes are imposed in respect of any matter under any of the Newfoundland Consumption Tax Acts and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
(3) Subject to this Act and the regulations, the Newfoundland Consumption Tax Acts and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in those Acts to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in those Acts to the Province of Newfoundland or the province shall be deemed to be a reference to the offshore area; and
(c) a reference in those Acts to the Minister responsible for the administration of any of those Acts shall be deemed to be a reference to the Minister of Finance.
(4) This section is binding on
(a) the corporations mentioned in Schedule A to the Federal-Provincial Fiscal Arrangements and Federal Post-Secondary Education and Health Contribution Act, 1977, where the Province is a participating province within the meaning of subsection 34(1) of that Act; and
(b) the corporations mentioned in Schedule B to that Act.
Imposition of Insurance Companies Tax
208. (1) There shall be imposed, levied and collected under this Part in respect of the insurance premiums received by any company with respect to property situated in the offshore area at the time the insurance premiums become payable, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Newfoundland Insurance Companies Tax Act if the property were situated in the Province.
(2) Notwithstanding subsection (1), where taxes are imposed in respect of any matter under the Newfoundland Insurance Companies Tax Act and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
(3) Subject to this Act and the regulations, the Newfoundland Insurance Companies Tax Act and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the Province of Newfoundland or the province shall be deemed to be a reference to the offshore area; and
(c) a reference in that Act to the Minister responsible for the administration of that Act shall be deemed to be a reference to the Minister of Finance.
(4) In this section, “company” has the same meaning as in the Newfoundland Insurance Companies Tax Act.
Clause 47: Relevant portion of subsection 209(5):
(5) A tax administration agreement may provide that, where any payment is received by the Government of the Province on account of any taxes, interest, penalties or other sums payable by a person under
...
(b) both
(i) section 207 or 208, and
(ii) the Newfoundland Consumption Tax Acts or the Newfoundland Insurance Companies Tax Act,
the payment so received may be applied by the Government of the Province towards the taxes, interest, penalties or other sums payable by the person under any provision or Act in such manner as is specified in the agreement, notwithstanding that the person directed that the payment be applied in any other manner or made no direction as to its application.
Clause 48: Existing text of subsection 210(2):
(2) Where a tax administration agreement is entered into, the Comptroller General of Finance of the Province may
(a) perform the duties and exercise any power or discretion that the Provincial Minister has under subsection (1) or otherwise under this Part; and
(b) designate officers of the Department of Finance of the Province to carry out such functions, perform such duties and exercise such powers as are similar to those that are carried out, exercised or performed by them on behalf of that Minister under the Newfoundland Consumption Tax Acts and the Newfoundland Insurance Companies Tax Act.
Clause 49: Existing text of section 211:
211. (1) There shall be imposed, levied and collected under this Part in respect of the taxable income of a corporation earned in a taxation year in the offshore area, in accordance with subsection (3), the taxes, interest and penalties that would be imposed, levied and collected under the Newfoundland Income Tax Act in respect of that taxable income if the offshore area were in the Province.
(2) Notwithstanding subsection (1), where taxes are imposed under the Newfoundland Income Tax Act in respect of taxable income of a corporation earned in a taxation year in the Province and taxes would, but for this subsection, be imposed under subsection (1) in respect of that taxable income, no taxes shall be imposed under subsection (1) in respect of that taxable income.
(3) Subject to this Act and the regulations made thereunder, the Newfoundland Income Tax Act and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the Province of Newfoundland or the province shall be deemed to be a reference to the offshore area;
(c) a reference in that Act to the “Minister of Finance” shall be deemed to be a reference to
(i) in relation to the remittance of any amount as or on account of tax payable under that Act, the Receiver General of Canada, and
(ii) in relation to any other matter, the Minister of National Revenue for Canada; and
(d) a reference in that Act to the “Minister of National Revenue” shall be deemed to be a reference to the Minister of National Revenue for Canada.
(4) For the purposes of this section, the taxable income of a corporation earned in a taxation year in the offshore area or in the Province shall be determined in accordance with regulations made under paragraph 124(4)(a) of the Income Tax Act.
Clause 50: New.
Clause 51: Relevant portion of section 216:
216. The Governor in Council may, on the recommendation of the Minister of Finance, make regulations
(a) excluding, for the purposes of this Act, any provision or any part thereof of the Newfoundland Consumption Tax Acts, the Newfoundland Income Tax Act, the Newfoundland Insurance Companies Tax Act or the Petroleum and Natural Gas Act or of any regulation made thereunder that is inconsistent with this Act, the Atlantic Accord or any bilateral or international treaty, convention or agreement respecting taxation, tariffs or trade to which the Government of Canada is a signatory; and
Canada-Nova Scotia Offshore Petroleum Resources Accord Implementation Act
Clause 55: Existing text of the definition:
“Provincial Minister” means the Minister of Mines and Energy of the Province;
Clause 56: Existing text of section 6:
6. Before a regulation is made pursuant to subsection 5(1), 17(4), 35(8), 39(7) or 45(7), section 67, subsection 70(2), section 121, subsection 125(1), 128(1), 153(1), 157(5) or 165(4) or section 208, 245 or 248, the Federal Minister shall consult the Provincial Minister with respect to the proposed regulation and no regulation shall be so made without the approval of the Provincial Minister.
Clause 57: Existing text of subsection 13(3):
(3) The Chairman of the Board shall be selected, from among persons nominated by each government, by the panel within sixty days after the appointment of the chairman of the panel.
Clause 58: New.
Clause 59: New.
Clause 60: Existing text of subsection 30(2):
(2) The annual report submitted pursuant to subsection (1) shall contain an audited financial statement and a description of the activities of the Board during the fiscal year covered by the report.
Clause 61: Existing text of subsection 41(2):
(2) Where a request is received during any calendar year by the Board or the Federal Minister or the Provincial Minister to make a call for bids pursuant to Part II in relation to particular portions of the offshore area, the Federal Minister or the Provincial Minister may, after having reviewed the plan of the anticipated decisions of the Board during the calendar year submitted pursuant to section 43, issue to the Board a written directive to specify those portions of the offshore area in a call for bids made pursuant to Part II.
Clause 62: Relevant portion of subsection 46(1):
46. (1) The Board shall, to ensure effective coordination and avoid duplication of work and activities, conclude with the appropriate departments and agencies of the Government of Canada and of the Government of the Province memoranda of understanding in relation to
...
Clause 63: Existing text of subsection 126(1):
126. (1) Where the Board has reason to believe that an interest owner or holder is failing or has failed to meet any requirement of or under this Part or Part III or any regulation made under either Part, the Board may give notice to that interest owner or holder requiring compliance with the requirement within ninety days after the date of the notice or within such longer period as the Board considers appropriate.
Clause 64: (1) New.
(2) New.
(3) and (4) Relevant portion of subsection 142(5):
(5) The Board may suspend or revoke an operating licence or an authorization for failure to comply with, contravention of or default in respect of
(a) a requirement, approval, fee or deposit subject to which the licence or authorization was issued;
(b) a requirement undertaken in a declaration referred to in subsection 143.1(1) or (2);
Clause 65: Existing text of subsection 143.1(2):
(2) The Board may accept, in respect of equipment that is to be used in a work or activity to be authorized, a declaration from the owner of the equipment in lieu of a declaration from the applicant for the authorization, and such a declaration shall be in a form fixed by the Board and shall state that
(a) the equipment is fit for the purpose for which it is to be used, the operating procedures relating to it are appropriate for that use, and the personnel who are to be employed by the owner in connection with it are qualified and competent for their employment; and
(b) the owner shall ensure, so long as the equipment is used in the work or activity that is authorized, that the equipment continues to be fit for the purpose for which it is used, the operating procedures continue to be appropriate for that use, and the personnel continue to be so qualified and competent.
Clause 66: Existing text of section 144:
144. The Board may, for the purposes of this Act, designate the Chief Executive Officer or any other person as the Chief Safety Officer and the same or another person as the Chief Conservation Officer.
Clause 67: Existing text of section 144.1:
144.1 For the purposes of this Act, an order made by a safety officer, the Chief Safety Officer, a conservation officer, the Chief Conservation Officer or the Committee is not a statutory instrument as defined in the Statutory Instruments Act.
Clause 68: Relevant portion of subsection 155(1):
155. (1) Subject to subsection (2), the Chief Safety Officer and Chief Conservation Officer may
(a) authorize the use of equipment, methods, measures or standards in lieu of any required by regulation where those Officers are satisfied that the use of that other equipment or those other methods, measures or standards would provide a level of safety, protection of the environment and conservation equivalent to that provided by compliance with the regulations; or
(b) grant an exemption from any regulatory requirement in respect of equipment, methods, measures or standards where those Officers are satisfied with the level of safety, protection of the environment and conservation that will be achieved without compliance with that requirement.
Clause 69: Existing text of section 157:
157. (1) In this section,
“marine installation or structure” includes
(a) any ship, offshore drilling unit, production platform, subsea installation, pumping station, living accommodation, storage structure, loading or landing platform, and
(b) any other work or work within a class of works prescribed pursuant to paragraph (5)(a),
but does not include any vessel that provides any supply or support services to a ship, installation, structure or work described in paragraph (a) or (b);
“Nova Scotia social legislation” means the Labour Standards Code, Chapter 10 of the Statutes of Nova Scotia, 1972, as amended from time to time, the Occupational Health and Safety Act, Chapter 3 of the Statutes of Nova Scotia, 1985, as amended from time to time, the Trade Union Act, Chapter 19 of the Statutes of Nova Scotia, 1972, as amended from time to time, and the Workers’ Compensation Act, Chapter 65 of the Statutes of Nova Scotia, 1968, as amended from time to time.
(2) The Nova Scotia social legislation and any regulations made thereunder apply on any marine installation or structure that is within the offshore area in connection with the exploration or drilling for or the production, conservation or processing of petroleum within the offshore area.
(3) Notwithstanding subsection (2), any provision of any Act or regulation referred to in that subsection that is in relation to a matter in respect of which a regulation may be made under paragraph 153(1)(d), (m), (o) or (p) of this Act as it read before the coming into force of section 103 of An Act to amend the Oil and Gas Production and Conservation Act and other Acts in consequence thereof, or under any provision of this Act respecting occupational health or safety does not apply on marine installations or structures referred to in subsection (2) during such time as those installations or structures are within the offshore area in connection with a purpose referred to in that subsection.
(4) Notwithstanding subsection 123(1) of the Canada Labour Code and any other Act of Parliament
(a) Parts II and III of the Canada Labour Code do not apply on any marine installation or structure referred to in subsection (2), and
(b) in respect of any marine installation or structure referred to in subsection (2) that is within the offshore area for the purpose of becoming, or that is, permanently attached to, permanently anchored to or permanently resting on the seabed or subsoil of the submarine areas of the offshore area,
(i) Part I of the Canada Labour Code does not apply, and
(ii) the Trade Union Act, Chapter 19 of the Statutes of Nova Scotia, 1972, as amended from time to time, applies
during such time as the marine installation or structure is within the offshore area in connection with a purpose referred to in that subsection.
(5) Subject to section 6, the Governor in Council may make regulations
(a) prescribing a work or a class of works for the purpose of the definition “marine installation or structure” in subsection (1); and
(b) prescribing, for the purpose of subsection (2), any Act of the Legislature of the Province or excluding any such Act from the application of that subsection.
Clause 70: Existing text of subsection 166(3):
(3) Every person required to report a spill under subsection (2) shall, as soon as possible, take all reasonable measures consistent with safety and the protection of the environment to prevent any further spill, to repair or remedy any condition resulting from the spill and to reduce or mitigate any danger to life, health, property or the environment that results or may reasonably be expected to result from the spill.
Clause 71: Existing text of the heading:
Safety and Conservation Officers
Clause 72: Existing text of sections 193 and 194:
193. The safety officers and conservation officers necessary for the administration and enforcement of this Part and the regulations shall be appointed by the Board.
194. A safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer may at any reasonable time
(a) enter any place, including lands, buildings, installations, vessels, vehicles and aircraft, used for any work or activity in respect of which this Part applies, for the purpose of carrying out inspections, examinations, tests or inquiries or of directing that the person in charge of the place carry them out, and the officer may be accompanied by any other person that the officer believes is necessary to help carry out the inspection, examination, test or inquiry;
(b) take photographs or make drawings of any place or thing referred to in this section;
(c) order that any place or thing referred to in this section not be interfered with for a specified period;
(d) require the production, for inspection or copying, of any books, records, documents, licences or permits required by this Part or the regulations;
(e) take samples or particulars and carry out, or have carried out, any reasonable tests or examinations; and
(f) require the person in charge of the place, or any other person in the place who has knowledge relevant to an inspection, examination, test or inquiry, to furnish information, either orally or in writing, in the form requested.
Clause 73: Existing text of section 195:
195. The Board shall provide every safety officer and conservation officer and the Chief Safety Officer and the Chief Conservation Officer with a certificate of appointment or designation and, on entering any place pursuant to the authority of this Part, the officer shall, if so required, produce the certificate to the person in charge of the place.
Clause 74: Existing text of sections 196 and 197:
196. The owner, the person in charge of any place referred to in section 194 and every person found therein shall give a safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer, as the case may be, all reasonable assistance to enable the officer to carry out duties and functions under this Part or the regulations.
197. No person shall obstruct or hinder or make a false or misleading statement, either orally or in writing, to a safety officer, the Chief Safety Officer, a conservation officer or the Chief Conservation Officer who is engaged in carrying out duties or functions under this Part or the regulations.
Clause 75: Existing text of subsections 198(1) to (4):
198. (1) Where a safety officer or the Chief Safety Officer, on reasonable grounds, is of the opinion that continuation of an operation in relation to the exploration or drilling for or the production, conservation, processing or transportation of petroleum in any portion of the offshore area is likely to result in serious bodily injury, the safety officer or Chief Safety Officer, as the case may be, may order that the operation cease or be continued only in accordance with the terms of the order.
(2) The safety officer or Chief Safety Officer who makes an order under subsection (1) shall affix at or near the scene of the operation a notice of the order in prescribed form.
(3) An order made by a safety officer under subsection (1) expires seventy-two hours after it is made unless it is confirmed before that time by order of the Chief Safety Officer.
(4) A safety officer who makes an order under subsection (1) shall immediately so advise the Chief Safety Officer, and the Chief Safety Officer may modify or revoke the order.
Clause 76: Existing text of section 198.1:
198.1 An order made by a safety officer or the Chief Safety Officer prevails over an order made by a conservation officer or the Chief Conservation Officer to the extent of any inconsistency between the orders.
Clause 77: Existing text of subsection 198.2(3):
(3) In a prescribed emergency situation, an installation manager’s powers are extended so that they also apply to each operator of a vessel, vehicle or aircraft that is at the installation or that is leaving or approaching it.
Clause 78: (1) and (2) Relevant portion of subsection 199(1):
199. (1) Every person is guilty of an offence who
...
(b) knowingly makes any false entry or statement in any report, record or document required by this Part or the regulations or by any order made pursuant to this Part or the regulations;
(c) knowingly destroys, mutilates or falsifies any report or other document required by this Part or the regulations or by any order made pursuant to this Part or the regulations;
...
(e) undertakes or carries on a work or activity without an authorization under paragraph 142(1)(b) or without complying with the approvals or requirements of such an authorization; or
(f) fails to comply with a direction, requirement or order of a safety officer, a conservation officer, the Chief Safety Officer, the Chief Conservation Officer or an installation manager or with an order of the Committee.
(3) New.
Clause 79: New.
Clause 80: Existing text of section 204:
204. A prosecution for an offence under this Part may be instituted at any time within two years after the time when the subject-matter of the complaint arose.
Clause 81: Existing text of section 205:
205. In any prosecution for an offence under this Part, a copy of any order or other document purporting to have been made pursuant to this Part or the regulations and purporting to have been signed by the person authorized by this Part or the regulations to make that order or document is, in the absence of any evidence to the contrary, proof of the matters set out therein.
Clause 82: New.
Clause 83: Existing text of section 209:
209. This Part applies to every interest or right in petroleum acquired or vested before the coming into force of this section and is binding on Her Majesty in right of Canada or a province.
Clause 84: New.
Clause 85: Existing text of sections 211 to 213:
211. In this Part,
“Nova Scotia Consumption Tax Acts” means the Health Services Tax Act, Chapter 126 of the Revised Statutes of Nova Scotia, 1967, as amended from time to time, the Gasoline and Diesel Oil Tax Act, Chapter 116 of the Revised Statutes of Nova Scotia, 1967, as amended from time to time, and any other Act of the Legislature of the Province, as amended from time to time, as may be prescribed;
“Nova Scotia Income Tax Act” means the Income Tax Act, Chapter 134 of the Revised Statutes of Nova Scotia, 1967, as amended from time to time;
“Nova Scotia Insurance Premiums Tax Act” means the Insurance Premiums Tax Act, Chapter 149 of the Revised Statutes of Nova Scotia, 1967, as amended from time to time;
“Revenue Account” means the account established under section 219.
Imposition of Consumption Taxes
212. (1) There shall be imposed, levied and collected under this Part in respect of the offshore area, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Nova Scotia Consumption Tax Acts if the offshore area were in the land portion of the Province.
(2) Notwithstanding subsection (1), where taxes are imposed in respect of any matter under any of the Nova Scotia Consumption Tax Acts and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
(3) Subject to this Act and the regulations, the Nova Scotia Consumption Tax Acts and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in those Acts to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in those Acts to the Province of Nova Scotia or the Province shall be deemed to be a reference to the offshore area; and
(c) a reference in those Acts to the Minister responsible for the administration of any of those Acts or to the Provincial Tax Commissioner shall be deemed to be a reference to the Minister of Finance.
(4) This section is binding on
(a) the corporations mentioned in Schedule A to the Federal-Provincial Fiscal Arrangements and Federal Post-Secondary Education and Health Contributions Act, 1977, where the Province is a participating province within the meaning of subsection 34(1) of that Act; and
(b) the corporations mentioned in Schedule B to that Act.
Imposition of Insurance Premiums Tax
213. (1) There shall be imposed, levied and collected under this Part in respect of the insurance premiums received by any company with respect to property situated in the offshore area at the time the insurance premiums become payable, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Nova Scotia Insurance Premiums Tax Act if the property were situated in the land portion of the Province.
(2) Notwithstanding subsection (1), where taxes are imposed in respect of any matter under the Nova Scotia Insurance Premiums Tax Act and taxes would, but for this subsection, be imposed under subsection (1) in respect of that matter, no taxes shall be imposed under subsection (1) in respect of that matter.
(3) Subject to this Act and the regulations, the Nova Scotia Insurance Premiums Tax Act and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the Province of Nova Scotia or the Province shall be deemed to be a reference to the offshore area; and
(c) a reference in that Act to the Minister responsible for the administration of that Act or to the Provincial Secretary shall be deemed to be a reference to the Minister of Finance.
(4) In this section, “company” has the same meaning as is assigned to the expression “insurance company” by the Nova Scotia Insurance Premiums Tax Act.
Clause 86: Relevant portion of subsection 214(5):
(5) A tax administration agreement may provide that, where any payment is received by the Government of the Province on account of any taxes, interest, penalties or other sums payable by a person under
...  
(b) both
(i) section 212 or 213, and 
(ii) the Nova Scotia Consumption Tax Acts or the Nova Scotia Insurance Premiums Tax Act,
the payment so received may be applied by the Government of the Province towards the taxes, interest, penalties or other sums payable by the person under any such provision or Act in such manner as is specified in the agreement, notwithstanding that the person directed that the payment be applied in any other manner or made no direction as to its application.
Clause 87: Existing text of subsection 215(2):
(2) Where a tax administration agreement is entered into,
(a) the Provincial Tax Commissioner of the Province may
(i) perform the duties and exercise any power or discretion that the Minister of Finance of the Province has under subsection (1) or otherwise under this Part in relation to the Nova Scotia Consumption Tax Acts, and
(ii) designate personnel of the Department of Finance of the Province to carry out such functions, perform such duties and exercise such powers as are similar to those that are carried out, exercised or performed by them on behalf of that Minister under the Nova Scotia Consumption Tax Acts; and
(b) the Minister of Consumer Affairs of the Province or such other Minister of the Crown in right of the Province as may be designated by the Provincial Government for the purpose may
(i) perform the duties and exercise any power or discretion that the Minister of Finance of the Province has under subsection (1) or otherwise under this Part in relation to the Nova Scotia Insurance Premiums Tax Act, and
(ii) designate personnel of the Department of Consumer Affairs of the Province to carry out such functions, perform such duties and exercise such powers as are similar to those that are carried out, exercised or performed by them on behalf of that Minister under the Nova Scotia Insurance Premiums Tax Act.
Clause 88: (1) to (3) Existing text of section 216:
216. (1) There shall be imposed, levied and collected under this Part in respect of the taxable income of a corporation earned in a taxation year in the offshore area, in accordance with subsection (3), the taxes, interest, penalties and other sums that would be imposed, levied and collected under the Nova Scotia Income Tax Act in respect of that taxable income if the offshore area were in the land portion of the Province.
(2) Notwithstanding subsection (1), where taxes are imposed under the Nova Scotia Income Tax Act in respect of taxable income of a corporation earned in a taxation year in the Province and taxes would, but for this subsection, be imposed under subsection (1) in respect of that taxable income, no taxes shall be imposed under subsection (1) in respect of that taxable income.
(3) Subject to this Act and the regulations made thereunder, the Nova Scotia Income Tax Act and any regulations made thereunder apply, with such modifications as the circumstances require, for the purposes of this Part and, without limiting the generality of the foregoing,
(a) a reference in that Act to Her Majesty in right of the Province shall be deemed to be a reference to Her Majesty in right of Canada;
(b) a reference in that Act to the Province of Nova Scotia or the Province shall be deemed to be a reference to the offshore area;
(c) a reference in that Act to the “Minister of Finance” shall be deemed to be a reference to
(i) in relation to the remittance of any amount as or on account of tax payable under that Act, the Receiver General of Canada, and
(ii) in relation to any other matter, the Minister of National Revenue for Canada; and
(d) a reference in that Act to the “Minister of National Revenue” shall be deemed to be a reference to the Minister of National Revenue for Canada.
(4) For the purposes of this section, the taxable income of a corporation earned in a taxation year in the offshore area or in the Province shall be determined in accordance with regulations made under section 221 of the Income Tax Act for the purpose of paragraph 124(4)(a) of that Act.
Clause 89: Existing text of subsection 220(2):
(2) For the purposes of subsection (1), the offshore area shall be deemed to be within the territorial limits of the county of Halifax.
Clause 90: Relevant portion of section 221:
221. The Governor in Council may, on the recommendation of the Minister of Finance, make regulations
(a) excluding, for the purposes of this Act, any provision or any part thereof of the Nova Scotia Consumption Tax Acts, the Nova Scotia Income Tax Act, the Nova Scotia Insurance Premiums Tax Act or the Offshore Petroleum Royalty Act or of any regulation made thereunder that is inconsistent with this Act, the Accord or any bilateral or international treaty, convention or agreement respecting taxation, tariffs or trade to which the Government of Canada is a signatory; and
Canada Labour Code
Clause 94: (1) Existing text of subsection 144(1):
144. (1) No health and safety officer or person who has accompanied or assisted the officer in carrying out the officer’s duties under this Part may be required to give testimony in a civil suit with regard to information obtained in the carrying out of those duties or in accompanying or assisting the officer, except with the written permission of the Minister.
(2) Existing text of subsections 144(5) and (5.1):
(5) No person shall, except for the purposes of this Part or for the purposes of a prosecution under this Part, publish or disclose the results of an analysis, examination, testing, inquiry, investigation or sampling made or taken by or at the request of an appeals officer or a health and safety officer under section 141.
(5.1) If the results referred to in subsection (5) contain information within the meaning of Part 4 of the Department of Human Resources and Skills Development Act, the disclosure of that information is governed by Part 4 of that Act.
Clause 95: Existing text of subsection 149(4):
(4) Proceedings in respect of an offence under this Part may be instituted at any time within but not later than one year after the time when the subject-matter of the proceedings arose.
Excise Tax Act
Clause 101: Relevant portion of the definition:
“offshore activity” means
...
(b) when used in connection with an activity carried on in the Newfoundland offshore area, an activity in respect of which tax would be imposed under section 207 of the Canada-Newfoundland Atlantic Accord Implementation Act if this Part were one of the Newfoundland Consumption Tax Acts (as defined in section 206 of that Act);
Canada Oil and Gas Operations Act
Clause 102: Existing text of subsection 5.4(1):
5.4 (1) There is established a council, to be known as the Oil and Gas Administration Advisory Council, consisting of the following six members, namely, the Chairman of the Canada — Nova Scotia Offshore Petroleum Board, the Chairman of the Canada — Newfoundland Offshore Petroleum Board, the Chairperson of the National Energy Board, a person designated jointly by the federal Ministers, a person designated by one of the Provincial Ministers and a person designated by the other Provincial Minister.
Hazardous Materials Information Review Act
Clause 105: New.
Clause 106: Relevant portion of subsection 11(2):
(2) Any employer who is required, either directly or indirectly, pursuant to the provisions of the Canada Labour Code, to disclose
Clause 107: Relevant portion of subsection 13(1):
13. (1) A screening officer shall review a claim for exemption and the material safety data sheet or label to which it relates in accordance with the prescribed procedures and shall
...
(b) decide whether the material safety data sheet or label to which the claim relates, except to the extent that it does not disclose the information in respect of which the claim is made, complies with the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be.
Clause 108: (1) Existing text of subsection 16(1):
16. (1) Where under paragraph 13(1)(a) a screening officer determines that a claim or portion of a claim for exemption is not valid, the screening officer shall order the claimant to comply, in the manner and within the period specified in the order, with the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code in respect of which the claim or portion of the claim for exemption was determined not to be valid.
(2) Existing text of subsection 16(4):
(4) Every claimant who complies with an order under subsection (1) in the manner and within the period specified in the order shall, for the purposes of the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be, be deemed to have complied with those provisions.
Clause 109: (1) Existing text of subsection 16.1(1):
16.1 (1) If a screening officer determines under paragraph 13(1)(b) that a material safety data sheet or label to which a claim for exemption relates does not comply with the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be, the screening officer may send an undertaking to the claimant setting out the measures that are required to be taken for the purpose of ensuring compliance with those provisions, except to the extent that they would require the claimant to disclose the information in respect of which the claim is made, in the manner and within the period specified in the undertaking.
(2) Existing text of subsection 16.1(4):
(4) A claimant to whom the notice is sent is, for the purposes of the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be, deemed to have complied with those provisions.
Clause 110: (1) Existing text of subsection 17(1):
17. (1) If the screening officer does not receive the signed undertaking, or is not satisfied that the claimant has taken the measures set out in the undertaking in the manner and within the period specified in it, the screening officer shall order the claimant to comply with the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be, except to the extent that they would require the claimant to disclose the information in respect of which the claim is made, in the manner and within the period specified in the order.
(2) Existing text of subsection 17(4):
(4) Every claimant who complies with an order under subsection (1) in the manner and within the period specified in the order shall, for the purposes of the provisions of the Hazardous Products Act or the provisions of the Canada Labour Code, as the case may be, be deemed to have complied with those provisions.
Clause 111: New.
Clause 112: Relevant portion of subsection 46(2):
(2) An official of the Commission may communicate or allow to be communicated information obtained by the Commission or an appeal board from a supplier or employer for the purposes of this Part, or allow inspection of or access to any book, record, writing or other document containing any such information, to or by
Hibernia Development Project Act
Clause 113: Existing text of the definition:
“Board” means the Canada-Newfoundland Offshore Petroleum Board established by the joint operation of section 9 of the Canada-Newfoundland Atlantic Accord Implementation Act and section 9 of The Canada-Newfoundland Atlantic Accord Implementation (Newfoundland) Act, chapter 37 of the Statutes of Newfoundland, 1986;


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