South Australian Consolidated Regulations

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GENE TECHNOLOGY REGULATIONS 2002 - REG 13A

13A—Requirements in relation to notifying Regulator of notifiable low risk dealings

        (1)         An Institutional Biosafety Committee that has assessed a proposed dealing to be a notifiable low risk dealing must—

            (a)         make a record of the proposed dealing in a form approved by the Regulator; and

            (b)         if the Regulator, by written notice given to the Committee, requests a copy of the record, give a copy of the record to the Regulator by the end of the period mentioned in the notice; and

            (c)         give a copy of the record to—

                  (i)         the person or accredited organisation that requested the Committee to assess the proposed dealing; and

                  (ii)         the project supervisor for the proposed dealing.

        (2)         The person or accredited organisation must—

            (a)         for the financial year in which the Committee assessed the proposed dealing, include a copy of the Committee's record—

                  (i)         for an accredited organisation—in the annual report given to the Regulator for the financial year; or

                  (ii)         in any other case—in a report given to the Regulator, in the form approved by the Regulator, by the person for the financial year; and

            (b)         retain a copy of the Committee's record for 3 years after the date that the person or accredited organisation ceased to be involved with the conduct of the dealing.

        (3)         The Regulator may, by written notice, require—

            (a)         the Committee; or

            (b)         the person or accredited organisation; or

            (c)         any other person involved with the conduct of the proposed dealing,

to give the Regulator any further information about the dealing that the Regulator requires in order to be satisfied that the dealing is a notifiable low risk dealing.

        (4)         A Committee, person or accredited organisation receiving a notice under subregulation (3) must, by the end of the period mentioned in the notice, give the Regulator the information required by the notice.



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