BILL 31 – 2008
GREENHOUSE GAS REDUCTION (EMISSIONS STANDARDS) STATUTES AMENDMENT ACT,
2008
HER MAJESTY, by and with the
advice and consent of the Legislative Assembly of the Province of
British Columbia, enacts as follows:
Environmental Management Act
(Ministry of Environment)
SECTION 1: [Environmental
Management Act, section 1] adds a definition
for the purposes
of the proposed Part 6.1 [Greenhouse Gas Reduction]
of the Act.
1 Section 1
(1) of the Environmental Management Act, S.B.C. 2003, c. 53, is amended
by adding the following definition:
"greenhouse gas"
has the same meaning as in the Greenhouse Gas Reduction
Targets Act; .
(Ministry of Environment)
SECTION 2: [Environmental
Management Act, Part 6.1] adds a new Part to
the Act that is directed to the reduction of greenhouse gases by
- requiring that greenhouse gases from waste management
facilities be managed in accordance with the regulations,
- prohibiting the introduction of prescribed greenhouse
gases from coal-based generating facilities into the environment,
unless an equivalent amount of greenhouse gas from the facility is
stored or sequestered in accordance with regulations under the Act,
- requiring electricity generating facilities to match
their emissions of greenhouse gases, other than those that are stored
or sequestered in accordance with the regulations, with emission
offsets permitted under the regulations, and
- adding inspection powers in relation to emissions
from coal-based generating facilities and other electricity generating
facilities.
2 The
following Part is added:
Part 6.1 — Greenhouse Gas
Reduction
Division 1 —
Definitions
Definitions
76.1 For the purposes of this Part:
"attributable",
in relation to greenhouse gas emissions, means attributable under the
regulations;
"carbon dioxide
equivalent" means the mass of carbon dioxide that would
produce the same global warming impact as a given mass of another
greenhouse gas, as determined in accordance with the regulations;
"coal-based generating
facility" means a facility that is prescribed by
regulation as a coal-based generating facility;
"compliance period"
means the period prescribed by regulation for the purposes of
section 76.4 [electricity generation must have net
zero emissions];
"electricity generating
facility" means a facility that is prescribed by
regulation as an electricity generating facility;
"emission offset"
means an emission offset, as established, approved or recognized under
the regulations for the purpose of
(a) reducing or avoiding greenhouse
gas emissions into the atmosphere, or
(b) removing greenhouse gas from
the atmosphere;
"existing electricity
generating facility" means an electricity generating
facility that is prescribed by regulation as an existing electricity
generating facility;
"new electricity
generating facility" means an electricity generating
facility that is not an existing electricity generating facility;
"operator",
in relation to a coal-based generating facility or an electricity
generating facility, means the person considered under the regulations
to be the operator of the facility;
"use of coal for the
generation of electricity" includes the use of coal for
the production of an energy source that is reasonably expected to be
used for the generation of electricity.
Division 2 — Waste
Management Facilities
Management of greenhouse gases at
waste management facilities
76.2 The owner or operator of a waste management
facility of a prescribed class must manage, in accordance with the
regulations, specified greenhouse gases produced from wastes handled at
the waste management facility.
Regulations for purposes of Division 2
76.21 (1) Without limiting section 138 (1) [general
authority to make regulations], the Lieutenant Governor in
Council may make regulations as follows:
(a) specifying greenhouse gases for
the purposes of this Division;
(b) prescribing actions that must
be taken in relation to either or both of the following:
(i) the management or reduction
of specified greenhouse gases;
(ii) the recovery of energy
potential from specified greenhouse gases;
(c) regulating and imposing
requirements and prohibitions in relation to actions required under
paragraph (b);
(d) regulating and imposing
requirements and prohibitions for the design, siting and operation of
any works, activities or operations related to the management of, or
the recovery of energy potential from, greenhouse gases;
(e) exempting any works, activities
or operations or any class of persons, works, activities or operations
from any or all of the provisions of the regulations in circumstances
or on conditions that the Lieutenant Governor in Council prescribes;
(f) imposing monitoring and
reporting requirements in relation to
(i) greenhouse gases or the
recovery of energy potential from greenhouse gases,
(ii) handling, treating,
transporting, discharging or storing greenhouse gases or energy
potential recovered from greenhouse gases, and
(iii) places and things that the
Lieutenant Governor in Council considers may be affected by the
handling, treatment, transportation, discharge or storage of greenhouse
gases or energy potential recovered from greenhouse gases,
including. without limitation,
prescribing requirements for the publication of information and
respecting to whom reports are to be submitted and the timing, form,
content, supporting evidence, verification, certification and manner of
submission of the reports;
(g) establishing requirements
respecting the retention of records that support reports and
information required to be provided to the director under this Division;
(h) defining words or expressions
used but not defined in this Division.
(2) Section 139 [regulations
— general rules] applies for the purpose of making
regulations under this Division.
Division 3 —
Coal-based Electricity Generation
Coal-based generating facilities — greenhouse
gases must be stored or sequestered
76.3 (1) Subject to subsection (2), the
operator of a coal-based generating facility must not introduce or
cause or allow to be introduced into the environment emissions of
prescribed greenhouse gases from the facility that are attributable to
the use of coal for the generation of electricity.
(2) The prohibition in subsection
(1) does not apply if an amount of greenhouse gas emissions from the
facility that is at least equal to the amount of the emissions referred
to in subsection (1), as determined in accordance with the regulations
on a carbon dioxide equivalent basis, is captured and stored, or
captured and sequestered, in accordance with the regulations.
Compliance reports
76.31 (1) The operator of a coal-based
generating facility must submit a report to the director, in accordance
with the regulations, respecting
(a) the attributable greenhouse gas
emissions referred to in section 76.3 (1), as determined in
accordance with the regulations,
(b) if applicable, the capture and
storage, or capture and sequestration, of an amount of emissions from
the facility under section 76.3 (2), and
(c) any other matter prescribed for
the purposes of this Division.
(2) The operator of a coal-based
generating facility must submit a supplementary report to the director
within the prescribed period after the operator becomes aware that
(a) information in a previous
report under this section did not completely and accurately disclose
the required information, or
(b) information required to be
reported in a previous report has changed.
(3) A supplementary report under
this section must be made in accordance with the regulations or, if no
specific direction is prescribed, in accordance with the regulations
applicable to the report under subsection (1).
(4) The director may
(a) require a report under this
section to be audited in accordance with the directions of the
director, or conduct or authorize a person to conduct such an audit, and
(b) require the operator of a
coal-based generating facility to provide additional information in
support of a report under this section.
Regulations for purposes of Division 3
76.32 (1) Without limiting section 138 (1) [general
authority to make regulations], the Lieutenant Governor in
Council may make regulations in relation to this Division as follows:
(a) prescribing facilities within a
prescribed class, or prescribing specified facilities, as being
coal-based generating facilities, including, without limitation,
facilities that
(i) generate electricity in part
from coal and in part from another energy source,
(ii) from time to time generate
electricity from coal,
(iii) do other things in
addition to the generation of electricity from coal,
(iv) produce an energy source
from coal that is used to generate electricity, including the
generation of electricity by another person or at another facility, or
(v) use an energy source
referred to in subparagraph (iv) to generate electricity;
(b) respecting who is to be
considered the operator of a coal-based generating facility;
(c) establishing the greenhouse gas
emissions that are deemed to be attributable to the use of coal for the
generation of electricity;
(d) respecting the methodology by
which greenhouse gas emissions referred to in paragraph (c) are to be
determined;
(e) establishing
(i) acceptable methods and
standards, and
(ii) monitoring, reporting and
other requirements
in relation to the capture, storage
and sequestration of greenhouse gases;
(f) respecting reports under this
Division, including, without limitation, prescribing requirements
respecting to whom the reports are to be submitted and the timing,
form, content, supporting evidence, verification, certification and
manner of submission of the reports;
(g) establishing requirements and
standards respecting quality assurance of the information provided in
the reports under this Division and the data that support the reports,
including, without limitation, requirements and standards respecting
(i) monitoring protocols and
equipment,
(ii) sampling protocols and
equipment, and
(iii) analytical protocols and
equipment
that must be used for the purposes
of reports under this Division;
(h) establishing requirements
respecting the retention of records that support reports and
information required to be provided to the director under this Division;
(i) prescribing information that
must or may be made public in relation to this Division, other than
information referred to in paragraph (a) of the definition of
"protected information" in section 76.52 [confidentiality in
relation to Divisions 3 and 4];
(j) defining words or expressions
used but not defined in this Division.
(2) Section 139 [regulations
— general rules] applies for the purpose of making
regulations under this Division.
Division 4 —
Greenhouse Gas Emissions from Electricity Generation
Electricity generation must have net zero emissions
76.4 For each compliance period, the operator of
an electricity generating facility must, in accordance with the
regulations,
(a) determine the greenhouse gas
emissions attributable to the generation of electricity by the facility
for the compliance period, excluding any emissions that are captured
and stored, or captured and sequestered, in accordance with the
regulations, and
(b) if there are attributable
greenhouse gas emissions referred to in paragraph (a) after
any applicable exclusion under that provision, no later than the
prescribed time after the end of that compliance period, apply emission
offsets in accordance with the regulations to net those emissions to
zero.
Compliance reports
76.41 (1) The operator of an electricity
generating facility must submit a report to the director, in accordance
with the regulations, respecting
(a) the attributable greenhouse gas
emissions referred to in section 76.4 (a), as determined in
accordance with the regulations, including, if applicable, any
exclusion referred to in that provision,
(b) compliance with the obligation
under section 76.4 (b), and
(c) any other matter prescribed for
the purposes of this Division.
(2) The operator of an electricity
generating facility must submit a supplementary report to the director
within the prescribed period after the operator becomes aware that
(a) information in a previous
report under this section did not completely and accurately disclose
the required information, or
(b) information required to be
reported in a previous report has changed.
(3) A supplementary report under
this section must be made in accordance with the regulations or, if no
specific direction is prescribed, in accordance with the regulations
applicable to the report under subsection (1).
(4) The director may
(a) require a report under this
section to be audited in accordance with the directions of the
director, or conduct or authorize a person to conduct such an audit, and
(b) require the operator of an
electricity generating facility to provide additional information in
support of a report under this section.
Application of Division 4
76.42 This Division applies to
(a) new electricity generating
facilities,
(b) subject to paragraph (c),
existing electricity generating facilities, beginning with the first
compliance period that includes all or part of the 2016 calendar year,
and
(c) before the compliance period
referred to in paragraph (b), existing electricity generating
facilities in relation to greenhouse gas emissions that are
attributable under the regulations to an expansion of the capacity of a
facility where that expansion first generated electricity after
February 27, 2007 and meets the prescribed threshold.
Regulations for purposes of Division 4
76.43 (1) Without limiting section 138
(1), the Lieutenant Governor in Council may make regulations in
relation to this Division as follows:
(a) prescribing facilities within a
prescribed class, or prescribing specified facilities, as being
electricity generating facilities, including, without limitation,
facilities that do other things in addition to the generation of
electricity;
(b) prescribing facilities within a
prescribed class, or prescribing specified facilities, as being
existing electricity generating facilities on the basis that they were
generating electricity on February 27, 2007 or that they generated
electricity within a reasonable time period before that date;
(c) prescribing a threshold, by
capacity or by generation of electricity, or both, for the purposes of
section 76.42 (c);
(d) respecting who is to be
considered the operator of an electricity generating facility;
(e) establishing the greenhouse gas
emissions that are deemed to be attributable to an electricity
generating facility;
(f) respecting the methodology by
which greenhouse gas emissions referred to in paragraph (e) are to be
determined;
(g) respecting emission offsets for
the purposes of this Division, including, without limitation,
(i) establishing one or more
systems of emission offsets,
(ii) providing authority for
projects or actions to be approved as the basis for emission offsets,
including authority to establish the parameters of emission offsets
related to projects or actions,
(iii) recognizing as emission
offsets for the purposes of this Division
(A) emission offsets under the Greenhouse
Gas Reduction Targets Act,
(B) compliance units under the Greenhouse
Gas Reduction (Cap and Trade) Act, or
(C) units of systems established
by other jurisdictions or organizations, and
(iv) providing when, how and to
what extent emission offsets may or must be applied;
(h) respecting reports under this
Division, including, without limitation, prescribing requirements
respecting to whom the reports are to be submitted and the timing,
form, content, supporting evidence, verification, certification and
manner of submission of the reports;
(i) establishing requirements and
standards respecting quality assurance of the information provided in
the reports under this Division and the data that support the reports,
including, without limitation, requirements and standards respecting
(i) monitoring protocols and
equipment,
(ii) sampling protocols and
equipment, and
(iii) analytical protocols and
equipment
that must be used for the purposes
of reports under this Division;
(j) establishing requirements
respecting the retention of records that support reports and
information required to be provided to the director under this Division;
(k) prescribing information that
must or may be made public in relation to this Division, other than
information referred to in paragraph (a) of the definition of
"protected information" in section 76.52 [confidentiality
in relation to Divisions 3 and 4];
(l) defining words or expressions
used but not defined in this Division.
(2) Section 139 [regulations
— general rules] applies for the purpose of making
regulations under this Division.
Division 5 — General
This Part does not affect authority under other Parts
76.5 Nothing in this Part affects the authority
to deal with greenhouse gases under any other Part of this Act.
Inspection powers for purposes of Divisions 3 and 4
76.51 (1) Without limiting the powers of an
officer under any other provision of this Act, for the purposes of
ensuring compliance with Division 3 [Coal-based
Electricity Generation] or 4 [Greenhouse Gas
Emissions from Electricity Generation] of this Part, and the
regulations under either of those Divisions, an officer may enter land
or premises, except premises or a part of premises occupied solely as a
private residence, at any reasonable time to conduct an inspection
related to
(a) the capture and storage, or
capture and sequestration, of greenhouse gas emissions under either of
those Divisions,
(b) the production of electricity
that may be subject to either of those Divisions, or
(c) a project or action approved as
the basis for emission offsets under section 76.43 (1) (g) [regulations
in relation to emission offsets].
(2) An officer who enters on land or
premises under subsection (1) may do any of the following:
(a) examine and take away copies of
records relating to a matter referred to in subsection (1) (a) to (c);
(b) inspect, analyze, measure,
sample or test the land or premises, or any article or substance
located on or in the land or premises, in relation to a matter referred
to in subsection (1) (a) to (c);
(c) take away samples of land,
premises, articles or substances;
(d) require that anything related
to a matter referred to in subsection (1) (a)
to (c) be operated, used or set in motion under conditions
specified by the officer;
(e) use a computer system at the
place that is being inspected to examine data, contained in or
available to the computer system, related to a matter referred to in
subsection (1) (a) to (c);
(f) record or copy by any method
any information related to a matter referred to in
subsection (1) (a) to (c);
(g) use any machine, structure,
material or equipment in the place that is being inspected as is
necessary to carry out the inspection;
(h) use copying equipment located
at the place that is being inspected to make copies to take away;
(i) take photographs or make audio
or video records.
(3) An officer who enters land or
premises in accordance with this section
(a) may take along the persons and
equipment that the officer considers may be necessary for the purposes
of the inspection, and
(b) on request, must provide proof
of identity to a person present on the land or premises entered.
(4) A person who is the subject of
an inspection under this section, or who is or was a director,
receiver, receiver manager, officer, employee, banker, auditor or agent
of a person who is the subject of an inspection under this section, on
request of an officer, must
(a) produce, without charge or
unreasonable delay, for examination by the officer any record relating
to a matter referred to in subsection (1) (a) to (c), and
(b) provide the officer with
information relevant to the purposes of the inspection.
Confidentiality in relation to Divisions 3 and 4
76.52 (1) In this section:
"protected information"
means information that would reveal
(a) trade secrets of a third party,
or
(b) commercial, financial, labour
relations, scientific or technical information of or about a third
party;
"third party"
has the same meaning as in the Freedom of Information and
Protection of Privacy Act;
"trade secret"
has the same meaning as in the Freedom of Information and
Protection of Privacy Act.
(2) Subject to this section, a
person who has access to protected information that is in the custody
or under the control of the government through
(a) reports required to be provided
by an operator under Division 3 [Coal-based Electricity
Generation] or 4 [Greenhouse Gas Emissions from
Electricity Generation] of this Part, or
(b) the exercise of powers under
section 76.51 [inspection powers for purposes of
Divisions 3 and 4] or Part 9 [Compliance]
in relation to Division 3 or 4 of this Part,
must not disclose the protected
information to any other person.
(3) The prohibition in subsection
(2) does not apply to disclosure of the following information:
(a) information that is publicly
available;
(b) information respecting the
matters referred to in section 76.31 (1) (a) and (b) [Division
3 compliance reports];
(c) information
respecting the matters referred to in section 76.41 (1) (a)
and (b) [Division 4 compliance reports];
(d) information that is required or
authorized to be made public under this Act.
(4) The prohibition in subsection
(2) does not apply to disclosure in the following circumstances:
(a) if required under Part 2 [Freedom
of Information] of the Freedom of Information and
Protection of Privacy Act;
(b) in the course of administering
or enforcing this Act or a prescribed enactment;
(c) for the purpose of court
proceedings;
(d) with the consent of the person,
group of persons or organization that is the third party in relation to
the protected information.
(Ministry of Environment)
SECTION 3: [Environmental
Management Act, section 99] adds the
described decisions respecting administrative penalties as decisions
that may be appealed to the Environmental Appeal Board.
3 Section
99 is amended by striking out "and"
at the end of paragraph (f), by adding ", and"
at the end of paragraph (g) and by adding the following paragraph:
(h) determining non-compliance
under section 115.2 [imposed administrative penalties
— failure to apply emission offsets] and the
extent of that non-compliance.
(Ministry of Environment)
SECTION 4: [Environmental
Management Act, section 100] adds the
proposed subsection (2) (b) to provide certainty that
automatic administrative penalties imposed under the proposed
section 115.1 of the Act are not appealable.
4 Section
100 (2) is repealed and the following substituted:
(2) For certainty,
(a) a decision under this Act of
the Lieutenant Governor in Council or the minister is not appealable to
the appeal board, and
(b) for the purposes of this
Division, there is no decision under section 115.1 [automatic
administrative penalties — failure to apply emission offsets].
(Ministry of Environment)
SECTION 5: [Environmental
Management Act, section 109] clarifies
wording respecting who is obliged to comply with an inspector's
requests.
5 Section
109 (6) is amended by striking out "A person
who is or was" and substituting "A
person who is the subject of an inspection under this section or who is
or was".
(Ministry of Environment)
SECTION 6: [Environmental
Management Act, section 114] allows a
restraining order to be made for a contravention of the requirements
relating to the management of greenhouse gases.
6 Section
114 is repealed and the following substituted:
Restraining orders
114
(1) If a person, by carrying on an activity or operation, contravenes
any of the following, the activity or operation may be restrained in a
proceeding brought by the minister in the Supreme Court:
(a) section 6 [waste
disposal];
(b) section 9 [hazardous
waste storage and disposal];
(c) section 10 [transportation
of hazardous waste];
(d) a suspension or cancellation
made under section 18 [suspension or cancellation of permits
and approvals];
(e) an order made under Part 4 [Contaminated
Site Remediation];
(f) section 76.2 [management
of greenhouse gases at waste management facilities];
(g) section 76.3 (1) [coal-based
generating facilities — greenhouse gases must be stored or
sequestered].
(2) The making of an order by the
court under subsection (1) in relation to a matter does not interfere
with the imposition of a penalty in respect of an offence in relation
to the same contravention.
(Ministry of Environment)
SECTION 7: [Environmental
Management Act, section 115] repeals a
provision, the effect of which is moved to the proposed section 116 of
the Act.
7 Section
115 (8) is repealed.
(Ministry of Environment)
SECTION 8: [Environmental
Management Act, sections 115.1 and 115.2]
adds additional administrative penalty authority in relation to the
proposed Part 6.1 of the Act.
8 The
following sections are added:
Automatic administrative penalties —
failure to apply emission offsets
115.1 (1) If a report under
section 76.41 [compliance reports in relation to
electricity generation] indicates that the operator of the
electricity generating facility has not complied with the obligation
under section 76.4 (b) [obligation to have net zero
emissions] within the prescribed time, the operator is
subject to the administrative penalty established by the regulations.
(2) An administrative penalty under
this section must be paid to the government on or before the date on
which the applicable report under section 76.41 is due.
Imposed administrative penalties —
failure to apply emission offsets
115.2 (1) The director must take action under
this section, in accordance with the regulations,
(a) if the director is satisfied on
a balance of probabilities that
(i) the greenhouse gas emissions
attributable to an electricity generating facility for the compliance
period were different from those reported under section 76.41 [compliance
reports in relation to electricity generation], and
(ii) as a consequence, the
operator has not complied with the obligation under section 76.4 (b) [obligation
to have net zero emissions] within the prescribed time, or
(b) if
(i) the operator of an
electricity generating facility fails to submit a report in accordance
with section 76.41, and
(ii) the director is satisfied
on a balance of probabilities that the operator has not complied with
the obligation under section 76.4 (b) [obligation
to have net zero emissions] within the prescribed time.
(2) In the circumstances referred to
in subsection (1), the director must serve the operator with an
administrative penalty notice
(a) identifying the operator's
non-compliance as determined by the director, and
(b) requiring the operator to pay
the administrative penalty established by the regulations for the
purposes of section 115.1 and specified in the notice.
(3) An operator served with an
administrative penalty notice under subsection (2) is subject to an
administrative penalty as follows:
(a) if the operator admits in
writing the non-compliance and its extent as determined by the
director, the penalty indicated in the notice is imposed at the time of
that admission;
(b) if the time for appealing the
determination of non-compliance or its extent under
section 101 [time limit for commencing appeal]
has elapsed and no appeal has been commenced, the penalty indicated in
the notice is imposed at the end of the time for appealing;
(c) if the non-compliance or its
extent as determined by the director is appealed and under the final
determination of the appeal the operator is subject to an
administrative penalty, the penalty specified in the final
determination is imposed at the time of that final determination.
(4) An administrative penalty
imposed under this section must be paid within the prescribed time
after the penalty is imposed and in accordance with any other
prescribed requirements.
(Ministry of Environment)
SECTION 9: [Environmental
Management Act, sections 116 and 117]
- by the proposed section 116 (2) and (3) of the Act,
establishes different rules for administrative penalties in relation to
the proposed Part 6.1, and
- makes changes to section 117 consequential to the
additional administrative penalty authority provided by the proposed
sections 115.1 and 115.2 of the Act.
9 Sections
116 and 117 are repealed and the following substituted:
Relationship between administrative penalties and
offences
116
(1) Subject to subsections (2) and (4),
(a) if a director issues an
administrative penalty notice to a person in respect of a contravention
or failure referred to in section 115 (1), a prosecution for an offence
under this Act in respect of the same contravention or failure may not
be brought against the person, and
(b) a person who has been charged
with an offence under this Act may not be subject to an administrative
penalty in respect of the circumstances that gave rise to the charge.
(2) A person may be prosecuted under
this Act for a contravention or failure in relation to any of the
following, even though an administrative penalty has been imposed under
section 115 in respect of the same contravention or failure:
(a) section 76.3 [coal-based
generating facilities — greenhouse gases must be stored or
sequestered];
(b)
section 76.31 (1), (2) or (3) [compliance
reports in relation to coal-based generating facilities];
(c) a regulation under
section 76.32 [regulations for purposes of Division
3 of Part 6.1];
(d)
section 76.41 (1), (2) or (3) [compliance
reports in relation to electricity generation];
(e) a regulation under
section 76.43 [regulations for purposes of Division
4 of Part 6.1].
(3) In imposing a sentence for an
offence under this Act, the court may consider an administrative
penalty imposed in relation to the same matter.
(4) An administrative penalty under
section 115 may not be imposed on a person for a contravention
or failure referred to in subsection (2) of this section in
relation to which the person has been convicted of an offence.
Recovery of administrative penalties
117
(1) Subject to a decision of the appeal board cancelling a
determination under section 115 (1) [administrative
penalties] or 115.2 [imposed administrative
penalties — failure to apply emission offsets], an
administrative penalty under this Act may be recovered as a debt due to
the government.
(2) If a person fails to pay an
administrative penalty as required under this Act, a director may file
a certificate in a court that has jurisdiction and, on filing, the
certificate has the same force and effect, and all proceedings may be
taken on it, as if it were a judgment of the court with which it is
filed.
(3) A certificate under subsection
(2) may be in the prescribed form, must be signed by the director
filing the certificate and must contain
(a) the name of the person who is
liable for the administrative penalty,
(b) particulars of the
administrative penalty, and
(c) the amount of the
administrative penalty.
(Ministry of Environment)
SECTION 10: [Environmental
Management Act, section 119] adds
regulation-making authority in relation to the proposed sections 115.1
and 115.2 of the Act.
10 Section
119 (1) is amended by adding the following paragraphs:
(b.1) in relation to administrative
penalties under section 115.1 [automatic
administrative penalties — failure to apply emission offsets],
(i) prescribing the
administrative penalty, or the manner of calculating the administrative
penalty,
(ii) respecting the manner and
process for paying an administrative penalty, and
(iii) prescribing the
consequences of failing to pay an administrative penalty, which may
include, but are not limited to, the imposition of additional
administrative penalties;
(b.2) in relation to administrative
penalties under section 115.2 [imposed
administrative penalties — failure to apply emission offsets],
(i) respecting the time limit,
manner and process for paying an administrative penalty,
(ii) prescribing the form and
content of an administrative penalty notice,
(iii) prescribing a limitation
period for imposing an administrative penalty and evidentiary matters
in relation to that period,
(iv) prescribing procedures to
be applied by the director in making a determination of non-compliance,
(v) establishing procedures for
providing a person on whom a notice of an administrative penalty has
been served with an opportunity to make representations, which may
include opportunities that do not involve an oral hearing,
(vi) prescribing the
consequences of failing to pay an administrative penalty, which may
include, but are not limited to, the imposition of additional
administrative penalties, and
(vii) providing for the
publication of information respecting the imposition of an
administrative penalty.
(Ministry of Environment)
SECTION 11: [Environmental
Management Act, section 120] by the proposed
section 120 (2) (e) and (3) (e) to (h), makes contravention of
the referenced provisions an offence under the Act.
11 Section
120 (2) and (3) is repealed and the following substituted:
(2) A person who contravenes any of
the following commits an offence and is liable on conviction to a fine
not exceeding $200 000 or imprisonment for not more than 6 months, or
both:
(a) section 9 (3) [hazardous
waste storage and disposal];
(b) section 10 (1) (a), (b) or (c)
or (2) [transportation of hazardous waste];
(c) section 11 [packaging,
product containers and disposable products];
(d) section 72 (1) or (2) [control
of air contaminants];
(e) section 76.52 (2) [confidentiality
in relation to Divisions 3 and 4 of Part 6.1];
(f) section 79 (5) [spill
prevention and reporting];
(g) section 131 (1) [confidentiality];
(h) a regulation under section 74
(1) (i), (j) or (k) [motor vehicle and engine emission
regulations]
(3) A person who contravenes any of
the following commits an offence and is liable on conviction to a fine
not exceeding $1 000 000 or imprisonment for not more
than 6 months, or both:
(a)
section 6 (2), (3) or (4) [waste disposal];
(b) section 7 (1) or (2) [hazardous
waste — confinement];
(c) section 8 [hazardous
waste disposal facility];
(d) section 9 (1) or (4) [hazardous
waste storage and disposal];
(e) section 76.2 [management
of greenhouse gases at waste management facilities];
(f)
section 76.3 (1) [coal-based generating
facilities — greenhouse gases must be stored or sequestered];
(g)
section 76.31 (1), (2) or (3) [compliance
reports in relation to coal-based generating facilities];
(h)
section 76.41 (1), (2) or (3) [compliance
reports in relation to electricity generating facilities].
(Ministry of Environment)
SECTION 12: [Environmental
Management Act, section 131] is consequential
to the proposed
section 76.52 of the Act.
12 Section
131 is amended by adding the following subsection:
(1.1) Subsection (1) does
not apply to information that is subject to section 76.52 [confidentiality
in relation to Divisions 3 and 4 of Part 6.1].
Forest Act
(Ministry of Forests)
SECTION 13: [Forest Act,
section 1]
- adds new definitions of "fibre recovery permit" and
"fibre supply licence to cut", consequential to the proposed section
47.71 of the Act,
- moves definitions of "forestry licence to cut",
"master licence to cut" and "occupant licence to cut" from individual
sections to section 1 so the definitions apply throughout the Act
without having to reference all the sections the definitions apply to,
as was the case with the former structure, and
- amends the definition of "licence to cut"
consequential to the addition of the definition of "fibre supply
licence to cut" and the relocation of the definitions of "forestry
licence to cut", "master licence to cut" and "occupant licence to cut"
by this Bill.
13 Section
1 (1) of the Forest Act, R.S.B.C. 1996, c. 157, is amended
(a) by
adding the following definitions:
"fibre recovery permit"
means a fibre recovery permit issued under a fibre supply licence to
cut entered into under this Act;
"fibre supply licence
to cut" means a licence to cut entered into under
section 47.3 (1) (b) (ii) or 47.71 (6);
"forestry licence to
cut" means a licence to cut entered into under section
47.6 (2), (2.1), (2.11), (2.2), (3), (4), (4.1) or (5);
"master licence to cut"
means a licence to cut entered into under
section 47.4 (2) (b);
"occupant licence to
cut" means a licence to cut entered into under
section 47.4 (2) (a); ,
and
(b) by
repealing the definition of "licence to cut"
and substituting the following:
"licence to cut"
means
(a) a master licence to cut,
(b) an occupant licence to cut,
(c) a forestry licence to cut, and
(d) a fibre supply licence to
cut; .
(Ministry of Forests)
SECTION 14: [Forest Act,
section 8] allows the chief forester to
specify portions of the allowable annual cut attributable to different
areas of Crown land within a timber
supply area or tree farm licence area.
14 Section
8 (5) is amended by striking out "and"
at the end of paragraph (a) and by adding the following paragraph:
(a.1) different areas of Crown land
within a timber supply area or tree farm licence area, and .
(Ministry of Forests)
SECTION 15: [Forest Act,
sections 13.1 and 13.2] provides for Crown
timber to be harvested
under a forest licence for the production of bioenergy and sets out the
process for direct awarding of the forest licence.
15 The
following sections are added:
Direct award of forest licence to produce bioenergy
13.1 (1) In this section and in sections 13.2
and 47.6:
"bioenergy"
means energy derived from Crown timber;
"bioenergy supply
contract" means an energy supply contract as defined in
section 68 of the Utilities Commission Act
(a) under which bioenergy is sold
to the British Columbia Hydro and Power Authority, and
(b) that is designated by the
minister under section 13.2 (a) as a bioenergy supply contract;
"commercial operation
date" means the date determined under a bioenergy supply
contract as the commercial operation date;
"eligible bioenergy
application" means an application for a non-replaceable
forest licence under this section that
(a) is made by an applicant
(i) who is the seller of
bioenergy under a bioenergy supply contract, and
(ii) whom the minister or a
person authorized by the minister considers to be qualified to perform
the obligations specified under subsection (2) (c),
(b) conforms to subsection (2), and
(c) is not rejected under section
81 (3) or refused under section 81 (5).
(2) An application for a
non-replaceable forest licence under this section must
(a) be in the form required by the
minister or a person authorized by the minister,
(b) specify an allowable annual cut
for the forest licence that is considered by the minister to be
consistent with the maximum allowable annual cut for a timber supply
area specified by the minister under section 13.2 (b), and
(c) include any information that
the minister or a person authorized by the minister may require about
the applicant's qualifications to
(i) carry out timber harvesting
operations under the licence, or
(ii) perform specified
obligations
(A) under the licence, or
(B) in respect of the licence or
its holder, under this Act or another enactment.
(3) On receipt of an eligible
bioenergy application, the minister or a person authorized by the
minister must approve the application.
(4) The approval of an eligible
bioenergy application under subsection (3) is revoked
(a) if the British Columbia Hydro
and Power Authority or the applicant terminates the bioenergy supply
contract before the commercial operation date, or
(b) if
(i) an approved eligible
bioenergy application is rejected under section 81 (3) or
refused under section 81 (5), and
(ii) the applicant has not
brought the application into compliance with section 81 (3) or (5), as
applicable, within 90 days following the commercial operation date.
(5) The regional manager and the
applicant of an approved eligible bioenergy application must enter into
a non-replaceable forest licence on or after the commercial operation
date if, on the commercial operation date, the application
(a) is not rejected under section
81 (3) or refused under section 81 (5), or
(b) is rejected under section 81
(3) or refused under section 81 (5) but is brought
into compliance with section 81 (3) or (5), as applicable,
within 90 days following the commercial operation date.
(6) If the applicant refuses to
enter into a forest licence under subsection (5)
(a) the approval of the eligible
bioenergy application under subsection (3) is revoked, and
(b) the minister or a person
authorized by the minister may increase the allowable annual cut
specified in an existing forest licence entered into under this section
by the volume of the allowable annual cut that was to be specified in
the forest licence the applicant refused to enter into under subsection
(5).
(7) In addition to setting out the
matters described in section 14, a forest licence entered into under
subsection (5)
(a) must provide that timber
harvested under the licence is restricted to a type of timber or
terrain, or portion of a timber supply area, and
(b) may include other terms and
conditions that the minister considers are necessary or desirable in
relation to the bioenergy supply contract.
Designation of bioenergy supply contracts
and specification of allowable annual cut
13.2 For the purposes of section 13.1, the
minister may
(a) designate an energy supply
contract as a bioenergy supply contract, and
(b) specify the maximum allowable
annual cut in a timber supply area that may be subject to one or more
bioenergy supply contracts.
(Ministry of Forests)
SECTION 16: [Forest Act,
section 47.3] provides for the regional
manager or district manager
to enter into a fibre supply licence to cut as follows:
- with a first nation, or its representative, to
implement or further an agreement between the first nation and the
government respecting certain measures;
- with a person, to mitigate the effects of a treaty, a
specification of a designated area under Part 13 of the Act or an
agreement with a first nation respecting certain measures;
- with the applicant of an approved bioenergy
application, if, in the opinion of the minister, Crown timber is
required to facilitate the production of bioenergy as specified.
16 Section
47.3 is amended
(a) in
subsection (1) by striking out "woodlot
licence or forestry licence to cut if the licence"
and substituting "woodlot licence, forestry
licence to cut or fibre supply licence to cut if",
(b) in
subsection (1) (a) by adding "the licence"
before "provides that it is entered into",
(c) in
subsection (1) (b) by adding "the licence"
before "is entered into"
and in subparagraph (iii) by striking out "economic
measures." and substituting "economic
measures, or",
(d) in
subsection (1) by adding the following paragraph:
(c) in the case of a fibre supply
licence to cut, the licence is entered into with the applicant of an
eligible bioenergy application approved under section 13.1 (3)
on or after the date the application is approved if, in the opinion of
the minister, Crown timber is required for the purpose of
(i) achieving the commercial
operation date as set out in the bioenergy supply contract associated
with the application, or
(ii) supplying Crown timber to
the power plant described in the bioenergy supply contract associated
with the application until timber is obtained under the forest licence
entered into under section 13.1 (5). ,
(e) in
subsection (3) (b) by striking out "community
salvage licence or forestry licence to cut."
and substituting "community salvage licence,
forestry licence to cut or fibre supply licence to cut.",
(f) in
subsection (4) (a) by striking out "community
salvage licence or a forestry licence to cut,"
and substituting "community salvage licence,
a forestry licence to cut or a fibre supply licence to cut,",
and
(g) by
adding the following subsections:
(5) Despite section 47.72 (1) (a),
after a fibre supply licence to cut has been entered into under
subsection (1) (c) of this section, the regional manager or
district manager may, if it furthers the objectives set out in
subsection (1) (c) (i) or (ii), and with the consent of the holder of
the licence to cut, extend the term of that licence to cut.
(6) The extension of the term of a
fibre supply licence to cut under subsection (5) must not result in the
total term of the licence to cut exceeding 10 years.
(Ministry of Forests)
SECTION 17: [Forest Act,
section 47.4] moves the definitions of
"master licence to cut" and "occupant licence to cut" to section 1 so
the definitions apply throughout the Act without having to reference
all the sections the definitions apply to, as was the case with the
former structure.
17 Section
47.4 (1) is repealed.
(Ministry of Forests)
SECTION 18: [Forest Act,
section 47.6]
(a) moves the definition of
"forestry licence to cut" to section 1 so the definition applies
throughout the Act without having to reference all the sections the
definition applies to, as was the case with the former structure,
(b) repeals the specific provision
respecting damaged timber and allows the purposes and circumstances
under which this type of timber is harvested under a forestry licence
to cut to be prescribed,
(c) provides for the following:
- under the proposed subsection (2.11), a forestry
licence to cut to be entered into with someone other than the holder of
an agreement under section 12 for the area, for the purposes of
removing felled Crown timber or processing felled Crown timber into
chips or other products, if the agreement holder provides notification
that they have completed harvesting in the area in accordance with the
proposed section 151.6 (2) of the Act;
- under the proposed subsection (4.1), the regional
manager or district manager to enter into a forestry licence to cut
with an applicant of an approved bioenergy application for the purpose
of allowing the applicant to achieve the commercial operation date or
to supply the power facility with Crown timber until timber is obtained
under the forest licence, and
(d) is consequential to the proposed
repeal of section 47.6 (2) (a) of the Act.
18 Section
47.6 is amended
(a) by
repealing subsection (1),
(b) by
repealing subsection (2) (a),
(c) by
adding the following subsections:
(2.11) The district manager may
enter into a forestry licence to cut if
(a) the forestry licence to cut
authorizes its holder, in specified areas within the area or areas of
Crown land identified in the forestry licence to cut, to do any of the
following:
(i) remove Crown timber;
(ii) process felled Crown timber
into chips or other products and remove those products, and
(b) the district manager has
received notification of harvest completion for the specified areas
referred to in paragraph (a) that are to be subject to the forestry
licence to cut from the holder of an agreement listed in section 12 who
is required to provide notification in accordance with a regulation
made under section 151.6 (2).
(4.1) The regional manager or
district manager may enter into a forestry licence to cut with the
applicant of an eligible bioenergy application approved under
section 13.1 (3) on or after the date the application is
approved if, in the opinion of the regional manager or district
manager, Crown timber is required for the purpose of
(a) achieving the commercial
operation date as set out in the bioenergy supply contract associated
with the application, or
(b) supplying Crown timber to the
power plant described in the bioenergy supply contract associated with
the application until timber is obtained under the forest licence
entered into under section 13.1 (5). ,
and
(d) in
subsection (2.2) by striking out "subsection
(2) (a) or (c)" and substituting "subsection
(2) (c) or (d)".
(Ministry of Forests)
SECTION 19: [Forest Act,
section 47.7]
(a) is consequential to the proposed
section 47.6 (2.11) of the Act, and expands the information that must
be included in a forestry licence to cut, and
(b) provides that a forestry licence
to cut may include provisions requiring licence holders to conduct
their operations in accordance with principles, standards and criteria
established by specified standard making bodies.
19 Section
47.7 is amended
(a) by
repealing paragraph (b) and substituting the following:
(b) must describe one or more areas
of land and identify for each area whether the holder may do one or
more of the following:
(i) harvest Crown timber;
(ii) cut Crown timber;
(iii) remove Crown timber;
(iv) process Crown timber and
remove the processed timber, , and
(b) by
striking out "and" at
the end of paragraph (g) and adding the following paragraph:
(g.1) may include provisions
specifying one or more standard making bodies and requiring the holder
of the licence to conduct its operations under the licence in
accordance with principles, standards and criteria established by the
standard making body or bodies, and .
(Ministry of Forests)
SECTION 20: [Forest Act,
sections 47.71 to 47.73]
- sets out the process for entering into a fibre supply
licence to cut;
- sets out the content requirements for a fibre supply
licence to cut, including the term of the licence, the amount of
stumpage and the issuance of fibre recovery permits to remove Crown
timber or process felled Crown timber into chips or other products in
specified areas, and permits the inclusion of provisions requiring
licence holders to conduct their operations in accordance with
principles, standards and criteria established by specified standard
making bodies and other terms and conditions;
- prohibits the issuance of fibre recovery permits for
a specified area until the district manager receives notification of
harvest completion by the holder of an agreement under section 12 for
that area;
- provides that merchantable Crown timber that is
removed from an area under a forestry licence to cut entered into under
section 47.6 (2.11) of the Act, or a fibre supply licence to cut, as
added by this Bill, is deemed to be harvested under the agreement of
the holder of the agreement under section 12 for the area, unless the
timber has already been attributed to the agreement.
20 The
following sections are added to Division 8.2 of Part 3:
Applications for fibre supply licence to cut
47.71 (1) On request or on his or her own
initiative the regional manager or district manager, by advertising in
the prescribed manner, may invite applications for a fibre supply
licence to cut.
(2) An application for a fibre
supply licence to cut must
(a) be made to the district manager
or regional manager, and
(b) meet prescribed requirements.
(3) The regional manager or district
manager must evaluate applications for a fibre supply licence to cut in
accordance with prescribed requirements.
(4) After evaluating applications
under subsection (3), the person who evaluated the applications may
(a) approve an application, or
(b) decline to approve all
applications.
(5) If an applicant whose
application is approved under subsection (4) neglects or declines to
enter into the fibre supply licence to cut, the regional manager or
district manager may
(a) approve the next best
application, or
(b) at the discretion of the
minister, refuse to approve any of the applications.
(6) The regional manager or district
manager must enter into a fibre supply licence to cut with every person
whose application is approved under subsection (4) or (5).
Content of a fibre supply licence to cut
47.72 (1) A fibre supply licence to cut
(a) must be for a term not
exceeding 5 years,
(b) must require its holder to pay
to the government, in addition to other amounts payable under this Act,
stumpage under Part 7,
(c) must provide for fibre recovery
permits to be issued by the district manager, or a forest officer
authorized by the district manager, within the limits provided in the
fibre supply licence to cut and subject to this Act and the Forest
and Range Practices Act, to authorize its holder in
specified areas within the area or areas of land identified in the
fibre supply licence to cut to do any of the following:
(i) remove Crown timber;
(ii) process felled Crown timber
into chips or other products and remove those products,
(d) may include provisions
specifying one or more standard making bodies and requiring the holder
of the fibre supply licence to cut to conduct its operations under the
fibre supply licence to cut in accordance with principles, standards
and criteria established by the standard making body or bodies,
(e) may include other terms and
conditions, consistent with this Act, the Forest and Range
Practices Act, the Wildfire Act and
any regulations or standards made under those Acts, determined by the
regional manager or district manager, and
(f) may include other terms and
conditions that the regional manager or district manager considers
necessary or desirable respecting operations under the fibre supply
licence to cut as they relate to the holder of an agreement listed in
section 12 who is required to provide notification in accordance with a
regulation made under section 151.6 (2).
(2) The district manager or the
forest officer authorized by the district manager must not issue to the
holder of a fibre supply licence to cut a fibre recovery permit for an
area described in subsection (1) (c) unless the district manager has
received notification of harvest completion for the specified areas
referred to in subsection (1) (c) that are to be subject to
the fibre recovery permit from the holder of an agreement listed in
section 12 who is required to provide notification in accordance with a
regulation made under section 151.6 (2).
Volume deemed to be harvested under
licence for cut control purposes
47.73 (1) Subject to subsection (2) and for the
purposes of paragraph (a) of the definition of "volume of timber
harvested" in section 75.1 (1), the amount of timber that
(a) is merchantable Crown timber,
and
(b) is removed under
(i) a forestry licence to cut
entered into under section 47.6 (2.11), or
(ii) a fibre recovery permit
issued under a fibre supply licence to cut
is deemed to be harvested under the
agreement of the agreement holder who gave the notification of harvest
completion referred to in
(c) section 47.6 (2.11) (b) in the
case of a forestry licence to cut, or
(d) section 47.72 (2) in the case
of a fibre supply licence to cut.
(2) Subsection (1) does not apply if
the amount of timber removed or harvested under the forestry licence to
cut or removed under the fibre recovery permit has already been
attributed to the agreement referred to in subsection (1) for the
purposes of paragraph (a) of the definition of "volume of timber
harvested" in section 75.1 (1).
(Ministry of Forests)
SECTION 21: [Forest Act,
heading to Division 8.3 of Part 3] amends the
Division to reflect the proposed section 47.9 of the Act, which deals
with timber subject to a waste assessment.
21 The
heading to Division 8.3 of Part 3 is repealed and the following
substituted:
Division 8.3 —
Disposition of Timber Acquired under Forestry Revitalization
Act or Subject to Waste Assessment .
(Ministry of Forests)
SECTION 22: [Forest Act,
section 47.9] provides authority to make
timber that is not harvested
or removed under an agreement listed in section 12 to be disposed of
under a forestry licence to cut entered into under section 47.6 (2.11)
of the Act, or a fibre supply licence to cut, as added by this Bill.
22 The
following section is added to Division 8.3 of Part 3:
Disposition of timber not harvested or removed under an
agreement
47.9 Timber that is not harvested or removed
under an agreement listed in section 12 and in respect of which a
notification must be given in accordance with a regulation made under
section 151.6 (2) may be the subject of
(a) a forestry licence to cut
entered into under section 47.6 (2.11), or
(b) a fibre supply licence to cut.
(Ministry of Forests)
SECTION 23: [Forest Act,
section 69] makes the language consistent
with the proposed amendment to section 8 (5) of the Act.
23 Section
69 (1) is amended by striking out "timber or
terrain or from different parts of Crown land or private land within
the tree farm licence area" and substituting "timber
or terrain in different parts of Crown land or private land within the
tree farm licence area or from different areas of Crown land within the
tree farm licence area".
(Ministry of Forests)
SECTION 24: [Forest Act,
section 72]
(a) provides for an area to which a
community forest agreement applies to be subject to a forestry licence
to cut respecting dead or damaged timber as specified, and
(b) prohibits the operation of
section 72 (9) of the Act, which deems timber to be harvested under the
licence or agreement as specified, if the timber harvested has already
been attributed to the licence or agreement.
24 Section
72 is amended
(a) in
subsection (1) by striking out "timber
licence or" and substituting "timber
licence, community forest agreement or", and
(b) by
adding the following subsection:
(10) Subsection (9) does not apply
if the amount of timber harvested under the forestry licence to cut has
already been attributed to the tree farm licence, community forest
agreement or woodlot licence of the person to whom a notice is sent
under subsection (4) for the purposes of paragraph (a) of the
definition of "volume of timber harvested" in section 75.1 (1).
(Ministry of Forests)
SECTION 25: [Forest Act,
section 73] prohibits the operation of
section 73 (8) of the Act, which deems timber to be harvested under the
forest licence as specified, if the timber harvested has already been
attributed to the licence.
25 Section
73 is amended by adding the following subsection:
(9) Subsection (8) does not apply if
the amount of timber harvested under the forestry licence to cut has
already been attributed to the forest licence of the person to whom a
notice is sent under subsection (3) for the purposes of paragraph (a)
of the definition of "volume of timber harvested" in
section 75.1 (1).
(Ministry of Forests)
SECTION 26: [Forest Act,
Division 3.01 of Part 4]
- allows the minister, by order, to specify a harvest
volume limit on types of timber or terrain or different areas of Crown
land within a timber supply area or tree farm licence area to ensure a
determination under section 8 (5) of the Act is carried out;
- requires all persons who hold a licence subject to an
order of the minister under the proposed section 75.01 (1) or (2) of
the Act, to ensure that the harvested volume under the licence does
not, during the term of an order, exceed the harvested volume limit
specified in the order;
- allows the minister to waive, revoke or amend an
order made under the proposed section 75.02 (1) or (2) of the Act;
- sets out the process for apportioning the harvested
volume under one or more licences subject to an order under the
proposed section 75.02 (1) or (2) of the Act, if those licences are
consolidated or subdivided;
- sets out the penalty for failure to comply with an
order under the proposed section 75.02 (1) or (2) of the Act and allows
the minister to grant relief from that penalty.
26 The
following Division is added to Part 4:
Division 3.01 —
Allowable Annual Cut Partition
Definitions
75.01 In this Division:
"allowable annual cut
partition" means the portion of the allowable annual cut
determined under section 8 (1) for a timber supply area or tree farm
licence area that is attributed by the chief forester under section 8
(5) to
(a) a type of timber or terrain in
parts of Crown land within the timber supply area or tree farm licence
area,
(b) different areas of Crown land
within the timber supply area or tree farm licence area, and
(c) a type of timber or terrain in
different parts of private land within the tree farm licence area;
"base-level allowable
annual cut" means the allowable annual cut that is
prescribed for the purposes of this Division;
"exempted licence"
means a licence that
(a) specifies an allowable annual
cut that is less than the base-level allowable annual cut,
(b) is a non-replaceable forest
licence that meets prescribed conditions, or
(c) is identified as an exempted
licence in the regulations by the number of the particular licence;
"harvested volume"
means the total of the following volumes, less downward adjustments to
those volumes for grade as prescribed by regulation, other than a
downward adjustment prescribed under section 75.1 (3) (a) (ii),
attributed to a licence referred to in section 75.02 that is not an
exempted licence, in cut control statements issued on behalf of the
government during the period of a minister's order under section 75.02
(1) or (2):
(a) the volume of timber cut under
the licence and under road permits associated with the licence;
(b) the volume of timber estimated
to be wasted or damaged under the licence and under road permits
associated with the licence;
(c) the volume of timber attributed
to the licence by the regional manager or district manager under a
regulation made under section 75.1 (3) (b)
or 75.11 (2) (a) if the licences subject to the
attribution are within the same timber supply area or tree farm licence
area.
Partition order
75.02 (1) If the chief forester specifies an
allowable annual cut partition for a timber supply area, the minister,
by order, may, if he or she considers it necessary to ensure the
attribution specified in the partition is carried out, specify a limit
on the harvested volume under all forest licences and forestry licences
to cut in the timber supply area that are not exempted licences for
(a) a type of timber or terrain in
parts of Crown land within the timber supply area, or
(b) different areas of Crown land
within the timber supply area.
(2) If the chief forester specifies
an allowable annual cut partition for a tree farm licence area, the
minister, by order, may, if he or she considers it necessary to ensure
the attribution specified in the partition is carried out, specify a
limit on the harvested volume under the tree farm licence and all
forest licences and forestry licences to cut in the tree farm licence
area that are not exempted licences for
(a) a type of timber or terrain in
parts of Crown land within the tree farm licence area,
(b) different areas of Crown land
within the tree farm licence area, or
(c) a type of timber or terrain in
different parts of private land within the tree farm licence area.
(3) An order made under subsection
(1) or (2) must
(a) except in prescribed
circumstances, be made within one year of the date
(i) the allowable annual cut
partition relating to the order was specified by the chief forester
under section 8 (5), or
(ii) the chief forester
postpones an allowable annual cut determination under section 8 (3.1)
for which an allowable annual cut partition was specified,
(b) be for a term not exceeding 5
years,
(c) specify the allowable annual
cut partition relating to the order, and
(d) specify the harvested volume
limit, as determined in accordance with the regulations, that licence
holders may not exceed.
(4) The regional manager must serve
a copy of an order made under subsection (1) on the holder of a licence
to which the order relates, but the order is not invalid only because
it is not served.
(5) Subject to section 75.04, all
persons who hold a licence referred to in subsection (1) or
(2) of this section must ensure that the harvested volume under the
licence does not, during the term of an order under subsection (1) or
(2) of this section, whichever is applicable, exceed the harvested
volume limit specified in the order.
Waiver of order
75.03 (1) On request of the holder of a licence
referred to in section 75.02 (1) or (2), the minister may waive the
order if the minister is satisfied that the reasons for the waiver meet
prescribed criteria.
(2) A request under subsection (1)
must
(a) be submitted within 60 days
after the date the minister made the order,
(b) be signed by, or on behalf of,
the requesting person, and
(c) specify the reasons for the
request.
Revocation or amendment of order
75.04 The minister may revoke or amend an order
made under section 75.02 (1) or (2).
Consolidation or subdivision of licences subject to an
order
75.05 (1) In this section, "licence"
means a licence referred to in section 75.02 (1) or (2) that is not an
exempted licence.
(2) If a licence is replaced under
section 19 or 39 by 2 or more other licences, the harvested volume
that, before the replacement, was charged to the replaced licence must
be charged to the other licences by allocating that volume among the
other licences by the method set out in subsection (3).
(3) The part of the harvested volume
to be allocated among each of the other licences must be determined by
multiplying that volume by the fraction obtained by dividing the
allowable annual cut of that other licence by the allowable annual cut
of the replaced licence.
(4) If 2 or more licences are
replaced under section 19 or 39 by one other licence, the harvested
volume that before the replacement was charged to the replaced licences
must be charged to the other licence.
(5) The minister must amend an order
made under section 75.02 (1) or (2) to account for an allocation of
volume under subsection (2) of this section or a charging of volume
under subsection (4) of this section.
Penalty for non-compliance with minister's order
75.06 (1) If the harvested volume limit imposed
by an order under section 75.02 (1) or (2) is exceeded, the licence
holder must pay to the government the penalty determined under
subsection (2) of this section.
(2) The penalty under subsection (1)
is the product of
(a) the volume of harvested timber
that exceeds the harvested volume limit as determined in accordance
with the regulations, and
(b) the prescribed rate.
(3) A penalty under this section is
in addition to stumpage payable or another penalty under this Act or
another enactment.
Relief from penalty
75.07 (1) On request of the holder of a licence
referred to in section 75.02 (1) or (2), the minister may grant relief
from a penalty imposed under section 75.06 if the minister is satisfied
that the reasons for the relief meet prescribed criteria.
(2) A request under subsection (1)
must
(a) be submitted within 90 days
after the date the penalty is imposed under section 75.06 (1),
(b) be signed by, or on behalf of,
the requesting person, and
(c) specify the reasons for the
request.
(Ministry of Forests)
SECTION 27: [Forest Act,
section 75.1] provides for the regulations to
prescribe percentages or amounts by which timber volumes attributed to
a licence must be adjusted downward to take into account uses of timber.
27 Section
75.1 (3) (a) is repealed and the following substituted:
(a) prescribing percentages or
amounts by which the timber volumes attributed to a licence in
statements referred to in that definition must be adjusted downward to
take into account
(i) grades and species of
timber, or
(ii) uses of timber
included in the volumes described in
subsection (2) (a) and (b), .
(Ministry of Forests)
SECTION 28: [Forest Act,
section 80] is consequential to the proposed
section 75.02 of the Act and sets out that no compensation is payable
by the government, and no proceedings may be commenced or continued to
claim compensation, respecting
the effect of an order of the minister under section 75.02.
28 Section
80 (3) is amended by striking out "under
section 75.1," and substituting "under
section 75.02, 75.1,".
(Ministry of Forests)
SECTION 29: [Forest Act,
section 94] authorizes timber that is
processed under a forestry licence to cut entered into under section
47.6 (2.11) of the Act, or a fibre supply
licence to cut, as added by this Bill, to be scaled at a specified
location.
29 Section
94 is amended by adding the following subsection:
(3.1) If, at the place where timber
is yarded to a landing or roadside, the timber is processed under a
forestry licence to cut entered into under section 47.6 (2.11) or a
fibre supply licence to cut, the processed timber may be scaled at a
location specified by the regional manager or district manager or a
forest officer authorized by either of them.
(Ministry of Forests)
SECTION 30: [Forest Act,
section 96] sets out that scaled timber must
be in cubic metres unless it is a special forest product or processed
timber which must be scaled in the unit of metric measure required by
the minister.
30 Section
96 (1) (b) is repealed and the following substituted:
(b) must express the scale
(i) in cubic metres unless
subparagraph (ii) applies, or
(ii) for special forest products
referred to in section 94 (3) or processed timber referred to in
section 94 (3.1), in the unit of metric measure required by the
minister.
(Ministry of Forests)
SECTION 31: [Forest Act,
section 103.1] provides for the Lieutenant
Governor in Council to make regulations specifying the circumstances
under which waste assessments are payable to the government in respect
of timber that could have been cut and removed under an agreement but,
at the discretion of the agreement holder, is not cut and removed.
31 Section
103.1 is amended by adding the following subsections:
(4) Despite subsections (1) to (3),
the Lieutenant Governor in Council may make regulations specifying
circumstances under which waste assessments are payable to the
government in respect of merchantable Crown timber that could have been
cut and removed under the agreement but, at the agreement holder's
discretion, is not cut and removed.
(5) If a provision in an agreement
entered into under this Act conflicts or is inconsistent with a
regulation made under subsection (4), the regulation prevails.
(Ministry of Forests)
SECTION 32: [Forest Act,
section 109] is consequential to the addition
of section 151 (11) and (12) by this Bill, in place of section 151 (2)
(e).
32 Section
109 (2) (h) is amended by striking out "section
151 (2) (e)" and substituting "section
151 (11) or (12)".
(Ministry of Forests)
SECTION 33: [Forest Act,
section 151]
(a) and (b) authorizes regulations
to be made by the Lieutenant Governor in Council respecting the
transportation of timber products, consequential to the proposed
sections 47.6 (2.11), 47.3 (1) (b) (ii) and 47.72 (1) of the Act, which
provide for timber to be processed into products, and
(c) and (d) clarifies that the
Lieutenant Governor in Council may make regulations respecting deposits
and security of any kind provided by the holder of an agreement under
section 12 to ensure the holder's performance of an obligation under
this Act or the agreement, the Forest and Range Practices Act,
the Wildfire Act or the Forest
Practices Code of British Columbia Act.
33 Section
151 is amended
(a) in
subsection (2) (d) by striking out "timber
after harvesting," and substituting "timber
after harvesting or of timber products,",
(b) in
subsection (2) (d) (i) and (iii) by adding "or
timber products" after "timber",
(c) by
repealing subsection (2) (e), and
(d) by
adding the following subsections:
(11) The Lieutenant Governor in
Council may make regulations respecting deposits and security of any
kind, including but not limited to money, to be provided by the holder
of an agreement listed in section 12 or a pulpwood agreement, to ensure
the performance of an obligation under this Act or the agreement, the Forest
and Range Practices Act, the Wildfire Act
or the Forest Practices Code of British Columbia Act.
(12) Without limiting subsection
(11), the Lieutenant Governor in Council may make regulations
respecting the following:
(a) the type of security that is
acceptable or unacceptable;
(b) the form and content of the
security;
(c) the circumstances under which
the security may be realized.
(Ministry of Forests)
SECTION 34: [Forest Act,
section 151.6] authorizes the Lieutenant
Governor in Council to make regulations as follows:
- prescribing requirements for a forestry licence to
cut entered into under section 47.6 (2.11) of the Act, or a fibre
supply licence to cut, as added by this Bill;
- requiring holders of an agreement listed in section
12 to give written notification to a district manager respecting
harvest completion for the purposes of the proposed sections 47.6
(2.11) (b) and 47.72 (2) of the Act, including time requirements,
content requirements, requirements to declare plans for usage of timber
not harvested or removed under the agreement and requirements to honour
those plans, and prohibiting an agreement holder from destroying unused
timber in specified circumstances.
34 The
following section is added:
Regulation making power for fibre supply and forestry
licence to cut
151.6 (1) The Lieutenant Governor in Council may
make regulations he or she considers necessary or desirable for the
purpose of prescribing requirements for a forestry licence to cut
entered into under section 47.6 (2.11) or a fibre supply licence to
cut, including but not limited to regulations
(a) prescribing additional
provisions to supplement the provisions of
(i) Division 8.2 of Part 3 of
this Act, or
(ii) the regulations made for
that Division
as the provisions apply in respect
of that licence to cut or its holder,
(b) varying provisions of that
Division or of regulations made for that Division as the provisions
apply in respect of that licence to cut or its holder,
(c) providing that specified
provisions of that Division or of regulations made for that Division do
not apply to or in respect of that licence to cut or its holder, and
(d) imposing conditions for the
purpose of regulations made under this section.
(2) Without limiting subsection (1)
and for the purposes of sections 47.6 (2.11) (b) and 47.72 (2), the
Lieutenant Governor in Council may make regulations as follows:
(a) requiring the holder of an
agreement listed in section 12 to give written notification to the
district manager respecting harvest completion;
(b) respecting time requirements
for the notification;
(c) respecting content requirements
for the notification including, without limitation,
(i) a declaration in respect of
timber that is not harvested or removed under the agreement indicating
the amount of that timber the agreement holder
(A) plans to sell, trade or use
for commercial purposes, and
(B) does not plan to sell, trade
or use for commercial purposes,
(ii) an estimate of the amount
of timber referred to in subparagraph (i) (B) that is
at all landings or roadsides,
(iii) a list of the activities
the agreement holder has planned for the site area that are to be
subject to the fibre recovery permit for a specified period, and
(iv) a description of any of the
agreement holder's forest management concerns;
(d) if an agreement holder
indicates in accordance with paragraph (c) (i) that the holder plans to
sell, trade or use for commercial purposes timber that was not
harvested or removed, requiring the holder to sell, trade or use that
timber as declared;
(e) prohibiting an agreement holder
from destroying timber referred to in paragraph (c) (i) in specified
circumstances.
Forest and Range Practices Act
(Ministry of Forests)
SECTION 35: [Forest and Range
Practices Act, section 108] corrects a cross
reference.
35 Section
108 (5) of the Forest and Range Practices Act, S.B.C. 2002, c. 69, is
amended by striking out "subsection (1) (b)"
and substituting "subsection (1) (d)".
(Ministry of Forests)
SECTION 36: [Forest and Range
Practices Act, section 204] is consequential
to this Bill's moving the definition of "master licence to cut" from
section 47.4 to section 1 of the Act.
36 Section
204 (3) is amended by striking out "section
47.4 (1)" and substituting "section
1 (1)".
Commencement
37
The provisions of this Act referred to in column 1 of the following
table come into force as set out in column 2 of the table:
Item |
Column 1
Provisions of Act |
Column 2
Commencement |
1 |
Anything not elsewhere covered by this table |
The date of Royal Assent |
2 |
Sections 1 to 14 |
By regulation of the Lieutenant Governor in
Counsel |
3 |
Sections 16 to 23 |
By regulation of the Lieutenant Governor in
Counsel |
4 |
Section 26 |
By regulation of the Lieutenant Governor in
Counsel |
5 |
Sections 28 to 34 |
By regulation of the Lieutenant Governor in
Counsel |
6 |
Section 36 |
By regulation of the Lieutenant Governor in
Counsel |
Explanatory Notes
Environmental Management Act
(Ministry of Environment)
SECTION 1: [Environmental
Management Act, section 1] adds a definition
for the purposes
of the proposed Part 6.1 [Greenhouse Gas Reduction]
of the Act.
SECTION 2: [Environmental
Management Act, Part 6.1] adds a new Part to
the Act that is directed to the reduction of greenhouse gases by
- requiring that greenhouse gases from waste management
facilities be managed in accordance with the regulations,
- prohibiting the introduction of prescribed greenhouse
gases from coal-based generating facilities into the environment,
unless an equivalent amount of greenhouse gas from the facility is
stored or sequestered in accordance with regulations under the Act,
- requiring electricity generating facilities to match
their emissions of greenhouse gases, other than those that are stored
or sequestered in accordance with the regulations, with emission
offsets permitted under the regulations, and
- adding inspection powers in relation to emissions
from coal-based generating facilities and other electricity generating
facilities.
SECTION 3: [Environmental
Management Act, section 99] adds the
described decisions respecting administrative penalties as decisions
that may be appealed to the Environmental Appeal Board.
SECTION 4: [Environmental
Management Act, section 100] adds the
proposed subsection (2) (b) to provide certainty that
automatic administrative penalties imposed under the proposed
section 115.1 of the Act are not appealable.
SECTION 5: [Environmental
Management Act, section 109] clarifies
wording respecting who is obliged to comply with an inspector's
requests.
SECTION 6: [Environmental
Management Act, section 114] allows a
restraining order to be made for a contravention of the requirements
relating to the management of greenhouse gases.
SECTION 7: [Environmental
Management Act, section 115] repeals a
provision, the effect of which is moved to the proposed section 116 of
the Act.
SECTION 8: [Environmental
Management Act, sections 115.1 and 115.2]
adds additional administrative penalty authority in relation to the
proposed Part 6.1 of the Act.
SECTION 9: [Environmental
Management Act, sections 116 and 117]
- by the proposed section 116 (2) and (3) of the Act,
establishes different rules for administrative penalties in relation to
the proposed Part 6.1, and
- makes changes to section 117 consequential to the
additional administrative penalty authority provided by the proposed
sections 115.1 and 115.2 of the Act.
SECTION 10: [Environmental
Management Act, section 119] adds
regulation-making authority in relation to the proposed sections 115.1
and 115.2 of the Act.
SECTION 11: [Environmental
Management Act, section 120] by the proposed
section 120 (2) (e) and (3) (e) to (h), makes contravention of
the referenced provisions an offence under the Act.
SECTION 12: [Environmental
Management Act, section 131] is consequential
to the proposed
section 76.52 of the Act.
Forest Act
(Ministry of Forests)
SECTION 13: [Forest Act,
section 1]
- adds new definitions of "fibre recovery permit" and
"fibre supply licence to cut", consequential to the proposed section
47.71 of the Act,
- moves definitions of "forestry licence to cut",
"master licence to cut" and "occupant licence to cut" from individual
sections to section 1 so the definitions apply throughout the Act
without having to reference all the sections the definitions apply to,
as was the case with the former structure, and
- amends the definition of "licence to cut"
consequential to the addition of the definition of "fibre supply
licence to cut" and the relocation of the definitions of "forestry
licence to cut", "master licence to cut" and "occupant licence to cut"
by this Bill.
SECTION 14: [Forest Act,
section 8] allows the chief forester to
specify portions of the allowable annual cut attributable to different
areas of Crown land within a timber
supply area or tree farm licence area.
SECTION 15: [Forest Act,
sections 13.1 and 13.2] provides for Crown
timber to be harvested
under a forest licence for the production of bioenergy and sets out the
process for direct awarding of the forest licence.
SECTION 16: [Forest Act,
section 47.3] provides for the regional
manager or district manager
to enter into a fibre supply licence to cut as follows:
- with a first nation, or its representative, to
implement or further an agreement between the first nation and the
government respecting certain measures;
- with a person, to mitigate the effects of a treaty, a
specification of a designated area under Part 13 of the Act or an
agreement with a first nation respecting certain measures;
- with the applicant of an approved bioenergy
application, if, in the opinion of the minister, Crown timber is
required to facilitate the production of bioenergy as specified.
SECTION 17: [Forest Act,
section 47.4] moves the definitions of
"master licence to cut" and "occupant licence to cut" to section 1 so
the definitions apply throughout the Act without having to reference
all the sections the definitions apply to, as was the case with the
former structure.
SECTION 18: [Forest Act,
section 47.6]
(a) moves the definition of
"forestry licence to cut" to section 1 so the definition applies
throughout the Act without having to reference all the sections the
definition applies to, as was the case with the former structure,
(b) repeals the specific provision
respecting damaged timber and allows the purposes and circumstances
under which this type of timber is harvested under a forestry licence
to cut to be prescribed,
(c) provides for the following:
- under the proposed subsection (2.11), a
forestry licence to cut to be entered into with someone other than the
holder of an agreement under section 12 for the area, for the purposes
of removing felled Crown timber or processing felled Crown timber into
chips or other products, if the agreement holder provides notification
that they have completed harvesting in the area in accordance with the
proposed section 151.6 (2) of the Act;
- under the proposed subsection (4.1), the
regional manager or district manager to enter into a forestry licence
to cut with an applicant of an approved bioenergy application for the
purpose of allowing the applicant to achieve the commercial operation
date or to supply the power facility with Crown timber until timber is
obtained under the forest licence, and
(d) is consequential to the proposed
repeal of section 47.6 (2) (a) of the Act.
SECTION 19: [Forest Act,
section 47.7]
(a) is consequential to the proposed
section 47.6 (2.11) of the Act, and expands the information that must
be included in a forestry licence to cut, and
(b) provides that a forestry licence
to cut may include provisions requiring licence holders to conduct
their operations in accordance with principles, standards and criteria
established by specified standard making bodies.
SECTION 20: [Forest Act,
sections 47.71 to 47.73]
- sets out the process for entering into a fibre supply
licence to cut;
- sets out the content requirements for a fibre supply
licence to cut, including the term of the licence, the amount of
stumpage and the issuance of fibre recovery permits to remove Crown
timber or process felled Crown timber into chips or other products in
specified areas, and permits the inclusion of provisions requiring
licence holders to conduct their operations in accordance with
principles, standards and criteria established by specified standard
making bodies and other terms and conditions;
- prohibits the issuance of fibre recovery permits for
a specified area until the district manager receives notification of
harvest completion by the holder of an agreement under section 12 for
that area;
- provides that merchantable Crown timber that is
removed from an area under a forestry licence to cut entered into under
section 47.6 (2.11) of the Act, or a fibre supply licence to cut, as
added by this Bill, is deemed to be harvested under the agreement of
the holder of the agreement under section 12 for the area, unless the
timber has already been attributed to the agreement.
SECTION 21: [Forest Act,
heading to Division 8.3 of Part 3] amends the
Division to reflect the proposed section 47.9 of the Act, which deals
with timber subject to a waste assessment.
SECTION 22: [Forest Act,
section 47.9] provides authority to make
timber that is not harvested
or removed under an agreement listed in section 12 to be disposed of
under a forestry licence to cut entered into under section 47.6 (2.11)
of the Act, or a fibre supply licence to cut, as added by this Bill.
SECTION 23: [Forest Act,
section 69] makes the language consistent
with the proposed amendment to section 8 (5) of the Act.
SECTION 24: [Forest Act,
section 72]
(a) provides for an area to which a
community forest agreement applies to be subject to a forestry licence
to cut respecting dead or damaged timber as specified, and
(b) prohibits the operation of
section 72 (9) of the Act, which deems timber to be harvested under the
licence or agreement as specified, if the timber harvested has already
been attributed to the licence or agreement.
SECTION 25: [Forest Act,
section 73] prohibits the operation of
section 73 (8) of the Act, which deems timber to be harvested under the
forest licence as specified, if the timber harvested has already been
attributed to the licence.
SECTION 26: [Forest Act,
Division 3.01 of Part 4]
- allows the minister, by order, to specify a harvest
volume limit on types of timber or terrain or different areas of Crown
land within a timber supply area or tree farm licence area to ensure a
determination under section 8 (5) of the Act is carried out;
- requires all persons who hold a licence subject to an
order of the minister under the proposed section 75.01 (1) or (2) of
the Act, to ensure that the harvested volume under the licence does
not, during the term of an order, exceed the harvested volume limit
specified in the order;
- allows the minister to waive, revoke or amend an
order made under the proposed section 75.02 (1) or (2) of the Act;
- sets out the process for apportioning the harvested
volume under one or more licences subject to an order under the
proposed section 75.02 (1) or (2) of the Act, if those licences are
consolidated or subdivided;
- sets out the penalty for failure to comply with an
order under the proposed section 75.02 (1) or (2) of the Act and allows
the minister to grant relief from that penalty.
SECTION 27: [Forest Act,
section 75.1] provides for the regulations to
prescribe percentages or amounts by which timber volumes attributed to
a licence must be adjusted downward to take into account uses of timber.
SECTION 28: [Forest Act,
section 80] is consequential to the proposed
section 75.02 of the Act and sets out that no compensation is payable
by the government, and no proceedings may be commenced or continued to
claim compensation, respecting
the effect of an order of the minister under section 75.02.
SECTION 29: [Forest Act,
section 94] authorizes timber that is
processed under a forestry licence to cut entered into under section
47.6 (2.11) of the Act, or a fibre supply
licence to cut, as added by this Bill, to be scaled at a specified
location.
SECTION 30: [Forest Act,
section 96] sets out that scaled timber must
be in cubic metres unless it is a special forest product or processed
timber which must be scaled in the unit of metric measure required by
the minister.
SECTION 31: [Forest Act,
section 103.1] provides for the Lieutenant
Governor in Council to make regulations specifying the circumstances
under which waste assessments are payable to the government in respect
of timber that could have been cut and removed under an agreement but,
at the discretion of the agreement holder, is not cut and removed.
SECTION 32: [Forest Act,
section 109] is consequential to the addition
of section 151 (11) and (12) by this Bill, in place of section 151 (2)
(e).
SECTION 33: [Forest Act,
section 151]
(a) and (b) authorizes regulations
to be made by the Lieutenant Governor in Council respecting the
transportation of timber products, consequential to the proposed
sections 47.6 (2.11), 47.3 (1) (b) (ii) and 47.72 (1) of the Act, which
provide for timber to be processed into products, and
(c) and (d) clarifies that the
Lieutenant Governor in Council may make regulations respecting deposits
and security of any kind provided by the holder of an agreement under
section 12 to ensure the holder's performance of an obligation under
this Act or the agreement, the Forest and Range Practices Act,
the Wildfire Act or the Forest
Practices Code of British Columbia Act.
SECTION 34: [Forest Act,
section 151.6] authorizes the Lieutenant
Governor in Council to make regulations as follows:
- prescribing requirements for a forestry licence to
cut entered into under section 47.6 (2.11) of the Act, or a fibre
supply licence to cut, as added by this Bill;
- requiring holders of an agreement listed in section
12 to give written notification to a district manager respecting
harvest completion for the purposes of the proposed sections 47.6
(2.11) (b) and 47.72 (2) of the Act, including time requirements,
content requirements, requirements to declare plans for usage of timber
not harvested or removed under the agreement and requirements to honour
those plans, and prohibiting an agreement holder from destroying unused
timber in specified circumstances.
Forest and Range Practices Act
(Ministry of Forests)
SECTION 35: [Forest and Range
Practices Act, section 108] corrects a cross
reference.
SECTION 36: [Forest and Range
Practices Act, section 204] is consequential
to this Bill's moving the definition of "master licence to cut" from
section 47.4 to section 1 of the Act.
|