Source: http://www.legislation.govt.nz/bill/government/2011/0286/latest/whole.html
Timestamp: 2019-08-24 22:25:05
Document Index: 55627246

Matched Legal Cases: ['art 1', 'art 1', 'art 2', 'art 3', 'art 4', 'art 5', 'art 5', 'art 5', 'art 6', 'art 7', 'art 5', 'art 4', 'art 5', 'art 7', 'art 4', 'art 4', 'art 5', 'art 8', 'art 5', 'art 12', 'art 6', 'art 5', 'art 5', 'art 10', 'art 12']

Canterbury Earthquake Recovery Bill 286-1 (2011), Government Bill – New Zealand Legislation
286—1
The Canterbury Earthquake Recovery Bill repeals the Canterbury Earthquake Response and Recovery Act 2010. The Bill sets out appropriate measures to enable the Minister for Canterbury Earthquake Recovery and/or the Canterbury Earthquake Recovery Authority (CERA) to facilitate and direct, if necessary, greater Christchurch and its communities to respond to, and recover from, the impacts of the Canterbury earthquakes. The Bill is founded on the need for community participation in decision-making processes while balancing this against the need for a timely and coordinated recovery process.
It is necessary to put in place stronger governance and leadership arrangements for the rebuilding and recovery of greater Christchurch from the cumulative effects of the 4 September 2010 and 22 February 2011 earthquakes. In developing the Bill to put in place new arrangements the following factors were taken on board:
the scale of the post-earthquake rebuilding effort recognising that the 22 February earthquake represents an incomparable natural disaster in New Zealand's history:
lessons learnt from international experience and from the recovery planning after the 4 September earthquake including the strong indication to have a single entity in charge of, and responsible for, the recovery efforts:
the need for timely and effective decision-making powers; and
the significant co-ordination needed between local and central government, residents of greater Christchurch, Te Runanga o Ngai Tahu, NGOs, business interests and the private sector.
The Canterbury Earthquake Response and Recovery Act 2010 expires on 1 April 2012 and so do any Orders in Council that have been made under it. The recovery effort is likely to go on for some time past this expiry date. There is therefore a need to put in place legislation that will provide for a timely and coordinated recovery effort of Christchurch and the greater Christchurch region.
This Bill recognises that current institutions simply do not have the capability to deal with a disaster of this magnitude. New institutional arrangements with specific powers and access to streamlined regulatory processes are needed to meet the challenges of recovery.
A new Public Service department, CERA, has been established, which will, under the leadership of its chief executive, coordinate the recovery effort. CERA was established under section 30A(1) of the State Sector Act 1988 by way of Order in Council, made on 29 March 2011. The Order in Council adds the department to Schedule 1 of the State Sector Act. The Public Service comprises those departments listed in Schedule 1 of the State Sector Act.
A second Order in Council was made on 29 March 2011 which places CERA onto Part 1 of Schedule 1 of the Ombudsmen Act 1975 and means that CERA will be subject to Ombudsmen Act reviews and Official Information Act requests.
The Bill sets out a series of purposes that will guide decision-making by the Minister for Canterbury Earthquake Recovery and CERA. The purposes are about ensuring that there is adequate statutory power to enable community participation in decision-making while also ensuring a focused, timely, and expedited recovery of greater Christchurch and its communities.
Input into decision-making processes
To ensure local involvement in decision making the Minister for Canterbury Earthquake Recovery and CERA will work alongside the Christchurch City Council, Environment Canterbury, Waimakariri District Council, Selwyn District Council, and Te Runanga o Ngai Tahu, business and community interests and the private sector in order that the planning processes under the Bill take into account local views. Cantabrians will also be able to provide their input via a community forum made up of representative community leaders and through a cross-party forum of Canterbury Members of Parliament that will advise the Minister for Canterbury Earthquake Recovery and CERA, as well as through public consultation processes. It is expected that, as the new planning mechanisms are developed, processes for effective community consultation will be developed. This ensures local people will have the ability to express what’s important to them in developing and carrying out the plans for rebuilding Canterbury.
Planning for the recovery of the greater Christchurch region will occur through the development of a Long-Term Recovery Strategy (Recovery Strategy) which will be developed by CERA in consultation with Christchurch City Council, Environment Canterbury, Selwyn District Council, Waimakariri District Council, Te Rūnanga o Ngāi Tahu, and other parties deemed necessary. The Recovery Strategy will set the overall direction for the recovery efforts. The purpose of the Recovery Strategy will be to address some of the high level questions that will need to be addressed for the recovery to occur in a timely and co-ordinated way. It will need to be produced within 9 months of the Act coming into force.
Underneath the Recovery Strategy will sit a series of more detailed Recovery Plans that will set out the detail of what needs to be done and how it will be implemented. Recovery Plans will be able to cover—
any social, economic, cultural, or environmental matter:
any particular infrastructure, work, or activity—
on a site-specific or wider geographic basis within greater Christchurch.
The Bill sets out provisions to enable the planning and implementation processes to be streamlined.
The Bill provides for the development of an overarching Long-Term Recovery Strategy by CERA in collaboration with key stakeholders. The purpose of the Recovery Strategy will be to address some of the high level questions that will need to be addressed for the recovery to occur in a timely and coordinated way.
The process for the development of the Recovery Plans will be determined by the Minister for Canterbury Earthquake Recovery. The Bill provides for the Minister for Canterbury Earthquake Recovery to require, as necessary, the preparation of Recovery Plans by CERA, relevant government agencies, councils, or other bodies, authorities, or entities. It is expected that processes for community consultation will be an integral component of the development of such plans. This participation, will however, need to be carefully balanced with the need for a timely, focused, and expedited recovery of greater Christchurch. The necessity for such Plans will be determined by the Minister for Canterbury Earthquake Recovery and set out in a schedule notified in the Gazette for the purpose of public notification. Recovery Plans must give effect to the Recovery Strategy.
The Bill provides for a mandatory Recovery Plan to be produced for the Christchurch commercial business district (CBD) within nine months of enactment. Christchurch City Council will lead development of the CBD Recovery Plan (including community engagement) with input from CERA, Te Runanga o Ngai Tahu, and Environment Canterbury. It is expected that Christchurch City Council will develop a consultation plan to engage the many views from within the Christchurch communities. The Minister for Canterbury Earthquake Recovery may identify other parties to be consulted in the development of this plan.
Once approved, the Bill provides for a Recovery Plan to be ‘read into’ statutory plans (including plans under the Resource Management, Local Government, Land Transport Management, Reserves and Wildlife Acts) and prevail to the extent it is inconsistent with those statutory plans.
Powers to be exercised in accordance with the purpose of the Bill
Other powers created under the Bill to ensure a focused, timely and coordinated recovery effort will need to be exercised for the specific purposes of the Bill, where the Minister or CERA reasonably consider them necessary.
These powers include but are not limited to—
the ability to obtain or require information from any source, including the commissioning of reports:
powers to enter onto land, remove fixtures and fittings, perform work on land, construct structures on or under that land, leave and maintain structures on or under that land and register its interest in those structures:
the discretionary power to close roads and divert traffic:
the power of entry and removal, including demolition powers for commercial and possibly residential demolition project (both in CBD and suburbs):
the power to require land to be temporarily vacated so work can be coordinated (which may involve buildings being demolished):
the power to acquire land through a process of compulsory acquisition:
the ability to approve certain council or organisation contracts, over a certain threshold, if necessary; and
the ability to suspend, amend, cancel, delay, any council plans and policies.
These are mainly reserve powers, only to be used if they are necessary. Checks will be in place to guard against the inappropriate use of the powers given to the Minister and CERA. The powers provided to the Minister and CERA will only be available for the duration of the legislation, a period of 5 years, but the need for the Act to be continued will be reviewed annually.
Significant checks and balances have been built into the Act to ensure that powers are only exercised in accordance with the purpose of the Act and only if reasonably necessary. As well as the exercise of a statutory power being subject to judicial review, the Bill also contains other significant protections, such as—
the power to require information can only be used where the information can be provided without unreasonable difficulty or expense:
before disseminating information the chief executive must consider the privacy principles under the Privacy Act 1993 and the need to protect confidential and commercially sensitive information:
the person exercising the power of entry must produce evidence of authorisation and where practicable must exercise it at a reasonable time and give prior notice of entry:
before exercising a survey power the chief executive must consult with the Surveyor-General, and a dispute mechanism has been introduced where land owners disagree with the survey decision:
in undertaking building works, etc a notice is required to be served on owners, occupiers and other persons with an interest in the land:
the powers of direction and call-in rights do not include the ability to collect rates or take any action or make any decisions affecting rates:
notice of an intention to acquire land is required:
persons who have had their land compulsorily acquired or a building demolished will be entitled to compensation:
any person may appeal to the High Court against a determination of compensation, against any decision in respect to which there is a right of appeal or objection under the Resource Management Act 1991 or from a dispute over a survey definition decision.
There is another, significant, control in this Bill. The Minister must prepare and present to the House a quarterly report on the operation of this Act. And each report must include a description of the powers exercised by or on behalf of the Minister or the chief executive under this Act during that period.
While the Bill is to replace the Canterbury Earthquake Response and Recovery Act 2010, it retains the statutory scheme that permits the Governor-General to make Orders in Council on the recommendation of the relevant Minister to exempt, modify or extend provisions of any enactment.
It is necessary to retain this Order in Council process as it is not possible to anticipate every power or statutory provision that may require to be amended to achieve the purposes of the Act. When the Order in Council process was first introduced it attracted some criticism. However its operation has been largely successful and proportionate. Other than one case involving an unsuccessful attempt to halt the demolition of a heritage building, the process has not been the subject of successful judicial challenge. This is due in no small part to the careful way in which the process has been managed. This is illustrated by the fact that not all requests for Orders in Council have been granted.
As with the previous Act, Orders in Council may only be used where necessary and fit within the purpose of the Act. Another significant control is the requirement under the Bill for there to be a Canterbury Earthquake Recovery Review Panel. The panel is to comprise members with relevant expertise and appropriate skills, to review draft Orders in Council, and provide to the Minister a report that includes the panel’s recommendation as to whether the Order in Council is appropriate.
CERA will not assume any role, functions, or powers specifically provided for within the Civil Defence Emergency Management Act. If another emergency occurs in greater Christchurch, the Civil Defence Emergency Management framework will prevail for the response period. The response roles and functions of agencies such as the New Zealand Police, New Zealand Fire Service, and the New Zealand Defence Force will not be altered. Any recovery from a new emergency event would fall within the new framework proposed in this Bill for the period this framework is in place.
The State Services Commission produced a regulatory impact statement on 25 March 2011 to help inform the main policy decisions taken by the Government relating to the contents of this Bill.
http://www.cera.govt.nz/downloads
Clause 3 sets out the purposes of the Bill. In particular, the Bill is—
to provide appropriate measures to ensure that greater Christchurch and the councils and their communities respond to, and recover from, the impacts of the Canterbury earthquakes:
to enable community participation in the planning of the recovery of affected communities without impeding a focused, timely, and expedited recovery:
to enable a focused, timely, and expedited recovery:
to facilitate, co-ordinate, and direct the planning, rebuilding, and recovery of affected communities, including the repair and rebuilding of land, infrastructure, and other property:
to restore the social, economic, cultural, and environmental well-being of greater Christchurch communities.
Clause 4 defines terms used in the Bill. Terms of particular importance to the application of the Bill are—
Canterbury earthquakes, which means any earthquake in Canterbury on or after 4 September 2010, and includes any aftershock:
CERA, which means the Canterbury Earthquake Recovery Authority, and chief executive, which means the chief executive of CERA:
greater Christchurch, which means the districts of the Christchurch City Council, the Selwyn District Council, and the Waimakariri District Council:
responsible entity, which means the chief executive, a council, a council organisation, a department of the Public Service, an instrument of the Crown, a Crown entity, a requiring authority, or a network utility operator:
RMA document, which means a regional policy statement, a proposed regional policy statement, a proposed plan, a plan, or a change or variation to any of those documents under the Resource Management Act 1991.
Functions and powers to assist recovery and rebuilding
Subpart 1—Input into decision making by community and cross-party forums
Clause 6 provides for a community forum.
Clause 7 provides for a cross-party parliamentary forum to be held in relation to the operation of this Bill.
Subpart 2—Minister and chief executive of CERA
Clause 8 sets out functions of the Minister.
Clause 9 sets out functions of the chief executive.
Clause 10 relates to the roles of the Minister for Canterbury Earthquake Recovery and the chief executive of CERA. They must ensure that, when they exercise or claim their powers, rights, and privileges under this Bill, they do so in accordance with the purposes of the Bill.
Subpart 3—Development and implementation of planning instruments
Clause 11 requires the chief executive of CERA to prepare, for the Minister's approval, a Recovery Strategy for greater Christchurch. This document is an overarching, long-term strategy for the reconstruction, rebuilding, and recovery of greater Christchurch.
Clause 12 relates to the process for developing a Recovery Strategy.
Clause 13 provides for a draft Recovery Strategy to be publicly notified.
Clause 14 provides for changes to a Recovery Strategy.
Clause 15 specifies the legal effect of a Recovery Strategy on RMA documents and other planning instruments. A Recovery Strategy is read into the other documents and instruments and prevails if there is any inconsistency between them.
Clause 16 provides for the preparation of Recovery Plans for all or part of greater Christchurch, as directed by the Minister. Recovery Plans will be developed by responsible entities.
Clause 17 provides for a dedicated Recovery Plan for the CBD, which must be developed within 9 months of the commencement of this Bill.
Clause 18 provides for public notification of a draft Recovery Plan for the CBD.
Clause 19 allows a Recovery Plan to be developed ahead of the Recovery Strategy and subsequently reviewed once the Recovery Strategy is in place. A Recovery Plan must be consistent with the Recovery Strategy.
Clause 20 relates to the process for developing draft Recovery Plans.
Clause 21 provides for the approval of a draft Recovery Plan by the Minister.
Clause 22 provides for changes to a Recovery Plan.
Clause 23 requires the councils not to act inconsistently with a Recovery Plan once it is notified in the Gazette.
Clause 24 requires councils to amend their RMA documents if required by a Recovery Plan.
Clause 25 provides that section 88A(1A) of the Resource Management Act 1991 does not apply to an application for a resource consent for an activity specified in a Recovery Plan. Section 88A(1A) applies if the type of activity for which a resource consent is sought alters after the application is lodged, and the effect of that provision is that the application must be processed, considered, and decided as an application for the type of activity that it was for at the time the application was first lodged.
Clause 26 provides for the amendment of other planning documents if required by a Recovery Plan. This clause relates to—
annual plans, long-term plans, and triennial agreements under the Local Government Act 2002:
regional land transport strategies and regional land transport programmes under the Land Transport Management Act 2003:
the New Zealand Transport Agency's recommendations under section 18I of the Land Transport Management Act 2003:
regional public transport plans adopted under section 9 of the Public Transport Management Act 2008:
general policies approved under section 17B of the Conservation Act 1987 or section 15A of the Reserves Act 1977, conservation management strategies approved under section 17F of the Conservation Act 1987 and section 40A of the Reserves Act 1977, conservation management plans approved under section 17G of the Conservation Act 1987 or section 40B of the Reserves Act 1977, management plans approved under section 41 of the Reserves Act 1977, conservation management plans approved under section 14E of the Wildlife Act 1953, and any other management plan for a reserve under any other enactment.
Provisions affecting councils and others
Clause 27 enables the Minister to suspend, amend, or revoke planning documents of councils and other agencies, and to suspend or cancel resource consents, use rights, and certificates of compliance for activities.
Clause 28 provides for certain council contracts to require the chief executive's consent.
Subpart 4—Further provisions
Information gathering, reports, and investigations
Clause 29 enables the chief executive to gather information.
Clause 30 enables the chief executive to disseminate information.
Clause 31 enables the chief executive to commission reports.
Clause 32 enables the chief executive to conduct investigations.
Clause 33 gives the chief executive a power of entry for the purposes of this Bill and enables him or her to authorise others to exercise it. However, a warrant signed by a District Court Judge must be obtained if practicable before entering a marae or an occupied dwellinghouse.
Clause 34 provides for the exercise of the power of entry under clause 33.
Clause 35 provides for the approval of cadastral survey datasets for the purposes of this Bill.
Clause 36 provides for surveys for the purposes of this Bill.
Clause 37 provides for disputes arising out of surveys to be dealt with under clause 68.
Clause 38 enables the chief executive to carry out or commission works, including demolition, for the purposes of this Bill.
Clause 39 contains provisions relating to demolition or other work.
Clause 40 provides for compensation for the demolition of buildings in certain circumstances and for the assignment of insurance rights.
Clause 41 provides for compensation for damage to other property caused by the demolition of a building.
Clause 42 prescribes an offence of failing comply with a notice given under clause 38(4)(a) or 39(1)(c). The penalty is a fine of up to $200,000.
Clause 43 provides for the subdivision of land.
Clause 44 enables the chief executive to erect temporary buildings and authorise their use.
Clause 45 enables the chief executive to restrict access to areas and buildings.
Clause 46 enables the chief executive to close roads temporarily or stop roads.
Clause 47 prescribes an offence of contravening a restriction or prohibition imposed under clause 46. The penalty is,—
in the case of an individual, imprisonment for a term not exceeding 3 months or a fine not exceeding $5,000, or both:
in the case of a body corporate, a fine not exceeding $50,000.
Clause 48 enables the chief executive to give directions for the purposes of this Bill. A direction can require that a person take a particular action or stop taking a particular action.
Clause 49 enables the Minister to require a council or council organisation to perform or exercise specified responsibilities, duties, or powers within a specified time.
Clause 50 provides for the Minister to issue a call-in notice if a council or council organisation does not comply with a notice under clause 49. This will enable the Minister to deal with the matter concerned.
Provisions relating to real or personal property
Clause 51 enables the chief executive to require adjoining owners to act for the benefit of other adjoining owners.
Clause 52 sets out the chief executive's powers to acquire and dispose of land and other property.
Clauses 53 to 58 and Schedule 1 provide for the compulsory acquisition of land for the purposes of this Bill and provide for residential land taken in the CBD or any land taken in greater Christchurch outside the CBD to be offered back to the former owners if no longer required.
Subpart 5—Compensation for land acquired, and demolition of buildings
Clause 59 provides that subpart 5 applies if—
land is compulsorily acquired under this Bill; or
Clause 60 defines compensation for the purposes of subpart 5. Compensation is for actual loss, but not insured losses.
Clause 61 provides that a person who suffers a loss resulting from the compulsory acquisition of land under this Act is entitled to compensation from the Crown.
Clause 62 relates to the procedure for claiming compensation. A claim must be lodged within 2 years after the exercise of the power in question.
Clause 63 provides that the Minister will determine whether compensation is payable and the amount to be paid.
Clause 64 requires that claims be determined within a reasonable period.
Clause 65 provides that the exercise of power under this Act is not affected by a claim for compensation.
Clause 66 provides that this Act does not confer any right to compensation except as provided in this subpart.
Subpart 6—Appeal rights
Clause 67 provides that there is no appeal against a decision of the Minister or the chief executive under this Bill, except as provided for in clauses 68 and 69.
Clause 68 provides for an appeal to the High Court—
against a determination of compensation:
against a decision of a Minister under clause 23(2):
against a decision on an application for a resource consent or a notice of requirement for an activity or use that is specified in a Recovery Plan as being subject to this section, and in respect of which a person would otherwise have a right of appeal or objection under the Resource Management Act 1991:
against a decision under the Resource Management Act 1991 that has been called in by the Minister under this Act:
in respect of a dispute referred to in clause 37 (surveys).
Clause 69 provides a right of appeal to the Court of Appeal against a decision of the High Court under clause 68. An appeal lies as of right if the appeal is on a point of law, otherwise the appeal will be heard only with leave granted by the Court of Appeal.
In the case of an appeal referred to in clause 68(1)(a) (which relates to determinations about compensation) there is a further right of appeal to the Supreme Court on a question of law, but only with leave granted by the Supreme Court.
Subpart 7—Delegated legislation
This subpart (clauses 70 to 75) largely carries over the provisions in the Canterbury Earthquake Response and Recovery Act 2010 relating to the making of Orders in Council. A new feature (in clauses 71 and 72) is the creation of a Canterbury Earthquake Recovery Review Panel of 4 persons to review draft Orders in Council before the relevant Ministers can recommend them to Cabinet and the Executive Council. The Regulations (Disallowance) Act 1989 will apply to Orders in Council made under this Bill.
Clauses 76 to 80 provide for compliance orders.
Clause 81 allows courts and tribunals to extend or shorten time limits for the purposes of this Bill.
Clause 82 protects persons who carry out functions or exercise powers under the Bill.
Clause 83 validates actions taken under the Civil Defence Emergency Management Act 2002 by the National Controller, the Director, or any person acting under their authority while the state of national emergency was in force for Christchurch in 2011, except actions taken in bad faith or with gross negligence.
Clause 84 provides for the continuation of authorisations, directions, requirements, restrictions, or prohibitions made under the Civil Defence Emergency Management Act 2002 by the National Controller or the Director while the state of national emergency was in force in respect of Christchurch in 2011. The measures concerned have effect for 12 weeks after the commencement of this Bill unless brought to an end earlier by the Minister or the chief executive.
Clause 85 ensures that the emergency management framework under the Civil Defence Emergency Management Act 2002 will not be affected by this Bill if an emergency occurs in greater Christchurch while this Bill is in force.
Clause 86 enables Crown contracts and other undertakings to be transferred to a council.
Clause 87 requires the Minister to present quarterly reports on the operation of the Bill to the House of Representatives.
Clause 88 repeals the Canterbury Earthquake Response and Recovery Act 2010, validates things done under that Act or done under an Order in Council made under that Act, and continues those orders that have not expired.
Clause 89 and Schedule 2 amend the expiry dates of a number of Orders in Council made under the Canterbury Earthquake Response and Recovery Act 2010.
Clause 90 dissolves the Canterbury Earthquake Recovery Commission.
Clause 91 provides for annual reviews of the Bill.
Clause 92 provides that the Bill expires after 5 years and Orders in Council made under or continued by it will also expire then (unless they expire or are revoked sooner).
Schedule 1 prescribes a form to be used for the purposes of the compulsory acquisition of land under the Bill.
Schedule 2 sets out amendments to Orders in Council (see clause 63A).
7 Cross-party forum
8 Functions of Minister
10 Powers to be exercised for purposes of this Act
11 Chief executive to develop Recovery Strategy for Minister's approval
12 Process for developing Recovery Strategy
13 Public notification of draft Recovery Strategy
14 Changes to Recovery Strategy
15 Effect of Recovery Strategy
16 Recovery Plans generally
17 Recovery Plan for CBD
18 Public notification of draft Recovery Plan for CBD
19 Relationship between Recovery Plans and Recovery Strategy
20 Development of Recovery Plans
21 Approval of Recovery Plans
22 Changes to Recovery Plan
23 Councils not to act inconsistently with Recovery Plan on and from its notification
24 Councils to amend documents if required
25 Section 88A(1A) of Resource Management Act 1991 not to apply
26 Relationship to other instruments
27 Suspension of plan, etc
28 Council contracts that require chief executive's consent
29 Requiring information to be given
30 Dissemination of information
31 Commissioning reports
33 Authorised person may enter premises
34 Exercise of power of entry
35 Approval of cadastral survey datasets
36 New surveys
37 Disputes
39 Provisions relating to demolition or other works
40 Compensation for demolition of buildings
41 Compensation for damage to other property caused by demolition of building
42 Offences relating to works
43 Subdividing land, etc
44 Temporary buildings
45 Access to areas or buildings
46 Closing and stopping roads, etc
47 Offences relating to roads
48 Directions to take or stop taking action
49 Minister may require council or council organisation to perform function, etc
50 Call-in notices
51 Power to direct owner to act for benefit of adjoining owners
52 Acquiring or disposing of property
53 Notice of intention to take land
55 Proclamation to be registered
56 Vacant possession
57 Certain land must be offered back
58 Application of Ngāi Tahu Claims Settlement Act 1998
Subpart 5—Compensation under this Act
59 When this subpart applies
60 Meaning of compensation
61 Entitlement to compensation
62 Procedure for claiming compensation
63 Minister determines compensation
64 Time for making determination
65 Exercise of power unaffected by claim for compensation
66 No compensation except as provided by this Act
68 Exceptions to exclusion of appeals
69 Appeal from High Court and in some cases from Court of Appeal
70 Governor-General may make Orders in Council for purpose of Act
Canterbury Earthquake Recovery Review Panel
71 Canterbury Earthquake Recovery Review Panel
72 Function of Canterbury Earthquake Recovery Review Panel
73 Procedure for recommending Order in Council
74 Further provisions about Orders in Council
75 Regulations (Disallowance) Act 1989 applies
76 Power of chief executive to order compliance
77 Service of compliance order
78 Appeal to High Court
79 Appeal to Court of Appeal
80 Offence of breaching compliance order
81 Power of courts to extend or shorten time
82 Protection from liability
83 Actions of emergency management personnel
84 Continuation of emergency management measures
85 Civil defence emergency management not affected by this Act if further emergency occurs
86 Transfer of Crown contracts, etc
87 Quarterly report on operation of this Act
88 Repeal and savings
89 Orders in Council amended
90 Commission dissolved
91 Annual reviews of Act
92 Expiry and revocations
This Act is the Canterbury Earthquake Recovery Act 2011.
(a) to provide appropriate measures to ensure that greater Christchurch and the councils and their communities respond to, and recover from, the impacts of the Canterbury earthquakes:
(b) to enable community participation in the planning of the recovery of affected communities without impeding a focused, timely, and expedited recovery:
(c) to provide for the Minister and CERA to ensure that recovery:
(d) to enable a focused, timely, and expedited recovery:
(e) to enable information to be gathered about any land, structure, or infrastructure affected by the Canterbury earthquakes:
(h) to provide adequate statutory power for the purposes stated in paragraphs (a) to (g):
(i) to repeal and replace the Canterbury Earthquake Response and Recovery Act 2010.
building consent has the same meaning as in section 7 of the Building Act 2004
Canterbury Earthquake Recovery Review Panel means the Canterbury Earthquake Recovery Review Panel appointed under section 71
Canterbury earthquakes means any earthquake in Canterbury on or after 4 September 2010, and includes any aftershock
CBD means the area bounded by—
(a) the 4 avenues that are Bealey Avenue, Fitzgerald Avenue, Moorhouse Avenue, and Deans Avenue; and
(b) Harper Avenue
CERA means the Canterbury Earthquake Recovery Authority
chief executive means the chief executive of CERA
council means the Christchurch City Council, the Canterbury Regional Council (Environment Canterbury), the Selwyn District Council, or the Waimakariri District Council
dangerous building means a building—
(a) that is likely to cause—
(b) where, in the event of fire, injury or death to any persons in the building or to persons on other property is likely because of fire hazard or the occupancy of the building
enactment has the same meaning as in section 29 of the Interpretation Act 1999 and also includes any plan, programme, bylaw, or rule made under any Act
greater Christchurch means the districts of the Christchurch City Council, the Selwyn District Council, and the Waimakariri District Council
modify, in relation to a provision or liability, includes disapplying or suspending the provision or liability
network utility operator has the same meaning as it has in section 2(1) of the Resource Management Act 1991
public notice or publicly notify means a notice published—
(a) in the Gazette; or
(b) in a newspaper circulating in the area to which the notice relates
rebuilding includes—
(a) extending, repairing, improving, subdividing, or converting any land, infrastructure, or other property; and
(b) rebuilding communities
recovery includes restoration and enhancement
Recovery Plan means a Recovery Plan approved under section 21(2)
Recovery Strategy means a Recovery Strategy approved under section 11(2)
(a) in relation to an enactment other than this Act, means the Minister who is, with the authority of the Prime Minister, for the time being responsible for the administration of the enactment:
(b) in relation to a bylaw made by a territorial authority or regional council, means the Minister who is, with the authority of the Prime Minister, for the time being responsible for the administration of the Act under which the bylaw is made
responsible entity means the chief executive, a council, a council organisation, a department of the Public Service, an instrument of the Crown, a Crown entity, a requiring authority, or a network utility operator
(a) means any of the following under the Resource Management Act 1991:
(i) a regional policy statement:
(ii) a proposed regional policy statement:
(iii) a proposed plan:
(iv) a plan; and
(b) includes a change or variation to any document mentioned in paragraph (a).
(2) In this Act, unless the context otherwise requires, abatement notice, designation, enforcement order, heritage order, resource consent, and rule have the same meanings as in section 2(1) of the Resource Management Act 1991.
(1) The Minister must arrange for a community forum to be held for the purpose of providing him or her with information or advice in relation to the operation of this Act.
(2) The Minister must invite at least 20 persons who are suitably qualified to participate in the forum.
(3) The Minister must ensure that the forum meets at least 6 times a year.
(4) The Minister and the chief executive must have regard to any information or advice he or she is given by the forum.
(1) The Minister must arrange for a cross-party parliamentary forum to be held from time to time for the purpose of providing the Minister with information or advice in relation to the operation of this Act.
(2) The Minister must invite the following Members of Parliament to participate in the forum:
(a) members whose primary place of residence, as determined under the Parliamentary Service Act 2000, is in greater Christchurch:
(b) members elected to represent a constituency in the greater Christchurch area.
The Minister has the following functions for the purpose of giving effect to this Act:
(a) establishing a community forum in accordance with section 6 and a cross-party parliamentary forum in accordance with section 7:
(b) approving a Recovery Strategy for greater Christchurch under section 11:
(c) reviewing the Recovery Strategy and approving any changes to it under section 14:
(d) directing the development of, and matters to be covered by, Recovery Plans for all or part of greater Christchurch under section 16:
(e) approving Recovery Plans and the review and changes to them under sections 21 and 22:
(f) suspending, amending, or revoking the whole or parts of RMA documents, resource consents, and other instruments in greater Christchurch in accordance with section 27:
(g) directing a council to carry out certain functions of the council within a specified timeframe under section 49:
(h) issuing a call-in notice under section 50 and assuming certain responsibilities, duties, or powers of the council if a timeframe under that section is not complied with:
(i) compulsorily acquiring land in accordance with subpart 4:
(j) determining compensation in accordance with subpart 5:
(k) appointing a Canterbury Earthquake Recovery Review Panel under, and for the purposes outlined in, subpart 7 regarding development of delegated legislation:
(l) reporting to the House of Representatives on the operation of the Act in accordance with sections 87 and 91:
(m) any other functions provided in this Act.
The chief executive has the following functions for the purpose of giving effect to this Act:
(a) developing a Recovery Strategy for submission to the Minister in accordance with section 11:
(b) reviewing and preparing amendments of a Recovery Strategy in accordance with section 14:
(c) developing a Recovery Plan if directed to do so by the Minister in accordance with section 16:
(d) consenting to specified types of contracts that councils may enter in to under section 28:
(e) requiring the provision of information, disseminating information, commissioning reports, and carrying out investigations under subpart 4:
(f) exercising qualified powers to enter property in accordance with sections 33 and 34:
(g) directing the approval of cadastral survey datasets by Land Information New Zealand and processes for the issuing of computer registers by the Registrar-General of Land under sections 35 and 36:
(h) carrying out and commissioning building, demolition, and removal work under subpart 4:
(i) restricting access to specified buildings and areas under section 45:
(j) partially or totally closing roads or restricting access to roads in accordance with section 46:
(k) giving directions to councils or council organisations under section 48:
(l) giving directions to a property owner where they have a sufficiently linked interest to act for the benefit of an adjoining owner under section 51:
(m) acquiring, selling, and otherwise dealing with land and property under section 52:
(n) receiving claims for compensation under subpart 5:
(o) applying to the High Court for compliance orders where compliance with a direction has not occurred, under subpart 8:
(p) giving effect to other matters that may be delegated to him or her by the Minister:
(q) any other functions provided in this Act.
(1) The Minister and the chief executive must ensure that when they each exercise or claim their powers, rights, and privileges under this Act they do so in accordance with the purposes of the Act.
(2) The Minister and the chief executive may each exercise or claim a power, right, or privilege under this Act where he or she reasonably considers it necessary.
(3) The chief executive may from time to time, either generally or particularly, delegate to any employee of, or person seconded to, CERA any of the functions or powers of the chief executive under this Act or any other Act, including functions or powers delegated to the chief executive under any Act.
(1) The chief executive must develop a Recovery Strategy and submit the document to the Minister for his or her approval.
(2) The Minister may approve a Recovery Strategy.
(3) The Recovery Strategy is an overarching, long-term strategy for the reconstruction, rebuilding, and recovery of greater Christchurch, and may (without limitation) include provisions to address—
(a) the areas where rebuilding or other redevelopment may or may not occur, and the possible sequencing of rebuilding or other redevelopment:
(b) the location of existing and future infrastructure and the possible sequencing of repairs, rebuilding, and reconstruction:
(c) the nature of the Recovery Plans that may need to be developed and the relationship between the plans:
(d) any additional matters to be addressed in particular Recovery Plans, including who should lead the development of the plans.
(4) The Recovery Strategy must be developed in consultation with Christchurch City Council, Environment Canterbury, Selwyn District Council, and Waimakariri District Council, Te Rūnanga o Ngāi Tahu, and any other persons or organisations that the Minister considers appropriate.
(5) The Minister must notify his or her approval in the Gazette.
(1) The process for the development of a draft Recovery Strategy must include 1 or more public hearings, as determined by the chief executive, at which members of the public may appear and be heard.
(2) A draft Recovery Strategy must be developed within 9 months after the date on which this Act comes into force.
(1) The chief executive must ensure that a draft Recovery Strategy is publicly notified.
(a) advise where the document can be viewed; and
(b) invite members of the public to make written comments on the document in the manner and by the date specified in the notice.
(1) The Minister or the chief executive may from time to time review a Recovery Strategy and may propose that it be amended or replaced.
(2) Following a review, the chief executive must prepare the appropriate documentation giving effect to the proposed action and submit it to the Minister for approval under section 11.
(3) Section 11(4) and (5) apply to any amendment or replacement of a Recovery Strategy.
(4) The Minister may amend a Recovery Strategy to correct any minor errors, and need not use any formal process when doing so.
(1) No RMA document or instrument referred to in section 26(2), including any amendment to the document or instrument, that applies to any area within greater Christchurch may be interpreted or applied in a way that is inconsistent with a Recovery Strategy.
(2) On and from the Minister's notification in the Gazette of his or her approval of a Recovery Strategy, the Recovery Strategy—
(a) is to be read together with and forms part of the document or instrument; and
(b) prevails where there is any inconsistency between it and the document or instrument.
(3) No provision of the Recovery Strategy, as incorporated in an RMA document under subsection (2)(a), may be reviewed, changed, or varied under Schedule 1 of the Resource Management Act 1991.
(1) The Minister may direct 1 or more responsible entities to develop a Recovery Plan for all or part of greater Christchurch for his or her approval.
(2) The direction must specify the matters to be dealt with by the Recovery Plan, which matters may include provision, on a site-specific or wider geographic basis within greater Christchurch, for—
(a) any social, economic, cultural, or environmental matter:
(b) any particular infrastructure, work, or activity.
(3) A responsible entity may request that the Minister direct it to develop a Recovery Plan.
(4) Where the Minister directs the development of a Recovery Plan, he or she must ensure that the direction is notified in the Gazette together with a list of all other Recovery Plans being developed or in force.
(1) A Recovery Plan for the whole or part of the CBD must be developed, and the Christchurch City Council, in consultation with the affected communities, must lead the development of this plan.
(2) CERA, Environment Canterbury, and Te Rūnanga o Ngāi Tahu must have the opportunity to provide an input into the development of the Recovery Plan for the CBD.
(3) The Minister may require the Christchurch City Council to enable other specified persons or organisations to have the opportunity to provide an input into the development of the Recovery Plan for the CBD.
(4) A draft Recovery Plan for the CBD must be developed within 9 months after the date on which this Act comes into force.
(5) The process for the development of the proposed Recovery Plan for the CBD must include 1 or more public hearings, as determined by the Christchurch City Council, at which members of the public may appear and be heard.
(1) The Minister must ensure that the draft Recovery Plan for the CBD is publicly notified.
(1) A Recovery Plan must be consistent with the Recovery Strategy.
(2) However, a Recovery Plan may be developed and approved before the Recovery Strategy is approved.
(3) If a Recovery Plan is developed before the Recovery Strategy is approved, the Minister must direct that the plan—
(a) be reviewed by the chief executive once the Recovery Strategy has been approved; and
(b) be amended as required to ensure that it is not inconsistent with the Recovery Strategy.
(4) The Minister may direct a further review and amendment of a Recovery Plan whenever the Recovery Strategy is amended.
(5) Amendments under this section must be made using the processes the Minister considers appropriate.
(1) The Minister may, subject to sections 17 and 18, determine how Recovery Plans are to be developed, including any requirements as to consultation or public hearings.
(2) In acting under subsection (1), the Minister must have regard to—
(a) the nature and scope of the Recovery Plan; and
(b) the needs of people affected by it; and
(c) the possible funding implications and the sources of funding; and
(d) the need to act expeditiously; and
(e) the need to ensure that the Recovery Plan is consistent with other Recovery Plans.
(3) Neither the Minister nor any responsible entity has a duty under this Act to consult any person about the development of a Recovery Plan, except as provided under this section or in section 17.
(4) Nothing in section 32 or Schedule 1 of the Resource Management Act 1991 applies to the development or consideration of a Recovery Plan.
(1) Following the development and consideration of a draft Recovery Plan, the Minister may—
(a) make any changes, or no changes, to the draft Recovery Plan as he or she thinks fit; or
(b) withdraw all or part of the draft Recovery Plan.
(2) The Minister may approve a Recovery Plan having regard to the impact, effect, and funding implications of the Recovery Plan.
(3) The Minister must give reasons for any action taken under subsection (1) or (2).
(4) The Minister must, as soon as practicable after deciding to approve a Recovery Plan under subsection (2),—
(a) give notice in the Gazette of the issuing of the Recovery Plan and where it can be inspected; and
(b) publicly notify the Recovery Plan in whatever form he or she thinks appropriate; and
(c) present a copy of the Recovery Plan to the House of Representatives.
(1) The Minister may from time to time review a Recovery Plan and amend or replace the Recovery Plan.
(2) Action may be taken under subsection (1) using the processes the Minister considers appropriate.
(3) The Minister may amend a Recovery Plan to correct any minor errors, and need not use any formal process when doing so.
(1) On and from the notification of a Recovery Plan in the Gazette, a council must not make a decision or recommendation that is inconsistent with the Recovery Plan on any of the following matters under the Resource Management Act 1991:
(a) an application for resource consent for a discretionary or non-complying activity (whether or not the application was first lodged after the Recovery Plan was gazetted):
(b) a notice of requirement (whether or not notice was given after the Recovery Plan was gazetted):
(c) an application to transfer a resource consent under section 135, 136, or 137:
(d) an application to change or cancel the conditions of a resource consent under section 127:
(e) a review of a resource consent under section 128:
(f) the preparation, change, variation, or review of an RMA document under Schedule 1.
(2) A council may request the Minister to consider and decide whether a decision or recommendation referred to in subsection (1) would be inconsistent with a Recovery Plan.
(3) A council may appeal in accordance with section 68 against a decision under subsection (2).
(1) Despite anything to the contrary in Part 5 of the Resource Management Act 1991, a council must amend an RMA document, if a Recovery Plan directs so,—
(a) to include specific objectives, policies, and methods set out in the Recovery Plan; or
(b) to remove any objectives, policies, or methods in the document that the Recovery Plan identifies for deletion; or
(c) to change or vary any objectives, policies, or methods in the document to give effect to provisions of the Recovery Plan.
(2) A council must make the amendments referred to in subsection (1)(a) or (b) as soon as practicable without using the process in Schedule 1 of the Resource Management Act 1991 or any other formal public process.
(3) A council must make the amendments referred to in subsection (1)(c) within the time specified in the Recovery Plan or (if not specified) as soon as practicable, in accordance with a public process determined by the Minister.
(4) To avoid doubt, nothing in section 32 or Schedule 1 of the Resource Management Act 1991 applies to action taken under this section.
(5) Despite clause 21 of Schedule 1 of the Resource Management Act 1991, only the Minister may request a change or variation to any amendment made under subsection (1).
(6) Nothing in section 85 of the Resource Management Act 1991 applies in respect of any amendment to an RMA document under this section.
Nothing in section 88A(1A) of the Resource Management Act 1991 applies in respect of any application for a resource consent for any activity specified in a Recovery Plan.
(1) The instruments to which this subsection applies, so far as they relate to greater Christchurch, must not be inconsistent with a Recovery Plan approved by the Minister.
(a) annual plans, long-term plans, and triennial agreements under the Local Government Act 2002, except a funding impact statement in an annual plan or a long-term plan:
(b) regional land transport strategies and regional land transport programmes under the Land Transport Management Act 2003:
(c) the New Zealand Transport Agency's recommendations under section 18I of the Land Transport Management Act 2003:
(d) regional public transport plans adopted under section 9 of the Public Transport Management Act 2008:
(e) all or any of the following:
(i) general policies approved under section 17B of the Conservation Act 1987 and general policies approved under section 15A of the Reserves Act 1977:
(ii) conservation management strategies approved under section 17F of the Conservation Act 1987 and section 40A of the Reserves Act 1977:
(iii) conservation management plans approved under section 17G of the Conservation Act 1987 and conservation management plans approved under section 40B of the Reserves Act 1977:
(iv) management plans approved under section 41 of the Reserves Act 1977:
(v) conservation management plans approved under section 14E of the Wildlife Act 1953:
(vi) any other management plan for a reserve under any other enactment.
(3) A Recovery Plan—
(a) is to be read together with and forms part of the instruments to which subsection (1) applies; and
(b) prevails where there is any inconsistency between it and an instrument.
(4) If required by a Recovery Plan, the responsible entity must amend the instrument to give effect to the provisions of the Recovery Plan.
(5) A responsible entity must make the amendments referred to in subsection (4) in accordance with a process (if any) determined by the Minister.
(1) The Minister may, by public notice, suspend, amend, or revoke the whole or any part of the following, so far as they relate to any area within greater Christchurch:
(a) an RMA document:
(b) a plan or policy of a council under the Local Government Act 2002, except a funding impact statement in an annual plan or a long-term plan:
(c) a regional land transport strategy or regional land transport programme under the Land Transport Management Act 2003:
(d) all or any of the following:
(vi) any other management plan for a reserve under any other enactment:
(e) a bylaw made under any Act.
(2) The Minister may, by public notice, suspend or cancel, in whole or in part, any of the following for an activity within greater Christchurch:
(a) any resource consent:
(b) any use protected or allowed under section 10, 10A, or 10B of the Resource Management Act 1991:
(c) any certificate of compliance under that Act.
(3) The Minister must, if practicable, notify persons directly affected by action taken under subsection (2) by giving them an appropriate written notice.
(4) The Minister may, by public notice,—
(a) revoke any changes or variations approved to a plan under the Conservation Act 1987, the Land Transport Management Act 2003, the Local Government Act 2002, the Reserves Act 1977, or the Wildlife Act 1953; or
(b) impose a moratorium on further changes or variations for a specified period.
(5) If a resource consent is cancelled or revoked, in whole or in part, under this section and the chief executive at his or her discretion so directs,—
(a) the person who carried out or did not carry out the activity remains liable for the performance of any condition under the consent; and
(b) the whole or part of any bond paid under section 108 of the Resource Management Act 1991 must be retained.
(6) The Minister may, by public notice, vary or revoke a notice given under subsection (1) or (4).
(7) No compensation is payable under this Act in respect of any action taken under this section.
(1) The chief executive of CERA may, by notice to a council, specify the types of contracts for which the consent of the chief executive of CERA must be obtained before the contract is entered into.
(2) The chief executive of the council must ensure that a contract of a type specified in a notice under subsection (1) is not entered into until he or she has obtained the chief executive of CERA's written consent to the contract.
(3) The chief executive of CERA may consent or refuse to consent to a contract submitted to him or her under this section.
(4) A contract is unenforceable and of no effect if it is entered into in breach of this section.
(1) The chief executive may, by notice in writing, require any person to give the chief executive any information described in subsection (2).
(2) The information concerned is information that is—
(a) in the possession of the person who is asked to give the information; and
(b) capable of being provided without unreasonable difficulty or expense.
(3) Nothing in this section overrides legal professional privilege.
(1) The chief executive may disseminate information and advice on matters relating to work and activities under this Act.
(2) Before exercising the power conferred by subsection (1), the chief executive must consider the privacy principles under the Privacy Act 1993 and the value of protecting confidential and commercially sensitive information.
The chief executive may commission any reports that he or she considers appropriate.
The chief executive may investigate any matter or cause any matter to be investigated.
(1) The chief executive or any person acting under the authority of the chief executive may enter on, and if necessary break into, any premises or place within greater Christchurch if he or she believes on reasonable grounds that the action is necessary for all or any of the following purposes:
(a) inspecting the premises or place:
(b) permitting or facilitating the carrying out of any work or measure under this Act:
(c) exercising or performing any function, duty, or power under this Act.
(2) However, no marae or occupied dwellinghouse may be entered without the authority of a warrant issued by a District Court Judge on the written application of the chief executive made on oath, unless in the circumstances it is not reasonably practicable to obtain a warrant.
(3) A Judge may issue a warrant under subsection (2) if satisfied that entry to the premises is necessary for all or any of the purposes referred to in subsection (1).
(4) A warrant under subsection (2) must be in the prescribed form or (in the absence of a prescribed form) a form approved by the Judge.
(1) The power conferred by section 33 includes the power to take and remove samples and to remove objects other than personal effects, but the person exercising the power to take items must leave on the premises or at the place entered a notice of the items taken.
(2) A person authorised to enter on any premises or place under section 33 must produce evidence of the authorisation or produce the warrant, as the case requires, if requested to do so, and must leave a notice of entry in a prominent place.
(3) A person exercising the power to enter any premises or place under this section must, if practicable, enter the premises or place at a reasonable time and give prior notice of entry.
(1) The chief executive may direct the chief executive of Land Information New Zealand to approve a cadastral survey dataset for the purposes of the Cadastral Survey Act 2002, and any other enactment that refers to the approval of a cadastral survey dataset or survey plan.
(2) Before making a direction under subsection (1), the chief executive must consult the Surveyor-General.
(3) Compliance with a direction under subsection (1) is deemed to be compliance for the purposes of section 9(a) of the Cadastral Survey Act 2002 and any other enactment specified in the direction.
(4) The Surveyor-General must comply with a direction under subsection (1) in relation to a reference in any other enactment to approval of a cadastral survey dataset and that compliance is deemed to be compliance for the purposes of that enactment.
(5) A cadastral surveyor carrying out work to which subsection (1) applies is not liable for any non-compliance with standards set under section 49 of the Cadastral Survey Act 2002, to the extent that the non-compliance was necessary for the purposes of this Act.
(a) the chief executive gives a direction under section 35(1); or
(b) in any other case, there is a legal requirement to notify any adjoining owners that a cadastral survey dataset is to be deposited under section 167 of the Land Transfer Act 1952.
(2) The chief executive may direct the Registrar-General of Land to seek the consent of the adjoining landowners to the new survey definition.
(3) If the adjoining owners give their consent, the Registrar-General of Land may deposit the cadastral survey dataset and issue new computer registers accordingly.
(4) If an adjoining owner fails to respond within 10 working days (or any further period allowed by the chief executive) after the date of service of the request for consent or refuses to consent, the chief executive may direct the Registrar-General of Land to issue a new computer register limited as to parcels upon deposit of the cadastral survey dataset.
(5) Section 167(3) of the Land Transfer Act 1952 (application of the provisions of Part 12 of that Act relating to computer registers that are limited as to parcels) applies to any computer register issued and limited as to parcels in accordance with a direction under subsection (4).
(6) The chief executive may direct the Registrar-General of Land to disapply the application of section 205(4) of the Land Transfer Act 1952 in respect of any computer register issued and limited as to parcels in accordance with subsection (4), and the Registrar-General of Land must remove the limitation as to parcels from the relevant computer register.
(7) Subsection (6) is subject to any relevant determination by a court under subpart 6.
(1) If an adjoining owner wishes to dispute a survey definition determined under section 36, the dispute must be heard and determined in accordance with section 68 and treated as an appeal against a direction under section 36(6).
(2) Any dispute against the lodgement of a caveat under section 205(4) of the Land Transfer Act 1952 against a computer register that is issued limited as to parcels in accordance with a direction under section 36(4) must be heard and determined in accordance with section 68(1) to (4) and (6) and treated as an appeal.
(1) The chief executive may carry out or commission works.
(2) The works include (without limitation)—
(a) the erection, reconstruction, placement, alteration, or extension of all or any part of any building, structure, or other erection on or under land:
(b) the demolition of all or part of a building, structure, or other erection on or under land:
(c) the removal and disposal of any building, structure, or other erection on or under land, or material.
(3) The chief executive may remove fixtures and fittings from any building.
(4) If the chief executive gives written notice to an owner of a building, structure, or other erection on or under land that demolition work is to be carried out there,—
(a) the owner must give notice to the chief executive within 5 days after the chief executive's notice is given stating that the owner intends to carry out the works and specifying a time within which the works will be carried out; and
(b) if the owner fails to give notice under paragraph (a) or the chief executive is not satisfied with the time specified, or the works are not carried out in the agreed time, then—
(i) the chief executive may commission the carrying out of the works; and
(ii) the chief executive may recover the costs of carrying out the work from the owner in accordance with section 40(1) in the case of the demolition of a dangerous building; and
(iii) the amount recoverable becomes a charge on the land on which the work was carried out.
(5) To avoid doubt, works under this section may be undertaken on or under public or private land, and with or without the consent of the owner or occupier.
(6) To avoid doubt, this section does not override any requirements for resource consents or building consents that may apply to works under this section, but any such requirements may be varied by Orders in Council made under this Act
(1) This section applies if any works are to be carried out under section 38.
(a) put up a hoarding or fence to prevent people from approaching works nearer than is safe:
(b) attach in a prominent place on, or adjacent to, the works a notice that warns people not to approach the works:
(c) by written notice direct an owner, occupier, or other person to leave the works or land for a specified period or until further notice:
(d) give written notice of the work to be carried out.
(3) If practicable, a copy of a notice under subsection (2)(d) must be given to—
(a) the owner of the building or land; and
(b) every occupier of the building or land; and
(c) every person who has an interest in the land on which the works are situated that is registered under the Land Transfer Act 1952; and
(d) every person claiming an interest in the land that is protected by a caveat lodged and in force under section 137 of the Land Transfer Act 1952.
(4) If it is necessary to enter any land to carry out any work, any notice under subsection (2)(d) to the occupier must be given not less than 24 hours in advance.
(5) No notice needs to be given under subsection (4) if the work is necessary because of—
(a) sudden emergency causing or likely to cause—
(i) loss of life or injury to a person; or
(ii) damage to property; or
(iii) damage to the environment; or
(b) danger to any works or adjoining property.
(6) The chief executive must ensure that, if the power in subsection (5) is exercised, the occupier and, if the occupier is not the owner, the owner of the land or building are informed of the exercise of that power as soon as practicable.
(7) Any notice under subsection (2)(c) must be given at least 1 month in advance, but there is no right of appeal or objection against the notice.
(1) If the chief executive demolishes a dangerous building,—
(a) the Crown is not liable to compensate the owner or any tenant or other occupier of the building; and
(b) the chief executive may recover the cost of demolition from the owner.
(2) If the chief executive demolishes a non-dangerous building in order to demolish a dangerous building,—
(a) the Minister may, in his or her discretion, agree to compensate the owner or any tenant or other occupier of the non-dangerous building for a loss resulting from the demolition of the non-dangerous building, if—
(i) the loss is insured or partially insured and the Minister is satisfied that the owner or tenant or other occupier has taken all reasonable steps to recover the loss under the contract of insurance within a reasonable timeframe (as determined by the Minister); and
(ii) the owner or tenant or other occupier assigns their interest under the contract of insurance, in so far as the contract allows, to the Crown in the form required by the Minister; and
(b) the chief executive may not recover the cost of demolition from the owner or anyone else.
(3) If the chief executive demolishes a non-dangerous building and subsection (2) does not apply,—
(a) the Crown is liable to compensate the owner or any tenant or other occupier of the building; and
(4) Claims under this section must be made and determined in accordance with this section and subpart 5.
(5) If the owner or tenant or other occupier assigns their interest under the contract of insurance to the Crown under subsection (2)(a)(ii), the Crown succeeds to all rights, entitlements, and benefits that the owner or tenant or other occupier has or may have against the insurer.
(1) The Crown is liable to pay compensation for negligent physical loss or damage caused to other property that results directly from the demolition of a building by the chief executive, except for damage to property that is in or on or under or part of a dangerous building.
(2) Claims under this section must be made and determined in accordance with this section and subpart 5.
(1) A person commits an offence if the person fails to comply with section 38(4)(a) or with a notice given under section 39(2)(c).
(2) A person who commits an offence under this section is liable to a fine not exceeding $200,000.
(1) The chief executive may subdivide, resubdivide, amalgamate, improve, and develop all or any land acquired by the Crown under this Act.
(2) Nothing in section 11 or Part 10 of the Resource Management Act 1991 applies to any subdivision under this clause.
(1) Despite any other enactment, the chief executive may—
(a) erect or authorise the erection and use of temporary buildings on any public reserve, private land, road, or street and provide for their removal; and
(b) validate the erection and use of any temporary building on any public reserve, private land, road, or street and provide for its removal, and in that case the erection and use of the building (whether it occurred before or after the commencement of this Act) must be treated as having been authorised by this section.
(2) No building consent or resource consent is required for the erection or use of any temporary building under subsection (1).
(3) If practicable, the chief executive must consult the relevant road controlling authority before exercising a power under this section in relation to a road.
(1) The chief executive may, for such period as he or she considers necessary, totally or partially prohibit or restrict public access, with or without vehicles, to any road or public place within greater Christchurch.
(2) The chief executive may close a road or divert or control the traffic on any road while any work or investigation affecting the road is being undertaken.
(3) The chief executive may, by giving public notice or in any other manner that he or she determines, stop any road or part of a road in greater Christchurch.
(4) The stopping of a road under subsection (3) has effect as if the road had been stopped in accordance with section 342 and Schedule 10 of the Local Government Act 1974 and as if the chief executive were a council within the meaning of that section.
(5) If practicable, the chief executive must consult the relevant road controlling authority before exercising a power under this section in relation to a road.
(6) To avoid doubt,—
(a) there is no right of appeal or objection against a decision made under subsection (3):
(b) nothing in section 345 of the Local Government Act 1974 applies to the disposal of land resulting from a stopping of a road under this section.
(1) A person commits an offence if the person contravenes a restriction or prohibition imposed under section 46.
(2) A person who commits an offence under this section is liable,—
(a) in the case of an individual, to imprisonment for a term not exceeding 3 months or to a fine not exceeding $5,000, or both:
(1) The chief executive may direct any local authority or council organisation to take or stop taking any action, or to make or not to make a decision.
(2) Subsection (1) applies (without limitation) to any action or inaction that is required, authorised, or prevented by or under—
(a) a resource consent that is current or has expired, whether or not the consent has been or is being exercised; or
(b) section 9 or 124 of the Resource Management Act 1991; or
(c) an abatement notice or enforcement order; or
(d) a rule in a plan that permits an activity; or
(e) a designation or heritage order; or
(f) a certificate of compliance under that Act; or
(g) an existing use protected or allowed under section 10, 10A, or 10B of that Act.
(3) Despite subsection (1), the chief executive must not direct any local authority to—
(a) set a rate under section 23 of the Local Government (Rating) Act 2002; or
(b) take any action or make any decision in relation to rates described in a funding impact statement included in an annual plan or a long-term plan under the Local Government Act 2002.
(4) A local authority or council organisation must comply with directions given under subsection (1).
(1) The Minister may, by written notice to a council or council organisation, require it to perform or exercise specified responsibilities, duties, or powers of the council or organisation within the time specified by the Minister.
(2) However, a notice under subsection (1) must not apply to any responsibilities, duties, or powers of a council—
(a) under section 23 of the Local Government (Rating) Act 2002; or
(b) in relation to rates described in a funding impact statement included in an annual plan or long-term plan under the Local Government Act 2002.
(1) If a council or council organisation has not complied with a notice given under section 49, the Minister may assume the responsibilities, duties, or powers specified in the notice by issuing a call-in notice.
(2) A call-in notice must specify the responsibilities, duties, or powers assumed by the Minister and be given to the council or council organisation concerned.
(3) The council or council organisation concerned must not do anything inconsistent with the terms of the call-in notice.
(4) The Minister must relinquish any responsibility, duty, or power taken under subsection (1) as soon he or she is satisfied that the need for it has passed.
(5) The Minister must, as soon as practicable after issuing a call-in notice, present a copy to the House of Representatives.
If the chief executive considers that the owners of any 2 or more adjoining properties have sufficiently linked interests in relation to those properties as a result of any of the Canterbury earthquakes, he or she may direct any of them to act for the benefit of any other adjoining owners in the manner specified by the chief executive.
(1) The chief executive may, in the name of the Crown, purchase or otherwise acquire, hold, sell, exchange, mortgage, lease, and dispose of land and personal property.
(2) Subsection (3) applies if land acquired by the chief executive is no longer required for that purpose and is available for disposal.
(3) To avoid doubt, nothing in section 40 of the Public Works Act 1981 applies to the disposal of land to which this subsection applies, whether by sale, exchange, or otherwise, except as provided in section 57.
(4) The Minister may, by notice in the Gazette, declare land held under this Act to be set apart for a Government work in terms of the Public Works Act 1981.
(5) The Minister may, by notice in the Gazette, declare land held for a public work in terms of the Public Works Act 1981 to be held under this Act.
(1) The Minister may acquire land compulsorily by causing a notice of intention to take land in the name of the Crown to be published in the Gazette and twice publicly notified, which notice must give—
(a) a general description of the land required to be taken (including the name of and number in the road or some other readily identifiable description of the place where the land is situated); and
(b) a description of the purpose for which the land is to be used.
(2) The Minister must serve on the owner of, and persons with a registered interest in, the land a notice of the intention to take the land in the form set out in Schedule 1, unless it is impracticable to do so.
(3) The Minister must lodge a copy of the relevant notice in the Gazette under subsection (1) with the Registrar-General of Land, who must register it without fee against the computer register affected.
(4) Any notice under this section may be withdrawn by the Minister, and, if it is withdrawn, a notice to that effect must be lodged with the Registrar-General of Land, who must register it without fee against the computer register to the land.
(5) To avoid doubt, there is no right of objection to a notice of intention to take land.
(6) A notice of intention to take land under this section ceases to have effect on the expiration of 3 years after the date of the publication of the relevant notice in the Gazette unless, on or before the expiration of that period,—
(a) a Proclamation taking the land has been published in the Gazette; or
(b) the Minister has, by further notice in writing served on the owner of the land intended to be taken, and persons with a registered interest in the land, confirmed the intention of taking the land.
(7) If the Minister has confirmed the intention of taking the land, the notice of intention so confirmed ceases to have effect unless, on or before the expiration of 2 years after the date of that confirmation, a Proclamation taking the land has been published in the Gazette.
(1) If the Minister considers that land should be taken in the name of the Crown, the land intended to be taken may be taken in accordance with this section.
(2) If necessary, a cadastral survey dataset showing accurately the position and extent of the land to be taken must be prepared and be lodged with the chief executive of Land Information New Zealand for the purposes of the Cadastral Survey Act 2002.
(3) So long as the relevant notice in the Gazette has been registered in accordance with section 53(3), the Minister may recommend that the Governor-General issue a Proclamation taking the land.
(4) The Governor-General may, if he or she thinks fit, by Proclamation declare that the land described in it is taken in the name of the Crown.
(5) Every Proclamation under this section must be published in the Gazette and publicly notified within 1 month after the date of its making, and every such public notification must contain some readily identifiable description of the land taken, but a Proclamation is not invalidated by any error, defect, or delay in its gazetting or public notification.
(6) Unless otherwise provided in the Proclamation or in this Act or in any other Act, the land specified in a Proclamation under this section becomes absolutely vested in fee simple in the Crown and freed and discharged from all mortgages, charges, claims, estates, or interests of whatever kind, on the 14th day after the day on which the Proclamation is published in the Gazette.
(7) If land is compulsorily acquired under this section, the Crown succeeds to all rights, entitlements, and benefits that the owner has or may have against—
(a) the insurer of the land;
(b) the insurer of any building or other property on the land.
(1) The Minister must lodge every Proclamation with the Registrar-General of Land, who must register it without fee against the computer register to the land.
(2) If the land is not subject to the Land Transfer Act 1952, the Register-General of Land must enter the Proclamation in the index book of the Deeds Register Office and upon such registration the land becomes subject to the Land Transfer Act 1952.
(3) An error in any Proclamation does not of itself prevent registration in respect of titles to land validly affected.
(4) If land is not subject to the Land Transfer Act 1952 and dealings with it are not registrable under the Deeds Registration Act 1908, the Proclamation must be lodged with the Surveyor-General to be recorded in the cadastre.
(5) To avoid doubt, the registration of a Proclamation does not result in the cancellation of the title affected.
If the owner or occupier fails to give vacant possession of the land specified in a Proclamation under section 54 within 1 month following the publication of the Proclamation in the Gazette, the Minister may seek an order from the High Court directing the owner or occupier to give vacant possession.
(1) This section applies if any residential land in the CBD, or any land in greater Christchurch outside the CBD, is compulsorily acquired under section 54.
(2) If the chief executive wishes to exercise his or her power under this Act to dispose of land to which this section applies, the chief executive must offer to sell the land by private contract to the person from whom it was acquired or that person's successor—
(a) at the current market value of the land as determined by a valuation carried out by a registered valuer; or
(b) if the chief executive considers it reasonable to do so, at any lesser price.
(a) the chief executive considers that to offer the land back would be impracticable, unreasonable, or unfair; or
(b) the land is to be set apart for a Government work under section 52(4).
(4) Section 40(2A), (4), and (5) of the Public Works Act 1981 applies with all necessary modifications to an offer back under this section.
(1) Nothing in this Act affects the operation of the Ngāi Tahu Claims Settlement Act 1998.
(2) To avoid doubt, if the chief executive wishes to exercise his or her power under this Act to dispose of land to which that Act applies, he or she must do so in accordance with the Ngāi Tahu Claims Settlement Act 1998.
This subpart applies if—
(a) land is compulsorily acquired under this Act; or
(b) compensation is payable under section 40 or 41.
(a) means compensation for actual loss; but
(b) except as provided by this Act, does not include compensation for—
(i) a loss by an insurer arising from a liability to indemnify:
(ii) any part of a loss that is insured:
(iii) any part of a loss that ought reasonably to have been insured:
(iv) a consequence of regulatory change arising from the operation of this Act causing loss:
(v) cancellation of an existing resource consent that has already been exercised:
(vi) cancellation of an existing use right:
(vii) economic or consequential loss:
(viii) loss of personal property exceeding $20,000 in value:
(ix) business interruption:
(x) any other loss that the Minister reasonably considers is unwarranted and unjustified.
A person who suffers loss resulting from a matter referred to in section 59 is entitled to compensation from the Crown.
(1) A claim for compensation under this subpart must be lodged by sending or delivering to CERA a properly completed claim in a form provided by the chief executive.
(2) The claim must be lodged within 2 years after the exercise of the power in question.
(1) The Minister must determine—
(a) whether compensation is payable; and
(b) the amount of compensation to be paid.
(2) Compensation is determined,—
(a) in the case of the compulsory acquisition of land, as at the date of the compulsory acquisition; and
(b) in any other case, as at a date determined by the Minister.
(3) For compensation for the compulsory acquisition of land, the Minister must determine compensation having regard to its current market value.
(4) Before making a final determination under subsection (1), the Minister must give a claimant a reasonable opportunity to appear before the Minister or the Minister's delegate to make representations as to the nature of the claim and the amount of compensation payable.
(5) A claimant may make representations under subsection (4) personally or though a representative (including a lawyer, accountant, or other expert).
The Minister must ensure that claims for compensation are determined within a reasonable period.
(1) Nothing in this Act, apart from this subpart or section 41, confers any right to compensation or is to be relied on in any proceedings as a basis for any claim to compensation.
(2) Nothing in section 185 of the Resource Management Act 1991 applies in relation to any matter to which this subpart applies.
(1) There is no right of appeal against a decision of the Minister or the chief executive acting, or purporting to act, under this Act, except as provided in sections 68 and 69.
(2) A proceeding must not be brought, and a court must not hear any proceeding, that is in breach of this section.
(3) Despite anything to the contrary in the Resource Management Act 1991, while this Act is in force nothing in section 16 or 17 or Part 12 of the Resource Management Act 1991 applies to an activity or use that has been the subject of a decision of a type described in section 68(1)(c) or (d) in relation to that matter.
(4) Despite anything to the contrary in the Resource Management Act 1991, while this Act is in force there is no right of appeal under the Resource Management Act 1991 against a decision of a type described in section 68(1)(c) or (d), except as provided in sections 68 and 69.
(5) To avoid doubt, subsection (4) does not apply to or affect appeals or objections commenced under that Act before the commencement of this Act.
(6) To avoid doubt, there is no right of appeal, whether under this Act or the Resource Management Act 1991, against any decision under section 17, 19, 21, 22, 24, 27, or 43.
(1) Any person may appeal to the High Court—
(a) against a determination of compensation under section 63; or
(b) against a decision of a Minister under section 23(2); or
(c) against a decision on an application for a resource consent or a notice of requirement for an activity or use that is specified in a Recovery Plan as being subject to this section, and in respect of which a person would otherwise have a right of appeal or objection under the Resource Management Act 1991; or
(d) against a decision under the Resource Management Act 1991 that has been called in by the Minister under this Act; or
(e) in respect of any dispute referred to in section 37.
(2) For the purposes of hearing an appeal under subsection (1), the court may appoint 1 or more suitably qualified persons (including an Environment Commissioner or other expert) to assist it by giving advice if the court considers that it is desirable to have expert assistance.
(3) The advisers must give their advice in the manner that the court may direct during the proceeding on any question referred to them.
(4) The advice is information provided to the court; and may be given the weight that the court thinks fit.
(5) An appeal under this section must be brought in accordance with the rules of court, except that the appeal must be brought within 10 working days after the decision appealed against is given.
(6) Any decision to which an appeal relates has full effect unless and until set aside by a court.
(1) An appeal to the Court of Appeal may be brought against a decision of the High Court in a case referred to in section 68,—
(a) as of right, on a substantive question of law:
(b) on any other question, only with the leave of the Court of Appeal, to be given if that court considers the appeal necessary in the interests of justice.
(2) An appeal under this section must be brought in accordance with the rules of court, except that the appeal must be brought within 10 working days after the decision appealed against is given.
(3) The decision of the Court of Appeal is final in the case of any appeal referred to in section 68(1)(b) to (e).
(4) In the case of an appeal referred to in section 68(1)(a), an appeal from the Court of Appeal to the Supreme Court may be brought against a decision of the Court of Appeal on a question of law with the leave of the Supreme Court given under the Supreme Court Act 2003.
(1) The Governor-General may from time to time, by Order in Council made on the recommendation of the relevant Minister, make any provision that is reasonably necessary or expedient for all or any of the purposes stated in section 3(a) to (g).
(2) An Order in Council made under subsection (1) may grant exemptions from, modify, or extend any provisions of any enactment for all or any of the purposes stated in section 3(a) to (g).
(3) The enactments that may be the subject of an Order in Council that does anything referred to in subsection (2) include (without limitation) the following:
(a) the Building Act 2004:
(b) the Cadastral Survey Act 2002:
(c) the Civil Defence Emergency Management Act 2002:
(d) the Commerce Act 1986:
(e) the Earthquake Commission Act 1993:
(f) the Health Act 1956:
(g) the Health and Disability Services (Safety) Act 2001:
(h) the Historic Places Act 1993:
(i) the Land Transport Act 1998:
(j) the Land Transport Management Act 2003:
(k) the Local Government Act 1974:
(l) the Local Government Act 2002:
(m) the Local Government Official Information and Meetings Act 1987:
(n) the Local Government (Rating) Act 2002:
(o) the Public Works Act 1981:
(p) the Rating Valuations Act 1998:
(q) the Reserves Act 1977:
(r) the Resource Management Act 1991:
(s) the Road User Charges Act 1977:
(t) the Social Security Act 1964:
(u) the Soil Conservation and Rivers Control Act 1941:
(v) the Transport Act 1962:
(w) the Waste Minimisation Act 2008.
(4) An exemption from, modification of, or extension of a provision—
(a) may be absolute or subject to conditions; and
(i) by stating alternative means of complying with the provision; or
(ii) by substituting a discretionary power for the provision.
(5) To avoid doubt, an exemption from, modification of, or extension of a provision may be for the purposes of enabling the relaxation or suspension of provisions in enactments that—
(a) may divert resources away from the effort to—
(i) efficiently respond to the damage caused by the Canterbury earthquakes:
(ii) minimise further damage; or
(b) may not be reasonably capable of being complied with, or complied with fully, owing to the circumstances resulting from the Canterbury earthquakes.
(6) Despite subsections (2) to (5), an Order in Council made under this section may not—
(a) grant an exemption from or modify a requirement to—
(i) release a person from custody or detention; or
(ii) have any person’s detention reviewed by a court, Judge, or Registrar; or
(b) grant an exemption from or a modify a restriction on keeping a person in custody or detention; or
(c) grant an exemption from or modify a requirement or restriction imposed by the Bill of Rights 1688, the Constitution Act 1986, the Electoral Act 1993, the Judicature Amendment Act 1972, or the New Zealand Bill of Rights Act 1990; or
(d) contain any provision having the effect of amending this section or section 3, 6, 71 to 75, or 92.
(7) Subsections (2) to (5) do not limit subsection (1).
(1) The Minister must appoint a Canterbury Earthquake Recovery Review Panel of 4 persons with relevant expertise or appropriate skills.
(2) A member of the Canterbury Earthquake Recovery Review Panel must be appointed by notice of appointment in writing that—
(a) states the date on which the appointment takes effect; and
(b) states the term of the appointment.
(3) The Minister must appoint one of the appointed members to be the convener of the Canterbury Earthquake Recovery Review Panel.
(4) An appointed member vacates office if he or she—
(a) is removed by written notice given by the Minister; or
(b) resigns by written notice given to the Minister.
(5) The chief executive must provide administrative support for the Canterbury Earthquake Recovery Review Panel.
(1) The function of the Canterbury Earthquake Recovery Review Panel is to provide advice on request to both the Minister and the relevant Minister in relation to Orders in Council that may be required for the purpose of this Act.
(2) All draft Orders in Council must be reviewed by the Canterbury Earthquake Recovery Review Panel before they are recommended under section 70.
(3) Within 3 working days after the date on which a draft Order in Council is received for review or any longer time allowed by the Minister,—
(a) the Canterbury Earthquake Recovery Review Panel must review the draft; and
(b) the convener must give both the Minister and the relevant Minister a report that includes the panel's recommendations.
(4) A review by the Canterbury Earthquake Recovery Review Panel may be conducted in any manner the convener thinks appropriate, including by telephone or video conference.
(5) The convener has a casting vote if there are more than 2 members voting and there is an equality of votes.
(6) The Minister must publicly notify the Canterbury Earthquake Recovery Review Panel's recommendations on a draft Order in Council.
(7) The Minister must, as soon as practicable after receiving the Canterbury Earthquake Recovery Review Panel's recommendations on a draft Order in Council, present a copy to the House of Representatives.
(1) In making a recommendation under section 70, the relevant Minister must—
(a) take into account the purposes of this Act; and
(b) have regard to the recommendations of the Canterbury Earthquake Recovery Review Panel.
(2) The recommendation of the relevant Minister may not be challenged, reviewed, quashed, or called into question in any court.
(1) This section applies to Orders in Council made under section 70.
(2) An order may not be held invalid just because—
(a) it is, or authorises any act or omission that is, inconsistent with any other Act; or
(b) it confers any discretion on, or allows any matter to be determined or approved by, any person.
(3) An order may be expressed to come into force on a day that is before, on, or after the date on which it is made, but not earlier than 4 September 2010; and the order comes into force or, as the case may be, is deemed to have come into force accordingly.
(4) An order may be retrospective only to the extent provided for in subsection (3).
(5) So far as it is authorised by this Act, an order has the force of law as if it were enacted as a provision of this Act.
Despite section 74(5), the Regulations (Disallowance) Act 1989 applies to an Order in Council made under section 70.
(1) If any person has not complied with any lawful direction given under this Act, the chief executive may, for the purpose of enforcing compliance with or preventing any further non-compliance with the direction, make a compliance order requiring that person—
(2) A compliance order may be made on the terms and conditions that the chief executive thinks fit, including the provision of security or the entry into a bond for performance.
A compliance order must be served on the person who is the subject of the order.
(1) A person who is the subject of a compliance order may appeal to the High Court against the making of the order.
(3) The High Court may confirm, modify, or reverse the order appealed against.
(1) An appeal to the Court of Appeal may be brought against a decision of the High Court under section 78.
(3) The Court of appeal may confirm, modify, or reverse the decision appealed against.
(4) The decision of the Court of Appeal is final.
(1) A person commits an offence against this Act who, without reasonable excuse, breaches or fails to comply with the terms of a compliance order issued under section 76.
(2) A person who commits an offence against subsection (1) is liable to a fine not exceeding $1,000 or to imprisonment for a term not exceeding 3 months.
(1) In relation to any proceeding before it, a court may, in its discretion, extend or shorten the time appointed by rules of court or other enactment, or fixed by any court order, for doing any act or taking any step on such terms (if any) as the court thinks just if satisfied that it is necessary to do so because of circumstances relating to any Christchurch earthquakes.
(2) The court must take into account the need for a timely recovery of greater Christchurch.
(3) In this section, court includes a tribunal.
(1) Except as otherwise provided in this Act, no action lies against the Crown, or an officer or employee or Minister of the Crown, or against any other person,—
(a) to recover any damages or other amount for any loss, damage, or adverse effect that is due directly or indirectly to any action taken under this Act; or
(b) to require any work to be carried out or other action to be taken in order to remedy or mitigate any loss, damage, or adverse effect that results directly or indirectly from any action taken under this Act.
(2) No person who takes any action under this Act is liable under the Resource Management Act 1991 for any fine, costs, or expenses in respect of that action, except as otherwise provided in this Act.
(3) Subsection (1) applies whether the loss, damage, or adverse effect is caused by any person taking any action or failing to take any action, so long as the act or omission occurred in the exercise or performance, or intended exercise or intended performance, of his or her functions, duties, or powers under this Act.
(4) No person is exempted from liability under subsection (1) for any act or omission to act that constitutes bad faith or gross negligence on the part of that person.
(5) If, under this Act, the Minister or the chief executive becomes a party to any agreement or arrangement entered into by a council for the purposes of carrying out demolition or other works, the Minister or chief executive is entitled to the full benefit of any provision in the agreement or arrangement that limits or excludes any liability of the council (such as liability for damage caused by, or for the costs of, demolition work) under the agreement or arrangement.
(6) If a council assumes any liability of the Minister or chief executive in relation to demolition or other works under this Act, the council is entitled to the full benefit of any provision in an agreement or arrangement that limits or excludes any liability of the Minister or the chief executive (such as liability for damage caused by, or for the costs of, demolition work) under the agreement or arrangement.
(7) In this section, references to this Act include Orders in Council made under this Act or the Canterbury Earthquake Response and Recovery Act 2010.
(1) Every action taken or decision made under the Civil Defence Emergency Management Act 2002 by the National Controller, the Director, or any person acting under the authority of the National Controller or the Director, if taken or made while the state of national emergency was in force in respect of Christchurch in 2011, is declared to be and always to have been valid.
(2) Subsection (1) does not apply in respect of any action or decision that is taken or made in bad faith or with gross negligence or that is inconsistent with any provision of the New Zealand Bill of Rights Act 1990.
(1) This section applies to every authorisation, direction, requirement, restriction, or prohibition that—
(a) was given, made, or issued under the Civil Defence Emergency Management Act 2002 by the National Controller or the Director while the state of national emergency was in force in respect of Christchurch in 2011; and
(b) had effect immediately before the commencement of this Act.
(2) The authorisation, direction, requirement, restriction, or prohibition continues to have effect for 12 weeks after the commencement of this Act, but the Minister or the chief executive may amend or cancel any of them during that period.
Nothing in this Act affects the operation of the Civil Defence Emergency Management Act 2002 in relation to any emergency in greater Christchurch that occurs after the commencement of this Act.
(1) The Minister or the chief executive may transfer to a council, and the council may accept, any of the Crown's benefits and liabilities under any contract, agreement, conveyance, deed, lease, licence, or other instrument or undertaking entered into by the Crown for any purpose of this Act.
(2) A transfer under subsection (1) is made by notice in writing delivered to the council and every other party to the contract, agreement, conveyance, deed, lease, licence, or other instrument or undertaking.
(3) A transfer under subsection (1) is binding on every party to the contract, lease, or arrangement.
(4) Nothing effected or authorised by a transfer under subsection (1)—
(a) may be regarded as placing any person in breach of contract or confidence or as otherwise making any of them liable of a civil wrong; or
(b) may be regarded as giving rise to a right for any person to terminate or cancel a contract or arrangement, or to accelerate the performance of any obligation; or
(c) may be regarded as placing any person in breach of an enactment, rule of law, or contractual provision prohibiting, restricting, or regulating the assignment or transfer of property or the disclosure of information; or
(d) releases a surety wholly or in part from any obligation; or
(e) invalidates or discharges any contract.
(1) The Minister must prepare and present to the House of Representatives quarterly reports on the operation of this Act.
(2) Each report must include a description of powers exercised by or on behalf of the Minister or the chief executive under this Act during the period reported on.
(1) The Canterbury Earthquake Response and Recovery Act 2010 (2010 No 114) is repealed.
(2) Every Order in Council made under that Act and in force immediately before the commencement of this section continues in force, must be treated as having been made under this Act, and may be amended or revoked under this Act.
(3) The repeal of that Act does not affect any act, decision, or thing done under that Act or done under any Order in Council made under that Act, and those acts, decisions, or things are validated.
(4) Despite the repeal of that Act, section 19 of that Act is deemed to continue to apply to any act, decision, or thing referred to in subsection (3).
The Orders in Council specified in Schedule 2 are amended in the manner indicated in that schedule.
(1) The Canterbury Earthquake Recovery Commission established by section 9 of the Canterbury Earthquake Response and Recovery Act 2010 is dissolved.
(2) Despite the repeal of that Act by section 88, section 18 of that Act is deemed to continue to apply to acts done or omitted by any commissioner in good faith in the performance or intended performance of his or her functions, responsibilities, or duties as a commissioner, or in the exercise or intended exercise of his or her powers as a commissioner.
(1) The Minister must, within 12 months after the commencement of this Act and once in every 12 months after that, carry out a review of the operation and effectiveness of this Act and prepare a report on that review.
(2) The report must include any recommendations for amendments to this Act.
(3) The Minister must present the report to the House of Representatives as soon as practicable after it has been completed.
(1) This Act expires on the close of the day that is 5 years after the date of its commencement.
(2) On the expiry of this Act, Orders in Council made under section 70 or continued by section 88, and in force immediately before that expiry, are revoked.
Notice of intention to take land for [description of purpose] in [name of district]
1 The Minister for Canterbury Earthquake Recovery proposes to take under the Canterbury Earthquake Recovery Act 2011 your interest in the land described in the Schedule of this notice.
2 The land is required for [describe purpose] and it is intended to use the land for [describe purposes for which the land is to be used].
3 A plan of the land intended to be taken is attached.
4 The reasons why the Minister for Canterbury Earthquake Recovery considers it necessary to take your interest in the land are as follows: [state reasons].
5 This notice relates to the taking of your interest in the land and not to your right to compensation. Under the Canterbury Earthquake Recovery Act 2011, you are entitled to compensation if your interest in the land is taken. You have the opportunity to make representations as to the nature of the claim for compensation and the amount of compensation payable.
This notice concerns your rights over the land referred to. If you are in any doubt about its effect you should obtain legal advice immediately.
(for Minister for Canterbury Earthquake Recovery)
Canterbury Earthquake (Cadastral Survey Act) Order 2010 (SR 2010/467)
Clause 3: omit “16 December 2011” and substitute “31 December 2012” .
Clause 5: add:
“(4) Rules made under this clause have effect while this order is in force.”
Canterbury Earthquake (Historic Places Act) Order 2010 (SR 2010/333)
Clause 3: omit “close of 31 March 2011” and substitute “expiry of the Canterbury Earthquake Recovery Act 2011” .
Clause 3: omit “30 June 2011” and substitute “31 December 2011” .
Clause 3: omit “close of 31 March 2012” and substitute “expiry of the Canterbury Earthquake Recovery Act 2011” .