Document ID: chunk:federal_register_of_legislation:F2024C01027:reg:13:p1
Version: federal_register_of_legislation:F2024C01027
Segment Type: reg
Provision Reference: reg 13 (pt 1/76)
Character Range: 2034100–2036781

13    Attachment 3 to the Technical Instructions (Notified variations from the Instructions)

92.140  Who may conduct training
 (1) In this regulation:
approved training course means a training course required under this Part that is required to be approved by CASA.
 (2) A person must not give, or offer to give, instruction that purports to be, or to form part of, a training course that is required to be approved by CASA if the course is not approved.
Maximum penalty: 10 penalty units.
 (3) A person must not give instruction that is part of an approved training course if he or she is not approved for that purpose.
Maximum penalty: 10 penalty units.
 (4) If an approved training course is conducted by distance education methods (including correspondence, video or computer network) a person must not:
 (a) prepare material for; or
 (b) supervise;
the course if he or she is not approved for that purpose.
Maximum penalty: 10 penalty units.
 (5) A person must not:
 (a) give instruction that is part of a training course for group E employees, or employees of a screening authority, required under this Part; or
 (b) prepare material for such a training course that is, or is to be, given by a distance education method (including by correspondence, video or computer network); or

 (c) supervise such a training course that is, or is to be, given by such a method;
if the person has not, within the previous 2 years, undertaken an approved training course for group A or B employees.
Maximum penalty: 5 penalty units.
 (6) For paragraph (5)(a), strict liability applies to the circumstance that a training course is required under this Part.
 (7) For this regulation, strict liability applies to the circumstance that a training course is required to be approved under this Part.

92.145  Records about training—Australian operators etc
 (1) This regulation applies to:
 (a) an Australian aircraft operator that has any group A, B, C, D or E employees in Australia; and
 (b) an Australian aircraft operator that has any group C or D employees outside Australia; and
 (c) a person in Australia who:
 (i) ships dangerous goods for carriage by aircraft; and
 (ii) has any group F employees in Australia; and
 (d) a ground handling agent or a freight forwarder that has any group A, B, C or E employees in Australia; and
 (e) a screening authority.
 (2) A person or organisation to whom or to which this regulation applies must maintain an up‑to‑date record of:
 (a) the name of each employee who has undertaken dangerous goods training in accordance with this Subpart; and
 (b) for each such employee:
 (i) the names of the person and the organisation providing the training