Document ID: chunk:federal_register_of_legislation:F2024C00936:front:0:p4
Version: federal_register_of_legislation:F2024C00936
Segment Type: other
Provision Reference: 
Character Range: 9260–12745

Subdivision 6.5.6—Inspections
6.38 Overview of Subdivision
6.39 When inspections may be undertaken
6.40 Who may undertake or assist in an inspection
6.41 Notice of inspection
6.42 Inspector to act independently
6.43 Inspection of audit documents
6.44 Auditor to provide reasonable facilities and assistance for inspection
Division 6.6—Requirements to be met to maintain registration
Subdivision 6.6.1—Overview
6.45 Overview of Division
Subdivision 6.6.2—Compliance with Code of Conduct
6.46 Code of Conduct
Subdivision 6.6.3—General independence requirements
6.47 Conflict of interest situation
6.48 Meaning of engages in audit activity
6.49 Meaning of conflict of interest situation
6.50 Meaning of professional members of the audit team
Subdivision 6.6.4—Independence requirements in specific audit situations
6.51 Audit team leader to comply with requirements of this Subdivision
6.52 Audit team leader not to engage in audit activity during occurrence of certain circumstances
6.53 Audit team leader must cease to be leader
6.54 Audit team leader must seek exemption etc for team member
6.55 Relevant items for persons and entities
6.56 Relevant relationships
6.57 Exceptions to relevant relationships
Subdivision 6.6.5—Other independence requirements
6.58 Audit team leader disqualified after working with audited body in certain cases
6.59 Audit team leader rotation requirement
Subdivision 6.6.6—Insurance
6.60 Registered greenhouse and energy auditor must have insurance
Subdivision 6.6.7—Conditions
6.61 Conditions
6.62 How conditions are imposed
6.63 Restrictions on audit team leader accepting audit
Subdivision 6.6.8—Other requirements
6.64 Registered auditor must continue to be fit and proper person
6.65 Continuing professional development requirements
6.66 Participation in audits
6.67 Notice requirements—change in circumstances
6.69 Requirement to give report
6.70 Retention of audit records
Subdivision 6.6.9—Exemptions
6.71 Regulator may grant exemptions in certain cases
Division 6.7—Other matters
6.72 Legislative instrument
6.73 Review by Administrative Review Tribunal of decisions of Regulator
Part 7—Application and transitional provisions
Division 7.1—Application and transitional provisions relating to the National Greenhouse and Energy Reporting Amendment (2014 Measures No. 1) Regulation 2014
7.01 Definitions
7.02 Transitional—continuation of old regulations
7.03 Application—reports under sections 19, 22G and 22X of Act
Division 7.1A—Application provisions relating to the National Greenhouse and Energy Reporting Amendment (2016 Measures No. 1) Regulation 2016
7.03A Application—reports under the Act
7.03B Application—applicants for registration as Category 1 auditors
7.03C Application—suspension and deregistration of auditors
Division 7.2—Application provisions relating to the National Greenhouse and Energy Reporting Amendment (2015 Measures No. 2) Regulation 2015
7.04 Definitions
7.05 Application—nomination of group entity
7.06 Application—application for deregistration
7.07 Application—reports under Parts 3, 3E and 3F of the Act
7.08 Application—declarations in relation to facilities
Division 7.3—Application provision relating to the National Greenhouse and Energy Reporting Amendment (Reporting Obligations) Regulations 2018
7.09 Application—reports under the Act
Division 7.4—Application provisions relating to the National Greenhouse and Energy Reporting Amendment (2019 Measures No. 1) Regulations 2019
Subdivision 7.4.1—Preliminary