Document ID: chunk:federal_register_of_legislation:F2024C00913:reg:8:p84
Version: federal_register_of_legislation:F2024C00913
Segment Type: reg
Provision Reference: reg 8 (pt 84/133)
Character Range: 272588–275276

the time each threat image projected by the software on the day is projected, if the equipment can record the time; and
 (iv) for each threat image projected on the day—the type of threat and the outcome of the projection;
 (g) if a walk‑through metal detector is used for the screening:
 (i) the make and model of the detector; and
 (ii) the number of persons passing through the detector on the day;
 (h) if body scanning equipment is used for the screening:
 (i) the make and model of the equipment; and
 (ii) the number of persons scanned by the equipment on the day; and
 (iii) the time of each scan, if the equipment can record the time;
 (i) if explosive trace detection equipment is used for the screening:
 (i) the make and model of the equipment; and
 (ii) the number of persons in relation to whom the equipment is used on the day; and
 (iii) the number of double positive results occurring on the day; and
 (iv) the time at which each double positive result occurs, if the equipment can record the time.
 (3) For the purposes of this regulation, a record made by a screening authority is taken to be made in accordance with a requirement under subregulation (2) if:
 (a) the only reason the making of the record is not in accordance with that requirement is that information in the record is not accurate; and
 (b) the information is not information that can be recorded by the relevant equipment mentioned in paragraph (2)(f), (g), (h) or (i); and
 (c) the screening authority made all reasonable efforts to ensure that the information was accurate.
 (4) A screening authority that makes a record under subregulation (2) in relation to screening must keep the record for 2 years after the day on which the screening occurs (even if the screening authority ceases to be a screening authority, or ceases to be responsible for operating the screening point, before the end of the 2 years).
 (5) A person commits an offence of strict liability if:
 (a) the person is an aviation industry participant; and
 (b) the person is subject to a requirement under subregulation (2) or (4); and
 (c) the person engages in conduct; and
 (d) the person's conduct breaches the requirement.
Penalty for contravention of this subregulation: 20 penalty units.

Division 4.1A—Examining and clearing cargo

Subdivision 4.1A.1—Requirements for examining and clearing cargo

4.41A  Application of Subdivision
 (1) This Subdivision applies to:
 (a) international cargo; and
 (aa) cargo to which subregulation (2) applies; and
 (b) cargo to which this Subdivision applies because the Secretary has issued a notice to that effect under regulation 4.41J.
 (2) This subregulation applies to cargo that is