Document ID: chunk:federal_register_of_legislation:C2006C00145:front:0:p2
Version: federal_register_of_legislation:C2006C00145
Segment Type: other
Provision Reference: 
Character Range: 2420–5499

prudential standards for ADIs and authorised NOHCs
Division 1BA—APRA's power to issue directions
Subdivision A—Directions other than directions to enforce certified industry liquidity contracts
11CA APRA may give directions in certain circumstances
Subdivision B—Directions to enforce certified industry liquidity contracts
11CB APRA may certify an industry liquidity contract
11CC APRA may direct parties to an industry liquidity contract to comply with the contract
Subdivision C—General provisions relating to all directions
11CD Direction not grounds for denial of obligations
11CE Supply of information about issue and revocation of directions
11CF Secrecy requirements
11CG Non‑compliance with a direction
Division 1B—Provisions relating to certain ADIs
Subdivision A—General provisions relating to depositor protection
13 ADI to supply information to APRA
13A Consequences of inability or failure of ADI to meet obligations
13B Investigators—ADI must provide information and facilities
13C ADI statutory managers—termination of control
Subdivision B—Provisions dealing with control of an ADI's business by an ADI statutory manager
14A ADI statutory manager's powers and functions
14B Administrator in control—additional powers to recommend action by APRA
14C ADI statutory manager's liabilities and duties
14D Administrator in control—additional duties
14E Termination of administrator's appointment
14F APRA's powers to apply for ADI to be wound up
15 Effect on directors of ADI statutory manager taking control of an ADI's business
15A Effect on external administrator of ADI statutory manager taking control of an ADI's business
15B Effect on legal proceedings of ADI statutory manager taking control of an ADI's business
15C ADI statutory manager being in control not grounds for denial of obligations
16 Costs of statutory management
16A APRA must report to Treasurer and publish information about statutory management
Division 2A—Auditors of ADIs and authorised NOHCs and their subsidiaries
16B Requirements for auditors and people who have been auditors to give information to APRA
16C Auditor may provide information to APRA

Part IIA—ADI mergers (operation of State and Territory Laws)
61 APRA may conduct investigations
62 Supply of information
66A Restriction on use of expressions authorised deposit‑taking institution and ADI
69AA Powers about money of depositors who have died
69E Compensation for acquisition of property
69F Severability
70A Indemnity
70B Act has effect despite the Corporations Law

Schedule 1—State and Territory laws relating to bank mergers

Schedule 3—Repeal of the Banks (Shareholdings) Act 1972

Schedule 4—Amendment of the Corporations Law set out in section 82 of the Corporations Act 1989

Part 1—Changing the administration of the Corporations Law

Part 2—Changing references to "ASC" to "ASIC"

Schedule 5—Amendment of the Corporations Law set out in section 82 of the Corporations Act 1989 to take account of the Company Law Review Act 1998

Part 1—General amendments to take account of Schedule 1 to the Company Law Review Act