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No. 2 221 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE www.governmentgazette.sa.gov.au PUBLISHED BY AUTHORITY ALL PUBLIC ACTS appearing in this GAZETTE are to be considered official, and obeyed as such ADELAIDE, THURSDAY, 8 JANUARY 2015 CONTENTS

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Page 1: No. 2 - Thursday, 8 January 2015 (pages 221-272)  · Web view2017-03-24 · • Both edges of all streets shall be protected by the provision of an extruded kerb and gutter or concrete

No. 2 221

THE SOUTH AUSTRALIAN

GOVERNMENT GAZETTEwww.governmentgazette.sa.gov.au

PUBLISHED BY AUTHORITY

ALL PUBLIC ACTS appearing in this GAZETTE are to be considered official, and obeyed as such

ADELAIDE, THURSDAY, 8 JANUARY 2015

CONTENTS

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PageAssociations Incorporation Act 1985—Notice...........................222Casino Act 1997—Notices.........................................................223Corporations and District Councils—Notices............................268Dangerous Substances Act 1979—Notice..................................227Development Act 1993—Notices...............................................227Electoral Act 1985—Notices......................................................235Energy Products (Safety and Efficiency) Act

2000—Notice.........................................................................236Environment Protection Act 1993—Notice................................237Fisheries Management Act 2007—Notices................................238Housing Improvement Act 1940—Notices................................243Mining Act 1971—Notices........................................................244Motor Vehicles Act 1959—Notices...........................................247National Parks and Wildlife (National Parks) Regulations

2001—Notice.........................................................................264Pastoral Land Management and Conservation Act

1989—Notice.........................................................................264Petroleum and Geothermal Energy Act 2000—Notices.............265Roads (Opening and Closing) Act 1991—Notice......................266Road Traffic Act 1961—Notices................................................266Transplantation and Anatomy Act 1983 (SA)—Notice..............266Transport, Department of—Notices to Mariners........................264Unclaimed Moneys Act 1891—Notices.....................................271

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GOVERNMENT GAZETTE NOTICESNotices for publication in the South Australian Government Gazette should be emailed to [email protected]. Content should be sent as Word format attachment(s). Covering emails should include the date the notice is to be published and to whom the notice will be charged. Closing time for lodgement is 4 p.m. on the Tuesday preceding the regular Thursday publication. Gazette enquiries to: Phone 8207 1045. The Government Gazette is available online at: www.governmentgazette.sa.gov.au.

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222 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

ASSOCIATIONS INCORPORATION ACT 1985Deregistration of Associations

NOTICE is hereby given that the Corporate Affairs Commission approves the applications for deregistration received from the associations named below pursuant to Section 43A of the Associations Incorporation Act 1985. Deregistration takes effect on the date of publication of this notice:

Edge Church South Australia IncorporatedHouse One Co-operative Housing IncorporatedThe Pasadena Community Association IncorporatedHappy Valley Seniors’ Club IncorporatedMount Gambier and Districts Schools Ministry Group

IncorporatedSenior Citizens Club of Kilkenny IncorporatedShine Choir IncorporatedSin Fronteras Radio Program IncorporatedSpirituality & Health Conference Australia IncorporatedStudent Leadership Undergraduate Graduate Group

Association IncorporatedThe Australian Society of Garden Designers IncorporatedThe Probus Club of St Peters IncorporatedUlaraka Arabunna Association IncorporatedThe Flinders University of South Australia Superannuation

Scheme No. 1 IncorporatedThe Flinders University of South Australia Superannuation

Scheme No. 2 IncorporatedThe Flinders University of South Australia Superannuation

System IncorporatedThe Flinders University Club IncorporatedThe Flinders University of South Australia Invalidity Fund

IncorporatedYoung Men’s Christian Association of Port Pirie Incorporated

Given at Adelaide, 5 January 2015.R. ALOI, a Delegate of the Corporate

Affairs Commission

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 223

CASINO ACT 1997NOTICE UNDER SECTION 3 (1)

Re-definition of Gaming Areas and Premium Gaming AreasTAKE notice that pursuant to Section 3 (1) of the Casino Act 1997, the ‘Gaming Areas’ and ‘Premium Gaming Areas’ defined as being a gaming area or part of a gaming area within the casino premises will as from 6 a.m. on 9 January 2015 be re-defined by the Liquor and Gambling Commissioner as follows:

Plan A—Adelaide Casino Ground FloorThe following plans indicate such parts of the ground floor of the casino premises (previously defined by his Excellency the

Governor in Executive Council and depicted by a purple line for information purposes only) which are to be regarded as being a gaming area, or part of a gaming area (previously defined and depicted by an orange line).

In conjunction with the re-definition of the gaming area on the ground floor, take notice there will be no gaming area, or part of a gaming area, that is set aside for premium customers which can only be accessed by other customers in accordance with the Adelaide Casino Approved Licensing Agreement on the ground floor.Plan E—Adelaide Casino Mezzanine Floor

The following plans indicate such parts of the mezzanine floor of the casino premises (previously defined by his Excellency the Governor in Executive Council and depicted by a purple line for information purposes only) which are to be regarded as being a gaming area, or part of a gaming area (previously defined and depicted by an orange line).Adelaide Casino First Floor

The defined gaming area and premium gaming area on the first floor of the casino premises remains unchanged as gazetted on 4 December 2014.

Dated 8 January 2015.J. EVANGELISTA, Delegate of the Liquor and Gambling Commissioner

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224 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

SCHEDULE 1

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 225

SOUTH AUSTRALIA

CASINO ACT 1997

GR Notice No. 1 of 2015Adelaide Casino—Basic Training—Recognition

Notice 2015[8 January 2015]

The Independent Gambling Authority publishes this notice under Section 33A of the Casino Act 1997:

1. Citation, authorising provisions

(1) This notice may be cited as the Adelaide Casino—Basic Training—Recognition Notice 2015.

(2) This notice is authorised by Section 33A of the Casino Act 1997.

2. Recognised course of training

(1) This notice applies to the advanced training course described in an application made by Skycity Adelaide Pty Ltd ABN 72 082 362 061 held on File No. AUTH 14/0063.

(2) The course of training identified in the table is recognised as basic training for provision from the date indicated.

TABLE

Course documentation description Date of first provision

Version 1 (17/10/2014) 8 January 2015

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226 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

SOUTH AUSTRALIA

CASINO ACT 1997

GR Notice No. 2 of 2015Adelaide Casino—Advanced Training—Recognition

Notice 2015[8 January 2015]

The Independent Gambling Authority publishes this notice under section 33A of the Casino Act 1997:

1. Citation, authorising provisions

(1) This notice may be cited as the Adelaide Casino—Advanced Training—Recognition Notice 2014.

(2) This notice is authorised by Section 33A of the Casino Act 1997.

2. Recognised course of training

(1) This notice applies to the advanced training course described in an application made by Skycity Adelaide Pty Ltd ABN 72 082 362 061 held on File No. AUTH 14/0063.

(2) The course of training identified in the table is recognised as advanced training for provision from the date indicated.

TABLE

Course documentation description Date of first provision

Version 1 (17/10/2014) 8 January 2015

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 227

DANGEROUS SUBSTANCES ACT 1979Appointments

I, JOHN RAU, Minister for Industrial Relations in and for the State of South Australia, hereby appoint the following persons as authorised officers for the purposes of the Dangerous Substances Act 1979, pursuant to Section 7 of the Dangerous Substances Act 1979:

• Kimberley Louise Michel; and• Jacqui Quarton.

Dated 20 December 2014.JOHN RAU, Deputy Premier, Minister for

Industrial Relations

DEVELOPMENT ACT 1993: SECTION 46 (4)Preamble

The Minister for Urban Development and Planning previously made a declaration under Section 46 (1) of the Development Act 1993, which was gazetted in the Gazette of 1 May 2007, at pages 1429-1430, which I am satisfied ought to be revoked.

Section 46 (4) of the said Act allows me as the Minister for Planning to revoke the notice.

NOTICE

PURSUANT to Section 46 (4) of the Development Act 1993, I, John Rau, Minister for Planning, hereby revoke the declaration gazetted in the Gazette of 1 May 2007, at pages 1429-1430. Dated 29 December 2014.

JOHN RAU, Deputy Premier, Minister for Planning

DEVELOPMENT ACT 1993, SECTION 48: DECISION BY THE DEVELOPMENT ASSESSMENT COMMISSION UNDER DELEGATION FROM THE GOVERNOR

Preamble1. A proposal from the Cape Jaffa Development Company

(hereafter ‘the applicant’) to develop a multi-component residential marina at Cape Jaffa, on the Limestone Coast has been under consideration under Division 2 of Part 4 of the Development Act 1993.

2. The proposal has been the subject of an Environmental Impact Statement and an Assessment Report under Sections 46 and 46B of the Development Act 1993 and is hereafter referred to as the ‘proposed Major Development’.

3. The proposed Major Development was the subject of a development application lodged on 20 February 2003, by the applicant. The said application has been amended and expanded upon by the applicant’s Environmental Impact Statement, dated April 2005, the applicant’s Response to Submissions, dated September 2005 and additional correspondence dated 4 November 2005, 10 November 2005 and 18 April 2006.

4. Reserved matters of (a) the proposed use of the future development site on Figure 3.6 in the EIS and (b) proposed use and extent of the wetland vegetation on the eastern side of the development was granted approval by the Development Assessment Commission as delegate of the Governor on 11 May 2006.

5. Application was made to the Development Assessment Commission as delegate of the Governor, for a decision regarding the division of land for the proposed development. Approval was granted on 17 August 2006.

6. An application for approval for the Building Rules approval for Stage 1 Breakwaters and Waterway Edge construction was made on 14 August 2006. Approval was granted on 7 September 2007.

7. An application for approval for an Industrial Shed was made by the Kingston Council on 26 September 2007. Approval was granted on 18 October 2007.

8. An application for approval for Building Rules Certification for an Industrial Building was made on 12 October 2007.

9. An application for approval for a land division for the Industrial Area and a concrete batching plant was made on 17 May 2007.

10. An application for approval of two land divisions for three allotments and 20 community title allotments for the commercial marina berths was made on 7 December 2007 and 10 December 2007.

11. An application for acknowledgement of ‘Substantial Commencement’ was made on 30 July 2008.

12. An application for approval of a Signal Mast was made on 20 August 2008.

13. An application for approval of the Lease of Recreational Marina Berths on 28 August 2008.

14. An application for approval of Building Rules Certification of Stage 2 on 29 August 2008.

15. An application for approval of a variation to the EIS covering the relocation of the Borefield and connecting pipes was made on 9 May 2008.

16. An application for acknowledgement that Condition of Approval 12 has been met was made on 9 May 2008.

17. An application for the approval of a variation to an existing retaining wall at Lot 523 to allow for a garage with setback of 5.5 m.

18. Application has now been made for a minor land division to divide a large residential waterfront allotment into four smaller allotments.

19. The Development Assessment Commission has, in considering the application, had regard to all relevant matters under Section 48 (5) of the Development Act 1993.

20. The Development Assessment Commission is satisfied that there is no requirement to prepare a further or amended Environmental Impact Statement.

21. For ease of reference the conditions attached to the Cape Jaffa Marina development authorisation are republished in full with new drawing reference added to Condition 1. Conditions 31-37 have been added to the authorisation.DecisionPURSUANT to Section 48 (7) (b) (ii) of the Development Act 1993 and having regard due to the matters set out in Section 48 (5) and all other relevant matters, the Development Assessment Commission exercising the power of the Governor delegated by notice in the South Australian Government Gazette dated 12 January 2006, pursuant to Section 48 (8), varies the Cape Jaffa marina development authorisation dated 12 January 2006 as subsequently varied on the dates set out in paragraphs 4-17 of the preamble of this decision, by inserting an additional drawing reference to Condition 1 of the development authorisation that:

Pursuant to Section 48 (6) and Regulation 64 (1) reserves a decision on the following matters:

(i) compliance with the Building Rules in relation to all aspects of the proposed major development (refer to Conditions and Notes to the Applicant below);

(ii) specify all matters relating to the provisional development authorisation as matters in respect of which conditions of this authorisation may be varied or revoked, or new conditions attached; and

(iii) specify for the purposes of Section 48 (11) (b) the period of two years from the date of the original notice dated 12 January 2006 as the time within which substantial work must be commenced on site, failing which I may cancel this authorisation.

For ease of reference the conditions of the authorisation as amended to date are republished in full hereunder.

Consolidated Version of Conditions of Authorisation1. Except where minor amendments may be required by other

legislation, or by conditions imposed herein, the proposed major development shall be undertaken in strict accordance with:

(a) The following drawings contained in the letter from Simon Tonkin on behalf of the Cape Jaffa Development Company to Planning SA dated 11 November 2005, outlining the final amended application:

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228 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

• Drawing Titled: ‘Figure 3.3—Locality’; February 2005;

• Drawing Titled: ‘Figure 3.7—Breakwater Typical Cross section’; February 2005;

• Drawing Titled: ‘Figure 3.9—Central Facilities’; August 2004, 9399;

• Drawing Titled: ‘Figure 3.10—Boat Ramp’; February 2005;

• Drawing Titled: ‘Figure 3.11—Waterway and Wharf Edge Treatment’; August 2004, 9399;

• Drawing Titled: ‘Figure 3.12—Reserves and Open Space’; August 2004, 9399-10-a;

• Drawing Titled: ‘Figure 3.13—Landscape Concept’; February 2005;

• Drawing Titled: ‘Figure 3.14—Landscape Buffers’; February 2005;

• Drawing Titled: ‘Figure 3.15—Storm Water Management Concept’; August 2004, 9399-10-a;

• Drawing Titled: ‘Figure 3.16—Land Division Plan’; December 2004, 9399-a;

• Drawing Titled: ‘Figure 3.17—Main Basin looking South’; February 2005;

• Drawing Titled: ‘Figure 3.18—Waterway View looking West’; February 2005;

• Drawing Titled: ‘Figure 3.19—Beach Reserve View into the Main Basin’; February 2005;

• Drawing Titled: ‘Figure 3.20—Aerial View looking South-East’; February 2005;

• Drawing Titled: ‘Figure 3.21—Aerial View looking East’; February 2005;

• Drawing Titled: ‘Figure 3.22—Typical Cross Section and Allotment Plan’; August 2004, 9399-02-a;

• Drawing Titled: ‘Figure 3.23—Coastal Reserve Walk-way’; August 2004, 9399;

• Drawing Titled: ‘Figure 3.24—Staging Plan’; August 2004, 9399-10-a;

• Drawing Titled: ‘Figure 3.25—Management Structure’; August 2005;

• Drawing Titled: ‘Figure 5.12—Irrigation and Storage Site’; August 2004, 9399-01-b;

• Drawing Titled: ‘Figure 5.35—Coastal Reserves and Buffers’; August 2004, 9399-01-b; and

• Drawing Titled: ‘Figure 5.59—Cape Jaffa Proposed Zones’; February 2005,

or as amended by the following drawings from the Response Document:• Drawing Titled: ‘Figure R1—Concept Plan’; August

2004, 9399-01-b;• Drawing Titled: ‘Figure R2—Infrastructure Area

Concept’; July 2005, 9399; and• Drawing Titled: ‘Figure R3—Site Camp Concept’;

August 2005, 9399.In addition, the following drawings in the additional information letter from Masterplan (Simon Tonkin) on 4 November 2005 and appended to the Assessment Report:• Drawing Titled: ‘Figure 1—Water Supply’; October

2005;• Drawing Titled: ‘Figure 2—Vegetation Area B,

Buffer; and• Fencing Plan’; October 2005.Also• Drawing Titled: ‘Proposed Industrial’ Templeton

Constructions B07 101 01 Revision A—August 2007;

• Drawing Titled ‘Proposed Industrial’ Templeton Constructions B07 101 01 Revision A—October 2007 stamped by Professional Building Services, South Plympton, S.A. 5038;

• Drawing Titled: (Land Division) Steed & Pohl Ref. 9163_cd1_B2 11/04/07 attached to letter of 17 May 2007 from Masterplan;

• Development application 640/DO16/07 Steed & Pohl Ref. 9163 mm3_B2 17/12/07 submitted on 7 December 2007; and

• Development application 640/CO17/07 Steed & Pohl Ref. 9163 cp1 B2 13/08/07 submitted on 10 December 2007.

Following information received relating to a variation request for the Borefield and associated pipes location and achieving COA 12 requirements relating to the wastewater treatment facility and storage lagoon, from MasterPlan, 9 May 2008, Ref.: 11655LET02.docx.Including:• Figure 1, October 2007, Water Supply Cape Jaffa

Anchorage #1124;• Figure 2, Infrastructure Layout Plan 2008 11242,and as amended by the following drawings from the attached conditions. The wastewater treatment plant and treated wastewater storage lagoon shall be located and constructed in strict accordance with the plans, drawings and additional information contained in:• Cape Jaffa Anchorage Marina Wastewater Treatment

Plant for the Cape Jaffa Development Company—Tonkin Consulting, Tender Documents July 2007.

• Cape Jaffa Anchorage Marina—WWTP Additional Information letter dated 14 April 2008 from Jeff Tyler, Tonkin Consulting to Planning SA (20050683LA21/JT/JT).

• Cape Jaffa Anchorage Marina—Winter Storage Lagoon letter dated 29 July 2008 from Jeff Tyler, Tonkin Consulting to Masterplan SA (20050683LA37/JT/JT).

• Cape Jaffa Anchorage Stage 1 and 2 Wastewater Storage Lagoon Geometric Setout Plan for Cape Jaffa Development Company by Tonkin Consulting, Job Number 2005.0683, Sheet Number’s 115, 116 and 117, Revision B.Drawing titled: Steed & Pohl Ref PT CT 6022/406 Plan of Division to Supersede Allotments 494-497 (Incl) in 640/D004/06 Piece 2005 in D79232 of Sec 92 submitted on 1 October 2009.In addition, the following drawings, including planning report and letter from Masterplan (Wayne Gladigau) on 8 August 2014 and appended to the Assessment Report:

Including:• Planning Report Proposed Community Facility at

Harbour View, Cape Jaffa for the Cape Jaffa Group 14270REP01.docx

• Site layout 322 A-001 Rev 1 dated 2013/01• Ground Floor Plan 322 A-100 Rev 3 dated 2013/01• Elevations 322 A-110 Rev 1 dated 2013/01• Elevations 322 A-111 Rev 1 dated 2013/01• 3D Views 01 322 A-120 Rev 1 dated 2013/01• 3D Views 01 322 A-121 Rev 1 dated 2013/01• Perspectives 322 A-122 Rev 1 dated 2013/01• Site Plan Proposed Community Facility by Masterplan

July 2014 DS:14270_1.0• Location Plan by Masterplan July 2014 DS:14270_1.0

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 229

• Letter dated 25 August 2014 from Mark Hayward Cape Jaffa Anchorage

• Letter by Masterplan to John Rau dated 8 August 2014(b) The following documents:

• Development application, ‘Cape Jaffa Anchorage Marina Development’ prepared by Simon Tonkin (Masterplan) on behalf of the Cape Jaffa Development Company dated 20 February 2003, (except to the extent that it may be varied by a subsequent document in this paragraph).

• Environmental Impact Statement, Cape Jaffa Anchorage Marina prepared by the Cape Jaffa Development Company dated February 2005 (except to the extent that it may be varied by a subsequent document in this paragraph).

• Response to Submissions document, Cape Jaffa Anchorage Marina Development prepared by the Cape Jaffa Development Company dated 19 September 2005 (except to the extent that it may be varied by a subsequent document in this paragraph).

• Assessment Report prepared by the Minister for Urban Development and Planning dated December 2005 including an appended report from Simon Tonkin of Masterplan dated 4 November 2005 (except to the extent that it may be varied by a subsequent document in this paragraph).

• Letter from Simon Tonkin of Masterplan dated 11 November 2005, outlining the final amended application and listing appropriate plans.

• Letter from Simon Tonkin of Masterplan dated 18 April 2006, concerning reserved matters (b) (ii) and (b) (iii) from Governor’s decision on 12 January 2006.

• Final Land division application 640/D004/06 lodged electronically on EDALA with the Development Assessment Commission on 1 August 2006.

• Building Rules Certification package for Stage 1 Breakwater and Waterway edge construction dated 14 August 2006 by Tecon Australia Pty Ltd.

• Letter from Kingston District Council on 28 September 2007 for an Industrial Building to be constructed by Templeton Constructions.

• An email from Templeton Constructions (Graham Dowie) on 10 October 2007 outlining proposed colour scheme for shed (Colorbond Shale Grey).

• Letter from Kingston District Council on 12 October 2007 for Building Rules Certification for an Industrial Building to be constructed by Templeton Constructions.

• Letter from Masterplan on 17 May 2007 for Concrete Batching Plant, including relevant attached information related to the Concrete Batching Plant.

• Letter from Masterplan on 30 July 2008 for ‘Substantial Commencement’ of Cape Jaffa Anchorage Marina.

• Letter from Masterplan on 20 August 2008 for a Signal Mast (15 m in height).

• Letter from Kingston District Council on 28 August 2008 for Lease Plan for Recreational Marina Berths.

• Letter from Tecon on 29 August 2008 for Building Rules Certification for Stage 2.

• Letter from Masterplan, 9 May 2008, Ref.: 11655LET02.docx including relevant attached information on the Borefield and associated pipes, wastewater treatment facility and storage lagoon.

• Letter from Masterplan, 3 November 2008, with application for alteration to existing retaining wall for a garage at Lot 523, with setback of 5.5 m.

2. The applicant shall submit further information and application(s) in relation to the matter that has been reserved.

3. Subject to Condition 4, no building works on any part of the development may commence until a favourable decision has been notified to the applicant by the Governor or the Governor’s delegate in respect of the reserved matter referred to in sub-paragraph (i), in paragraph (b) of the Decision section above.

4. The applicant may commence a stage of building works before receiving the Governor’s decision concerning building rules compliance for other stages (refer matter (i) in paragraph (b) of the Decision section above). No building works shall commence on a stage of the development until a favourable decision in relation to building rules compliance in respect of that stage has been notified in writing to the applicant by the Governor or the Governor’s delegate.

5. A decision on building rules compliance (refer reserved matter (i) in paragraph (b) of the Decision section above) will only be made after a Building Rules assessment and certification has been undertaken and issued by the Kingston District Council or a private certifier, in accordance with the provisions of the Development Act 1993 and after the Minister for Urban Development and Planning receives a copy of all relevant certification documentation, as outlined in Regulation 64 of the Development Regulations 1993 (refer to ‘Notes to the Applicant’ below for further information).

6. A Management, Maintenance and Monitoring (MMM) Agreement between the Kingston District Council and the Cape Jaffa Anchorage Marina Development Company shall be drafted and finalised, prior to being submitted to the Governor or her delegate (refer to Conditions and Notes below).

7. Before any works commence, a Construction Environmental Management and Monitoring Plan (CEMP) to cover the pre-construction and construction phases shall be prepared in consultation with and approved by the Environment Protection Authority and Planning SA, to address management issues during construction.

8. An Operational Environmental Management and Monitoring Plan (OEMMP) for the operational phase of the development shall be prepared to the reasonable satisfaction of the Environment Protection Authority, other government agencies and the Kingston District Council, prior to it being submitted to the Governor or her delegate (refer to Conditions and Notes to the Applicant below).

9. All works and site activities shall be undertaken in accordance with the approved Construction Environmental Management and Monitoring Plan.

10. Stockpiled soils shall be suitably managed to control dust emissions, erosion and weed infestation.

11. Armour rock used for breakwaters and revetments shall not be contaminated by fine sediment.

12. The wastewater collection and treatment system shall be designed to ensure that the general obligations of the Environment Protection (Water Quality) Policy 2003 are met, and to ensure that effluent does not overflow or escape from drains, pipes, sumps, tanks, storage/treatment basins into any watercourse, or into stormwater drains which do not drain into the effluent collection, treatment and disposal system, except where the effluent complies with criteria in the above policy, or escapes to or is infiltrated from saline groundwater. The treated wastewater storage lagoon leak detection and management system shall be suitably engineered to ensure that it has adequate capacity to capture and contain any potential lagoon liner leakages and groundwater intrusion. The proponent shall submit an ‘As Constructed Report’ for the wastewater treatment plant and treated wastewater storage lagoon to the Environment Protection Authority within two months of the construction work for these facilities being completed. Approval for the wastewater treatment plant from the relevant authority under the Public and Environmental Health Act 1987, has been obtained, re: letter Tony Farrer (delegate Minister of Health), 19 September 2008, Ref.: WCS 2630.

13. The proponent shall provide underground power supply, public lighting, a sustainable water supply and telephone supply to each allotment in accordance with and to engineering design standard plans approved by the electricity, mains water and telephone public utility authorities.

14. The applicant shall ensure that there is no discharge of stormwater into the marina basins, waterways or marine environment for rainfall less than and including, 1:20 year ARI events.

15. The land to be used for land-based allotments shall be formed to prevent stormwater flows entering into the waterways.

16. Water-sensitive urban design measures and practices shall be adopted for the management of run-off, including stormwater capture and re-use.

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230 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

17. Undeveloped allotments shall be left in a neat and tidy condition, with soil surfaces stabilised to minimise erosion.

18. Roads, drainage, footpath and intersection designs (i.e. engineering construction plans) shall be finalised in accordance with the requirements of the Department for Transport, Energy and Infrastructure and the Kingston District Council, prior to construction commencing. Road and drainage designs shall include water table levels, drainage inverts and pavement details. The roads and drainage works shall be built according to these designs.

19. Road designs shall not affect existing natural drainage lines in such a way as to cause flooding.

20. The applicant shall bear all costs with providing a Type BAR Treatment (sealed shoulder widening to provide a right turn treatment on the Southern Ports Highway) at the intersection of the Southern Ports Highway/Cape Jaffa Road as shown in the Austroads ‘Guide to Traffic Engineering Practice, Part 5—Intersections at Grade’ to a standard suitable to the Department of Transport, Energy and Infrastructure before the issue of title occurs for Allotment No. 170 on the attached plan of division.

21. Appropriate navigational aids shall be erected in prominent locations, in consultation with the Department for Transport, Energy and Infrastructure, prior to use of the facility for boating purposes.

22. Access systems for all floating boat moorings shall be capable of adjustment or be readily adaptable to projected long-term sea level rise and all marina mooring structures shall be designed in accordance with the Australian Standard AS 3962-2001 Guidelines for Design of Marinas.

23. The public boat ramp facility shall be designed in accordance with the South Australian Boating Advisory Committee’s Guidelines for Planning, Design and Construction of Boat Launching Facilities.

24. Vehicular access to the beach shall not be provided, apart from Emergency vehicles, once the boat ramp is constructed and operational in the marina (as this relates to the Major Developments declared area).

25. The boat refuelling area and marine toilet pump-out facility shall be designed to meet the requirements of the Environment Protection Authority, the Department for Transport, Energy and Infrastructure and the Country Fire Service (CFS) respectively and shall be in place prior to commencement of operation of the marina.

26. The water contained in the marina basin shall be kept to a quality appropriate for secondary contact recreation, public amenity and the maintenance of marine aquatic ecosystems, as stipulated from time to time by the ANZECC Australian Water Quality Guidelines for Fresh and Marine Waters.

27. Normal operating hours for construction activities and truck movements to and from the site shall be from 7 a.m. to 7 p.m., Monday to Saturday inclusive. If it is considered necessary for construction to be undertaken on Sundays, construction hours shall be from 9 a.m. to 6 p.m. on Sundays (refer to Notes to the Applicant relating to Environment Protection Authority noise emission policies).

28. Landscaping and streetscaping of the site with locally endemic plant species shall commence prior to the issuing of Certificates of Title for each stage of the land division and when established must be maintained in good health and condition at all times. A plant must be replaced if or when it dies or becomes seriously diseased within the first growing season after the plant dies or becomes seriously diseased. A weed control program shall also be implemented.

29. The Kingston District Council shall be given seven days notice, prior to the commencement of works, and be provided with the name and contact facilities for the person responsible for co-ordinating site works by this approval.

30. Road Construction/Design:(a) Seal

Streets shall be surfaced with a two coat bitumen seal of 14 mm seal overlay with a 7 mm seal, with a total seal width in accordance with Clause (e) below.

(b) Pavement Construction—BaseThe following minimum standards shall apply:• To comply with standard APRG 21 for residential

areas.• Commercial roads will be developed and designed to

the reasonable satisfaction of the Kingston District Council.

• To be compacted to 98% dry density ratio (AS1289.5.2.1).

• Minimum soak CBR at above compaction to be 80.• Minimum thickness of 200 mm.• Level tolerance on completed course 10 mm, +10 mm.

(c) Seal for IntersectionsAt the discretion of Council all intersections associated with the development including the circular end of cul-de-sacs in residential areas shall be sealed with 25 mm thickness asphaltic concrete (hotmix) laid in compliance with Department for Transport, Energy and Infrastructure standard specifications, and with maximum aggregate size of 10 mm for a distance of 10 m from the intersection or at the entrance to the cul-de-sac.At the discretion of Council, all intersections associated with the development including the circular end of cul-de-sacs in commercial areas shall be sealed with 40 mm thickness asphaltic concrete (hotmix) laid in compliance with Department for Transport, Energy and Infrastructure standard specifications and with maximum aggregate size of 10 mm for a distance of 10 m from the intersection or at the entrance to the cul-de-sac.In the case of ‘T’ intersections or cross road intersections within a development, the specified seal shall be provided at the intersection and for a distance of 10 m from the intersection in each direction on each road.

(d) Cul-de-sac EndsCul-de-sac ends shall have a seal of 9 m radius to accommodate the operation of refuse collection vehicles and other larger vehicles.

(e) Road Reserve and Road WidthCouncil requirements for road reserves shall be as follows:

Road Reserves (Entrance to cul-de-sacs) 12.5 m.Road Reserves (Other) 15 m.Cul-de-sac Ends Road Reserves (circular) 25 m.Cul-de-sac Ends Road Reserves (other) to be agreed with Kingston District Council.

All Other Streets (e.g. commercial) to be to the reason-able satisfaction of the Kingston District Council.The following minimum road seal widths shall apply:

All Residential Streets 7 m.Cul-de-sac (entrance) 6 m.Cul-de-sac Ends (circular) 9 m radius.Cul-de-sac Ends (other) to the reasonable satisfaction of the Kingston District Council.

All Other Streets (e.g. commercial) to be agreed with the Kingston District Council.

(f) Footpaths• Provide interlinking footpaths, walkways and/or

bicycle tracks within the development area that shall allow safe passage of pedestrian or bicycle traffic to the reasonable satisfaction of the Kingston District Council.

• Footpaths, walkways and/or bicycle tracks shall have a minimum 3 m width where the track will be used as a dual bicycle and walking thoroughfare and be designed and constructed with appropriate materials to the reasonable satisfaction and approval of the Kingston District Council.

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 231

(g) Water Tables and Kerbing• Both edges of all streets shall be protected by the

provision of an extruded kerb and gutter or concrete edge beam of a cross section approved by the Kingston District Council.

• The concrete edge beam shall have top surface set flush with the finished bitumen surface as approved by the Kingston District Council.

• Generally, if raised kerbing is installed, the kerb and gutter shall have a mountable type profile approved by the Kingston District Council.

• Pram ramps complying with the requirements of AS1428-1993, Clause 5.8 shall be constructed wherever a footpath intersects a kerb line and at an opposite street corners.

• Pram ramps shall be of reinforced concrete construction at least 100 mm thick.

• Spoon drains shall be constructed with top profile approved by the Kingston District Council. Spoon drains shall have a minimum thickness at 200 mm and shall be reinforced with F82 mesh centrally placed.

• All concrete used for pram ramps, vehicle access, crossing and spoon drains will be grade 25 mpa/20 mm. Concrete in extruded kerb and gutter and medium kerbing shall have a minimum 28 day strength of 20 mpa.

(h) Drainage• A detailed drainage design shall be provided for all of

the proposed development, and if necessary, due to existing land form, include areas outside the proposed development but within the drainage catchment affecting the development.

• Design shall be in accordance with procedures in the current edition of ‘Australian Rainfall and Run-off (IEA)’ or to the reasonable satisfaction of the Kingston District Council.

• As a general rule return period is to be five years, but engineering discretion should be used in areas where storm damage may be more significant (i.e. shopping areas, end of cul-de-sacs, etc.).

• Drainage computations are required to be prepared by a qualified and experienced Engineer and submitted with the detailed engineering drawings for the proposal.

• All stormwater run-off attributable to the proposal shall be adequately disposed of within the development area in accordance with the development authorisation or variations thereof.

• As a general rule, side entry pits shall be spaced at no greater than 100 m and at closer spacing if required, depending on conditions and detailed design.

• Drainage bores and associated settlement tanks shall be constructed to meet the requirements of Council and the Department of Primary Industries and Resources. Drainage capacity of any bore shall exceed the calculated drainage discharge for the designated stormwater system and the bore is to be proved to the reasonable satisfaction of the Kingston District Council.

• Storage basins capable of holding the run-off of the designated rainfall storm shall be provided at suitable locations if drainage bores prove to be unacceptable.

• Spoon drains, when required at junctions, shall be constructed to maintain the pavement width of the through street and to ensure continuity of flow of all stormwater. A spoon drain shall not be constructed across a through street.

• All stormwater storage basins shall be provided with appropriate warning signs to the reasonable satisfaction of the Kingston District Council.

• Council requires a separate drainage reserve in land divisions of adequate area to provide stormwater treatment and retention for a one in five year storm event in residential areas and a one in 10 year storm event in other zones. Any requirements above these limits may be incorporated into the public open space calculation.

• Swale drains shall be constructed with side slopes of three horizontal: one vertical to facilitate maintenance slashing. The longer general gradients shall be no steeper than that consistent with avoidance of scouring, have regard to soil type, vegetation cover and the design flow average velocity. Where site conditions are not consistent with this requirement, the drain shall be rock lined, or shall incorporate steps or drop structures, with appropriate protection against local scouring. Details of these provisions shall be subject to the specific approval of the Kingston District Council.

(i) Street Lighting• Street lighting shall be provided throughout the

subdivision. The following minimum categories (AS 1158.0-1997) will apply.

• Roads B2.• The street lights and poles shall be of a type approved

by the Kingston District Council.(j) Street Names, Numbers and Signage

• All naming of roads shall be in accordance with Section 219 of the Local Government Act 1999.

• All numbers assigned to allotments shall be in accordance with Section 220 of the Local Government Act 1999.

• Kingston District Council reserves the right to name all roads.

• Street signs shall be supplied (from an approved supplier) and erected so as to indicate the appropriate streets to the reasonable satisfaction of the Kingston District Council.

(k) Landscaping and Tree PlantingAll proposed landscaping and tree planting proposed as part of the development shall be provided to the reason-able satisfaction of the Kingston District Council.

(l) Electricity SupplyElectricity supply shall be under-grounded throughout the subdivision. The proponent shall make arrangements with ETSA for the provision of an adequate electricity supply to each allotment.

(m) Water SupplyWater supply services shall be installed in accordance with Australian Standard AS/NZS 3500.1.2 and any other relevant approvals and standards for the installation of a full reticulated water system, for the provision of an adequate water supply to each created allotment and in accordance with the development authorisation granted by the Governor.

(n) Sewer and Waste Water Disposal• The proponent shall be responsible for the design and

construction of a suitable sewer and waste water system to service the allotments within the subdivision and in accordance with the development authorisation granted by the Governor.

• The proponent shall provide Council with a full design and specifications for the sewer and waste water disposal system. All design specifications to meet the requirements of the Kingston District Council.

(o) Reserves and Easement for Stormwater Drainage and Electricity Supply• The requirements of the Electricity’s Trust of South

Australia with respect to the provision of easements shall be met.

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• Drainage reserves under the control of the Kingston District Council shall be provided over any storm-water retention basin, settling pond, gross pollution trap or like structure, not located on a road reserve.

(p) Open Space• The proponent, at the discretion of Council, may be

required to provide open space associated with the development to satisfy the requirements of the Development Act provisions.

• The proponent shall provide all open space reserves as shown in the approved layout plan.

• In the event that the requirements as to the provision of open space are not satisfied, the proponent shall forward the appropriate monetary contribution for the open space requirement to Council as applicable under the Development Act or the State Government Planning and Development Fund. (All contributions received by Council will be appropriated to an open space development reserve fund).

31. That all car parks, driveways and vehicle manoeuvring areas shall conform to Australian Standards and be constructed, drained and paved with bitumen, concrete or paving bricks in accordance with sound engineering practice and appropriately line marked to the reasonable satisfaction of the Kingston District Council to the occupation or use of the development.

32. That the air conditioning or air extraction plant or ducting shall be screened such that no nuisance or loss of amenity is caused to residents and users of properties in the locality to the reasonable satisfaction of the Development Assessment Commission.

33. That all external lighting of the site, including car parking areas and buildings, shall be designed and constructed to conform with Australian Standards and must be located, directed and shielded and of such limited intensity that no nuisance or loss of amenity is caused to any person beyond the site.

34. Graffiti shall be removed within five business days of the graffiti becoming known or visible with the timely removal of graffiti being the responsibility of the operators of the development.

35. That all stormwater design and construction shall be in accordance with Australian Standards and recognised engineering best practices to ensure that stormwater does not adversely affect any adjoining property or public road.

36. An acoustic report shall be prepared by a professional acoustic engineer demonstrating operational compliance with the Environment Protection (Noise) Policy 2007.

37. Amplified music should not be played at the development unless it is designed to meet, and the playing of music has regard to the EPA’s Guideline Development proposal assessment for venues where music may be played.NOTE:

• The Council, when dealing with land division applications, seeks where appropriate to have open space reserve contributions in parcels of at least 2 000 m2. Such areas should link with other reserves where possible and practicable.

• Open space reserves in the land division area shall be developed in conjunction with and to the reasonable satisfaction of the Kingston District Council.

• In instances where screening reserves are required, the development approval and/or land management agreement, shall include a requirement for the proponent to fence the screening reserve and develop the reserve in accordance with a plan approved by Council.(q) Construction Record

The proponent shall supply the Kingston District Council with complete records including:• Compaction test reports for all bulk earthworks,

service trench backfilling and base.• Material quality test reports (base and backfill).• As constructed design and levels for stormwater drains,

base, top of kerb, etc.

(r) Defects Liability Period• The proponent shall lodge with Council (unless

Council is the construction contractor) a standard agreement to indemnify Council against any defects that occur in the engineering works within 12 months of the date of practical completion. The date of practical completion will be the date that Council accepts the engineering works.

• The agreement shall provide for the faults to be rectified by the applicant or to reimburse Council the full costs of all necessary works.

• Council will notify the proponent in writing of practical completion.

• The proponent is required to notify Council when the following stages of the engineering works have been achieved and will not proceed until such works have been inspected and approved (including appropriate testing if required) by Council:o Base preparation prior to placement of pavement in

all roads and footpaths.o Kerb preparation alignment including base

compaction and alignment.o Prior to backfilling trenches for underground storm-

water and effluent drainage.o Prior to placing seal coat.

(s) NuisanceThe proponent shall control dust and noise nuisance as the project proceeds. In the most adverse climatic conditions, operations shall be suspended if necessary to reduce nuisance and to avoid undesirable environmental impacts. All operations shall be conducted in the most efficient and reasonable manner. The Environment Protection Authority requirements shall be observed.

31. Building• All fixings shall be suitably corrosion proofed to meet the

requirements for a near marine location.• The Owner/Builder shall give Council a minimum of one

business day’s notice of the following:(i) commencement of building work on the site;(ii) the intention to place concrete for construction;(iii) completion of the building work and any items

required by Development legislation.• Where the distance between the catwalk and the finished

surface below as at low tide exceeds 1 m that part of the catwalk shall have balusters barriers or horizontal wires with openings limited so as not to permit at any time a 125 mm sphere to pass through.

32. Adequate provision shall be made to minimise the effects of extreme storm events on the structural stability of the retaining wall to be located along the frontage of all water front allotments.

33. The proponent shall install the grassed swales and retention basins as outlined in the ‘Cape Jaffa Anchorage Environmental Impact Statement, February 2005’.

34. The proponent shall develop and implement a maintenance schedule to ensure that the stormwater treatment device is maintained in a fully operational manner.

35. Stormwater from the site shall be managed to ensure that is does not pollute the underground aquifer.

36. The proponent shall implement the Soil Erosion and Drainage Management Plan prior to the commencement of construction of the site in accordance with the principles outlined in the Stormwater Pollution Prevention Code of Practice for Local, State and Federal Governments. The plan shall be submitted to the planning authority prior to construction commencing.

37. All building allotments shall be capable of connection to sewer.Concrete Batching Plant

38. The development shall be carried out in accordance with the plans (reference job No. 05-10602) and details in the variation to the development authorisation except for as otherwise varied by any conditions that follow.

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 233

39. The boundary of the Concrete Batching Plant, shown as the shaded area in Figure 2, Appendix C of the application shall be a minimum of 100 m from the nearest sensitive receptor.

40. All roadways, entrances, loading/unloading areas, and other vehicle traffic areas on the site shall be maintained at all times so that potential for dust generation is minimised and does not create a nuisance off-site.

41. All stockpiles of raw materials shall be located within storage bunkers/bays, and stored below the height of the bunker walls. The storage bunkers/bays shall be oriented to minimise the effects of the prevailing wind (i.e. prevailing wind direction must be taken into account). Sprinklers shall be installed and utilised as required to minimise dust generation.

42. The aggregate bins and hoppers shall be fitted with a three-sided and roofed cover suitable for minimising the potential for generation of windborne material where a front-end loader is used.

NOTE: Covering is considered best practice for the loading of sand and aggregate via a front-end loader. Dust can be further minimised by ensuring gradual feed into the hopper, and by minimising the drop distance of material (i.e. by appropriate management). The use of wetted raw materials in dry weather can further minimise potential for emissions.

43. The cement storage silo shall be fitted with an appropriately sized fabric filter incorporating an effective fabric-cleaning device to eliminate emissions due to the displacement of air whilst filling.

44. The silo shall be fitted with a high level visible and audible alarm, complete with a test circuit, to guard against overfilling. It shall also be fitted with automatic delivery shutdown.

45. Any material likely to degrade water (concrete admixtures, etc.) shall be stored within a roofed and bunded compound/area, which has a capacity of at least 120% of the volume of the largest container to be stored within the bund, and which is designed and constructed to prevent the escape of material into surface or underground water resources.

NOTE: Environment Protection Authority Guideline titled Bunding and Spill Management will assist with appropriate design and management of bunded areas:

http://www.epa.sa.gov.au/pdfs/guidebunding.pdf. 46. The operation of the plant shall incorporate an effective wastewater management system to collect, treat as necessary, and re-use wastewater generated at the site. The applicant shall ensure that waste is not discharged to any waters or on land from which it is likely to enter waters either by seepage (or rising water table) or from carriage by wind, rain, or stormwater.

47. Any wastewater (e.g. in the wash out pit) generated by the plant that is not suitable for re-use shall be collected for off-site disposal by a licensed waste depot.

48. The plant may operate from 5 a.m. to 5 p.m., seven days per week during the construction program of the marina provided that no sensitive receptors are located within 200 m of the Concrete Batching Plant, shown as the shaded area in Figure 2, Appendix C of the application. Following the completion of the marina and/or once a sensitive receptor is located within 200 m of the plant; the plant may operate from 6 a.m. to 5 p.m., Monday to Saturday. Operation outside of these hours may only be granted for special projects following application to the Environment Protection Authority.NOTES TO THE APPLICANT

1. Tenure arrangements for the private moorings should be negotiated with the Department for Transport, Energy and Infrastructure.

2. All construction works shall be undertaken in accordance with the approved Construction Management Plan and Soil Erosion and Drainage Management that form part of the Governor’s development authorisation dated 12 January 2006.

3. Binding arrangements (to the reasonable satisfaction of the Development Assessment Commission) need to be made for the permanent management and maintenance of the approved marina proposal as part of the Governor’s development authorisation dated 12 January 2006.

4. Two copies of certified survey plans, as required under the Real Property Act 1886, should be lodged with the Development Commission for the issue of Certificate of Title, prior to titles for allotments being granted. The plans should show all easements and reserves.

5. The new sewerage system has been assessed as part of this development application and approved subject under the Public and Environmental Health Act 1987, has been obtained, re: letter Tony Farrer (delegate Minister of Health), 19 September 2008, Ref.: WCS 2630. For the sewage treatment facility and any subsequent irrigation an environmental authorisation will be required under the Environment Protection Act 1993. A licence under the Environment Protection Act 1993, will be required by the proponent prior to operation of the wastewater treatment plant. An Irrigation Management Plan will be required under this licence.

6. The applicant is reminded of its general environmental duty, as required by Section 25 of the Environment Protection Act 1993, to take all reasonable and practical measures to ensure that the activities on the whole of the site, including construction, do not pollute the environment in a way which causes or may cause environmental harm.

In terms of demonstrating the duty, preparation of the following is considered appropriate for construction work on this site:

A Soil Erosion and Drainage Management Plan to address control of run-off of stormwater during earthworks and construction work (to ensure water quality is not detrimentally affected) being prepared by the proponent and being independently certified as meeting the requirements of:

(a) the general environmental duty as defined in Part 4, Section 25 (1) of the Environment Protection Act 1993;

(b) any relevant Environment Protection Policies made under Part 5 of the Environment Protection Act 1993;

(c) any relevant Australian Standards or environmental Codes of Practice (such as the Stormwater Pollution Prevention Codes of Practice for the Building and Construction Industry).

Prior to earthworks and construction work commencing, and the works being undertaken in accordance with that plan.

7. The proponent’s attention is drawn to the EPA Information Sheet No. 7 ‘Construction Noise’ that provides guidance on minimising the potential for off-site impacts from noise associated with construction and building activities:

http://www.epa.sa.gov.au/pdfs/info_construction.pdf.8. Control measures such as water sprinkling, minimising soil

disturbance and discontinuing work during high winds should adequately address potential for dust problems from the construction of the land division.

9. Any information sheets, guideline documents, codes of practice, technical bulletins can be accessed on the following web-site:

http://www.epa.sa.gov.au/pub.html.10. Approvals will be required for all components of the

development not hereby approved, including:• The land division.• The marina moorings and other marina facilities.• The public boat ramp, hard stand, boat maintenance

facilities and car park areas.• The boat refuelling and boat effluent disposal facility.• Installation of navigational aids.• All residential, commercial, retail, tourist related and other

buildings.11. Pursuant to Development Regulation 64, the applicant is

advised that the Kingston District Council or private certifier conducting a Building Rules assessment must:

(t) provide the Minister a certification in the form set out in Schedule 12A of the Development Regulations 2008, in relation to the building works in question; and

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(u) to the extent that may be relevant and appropriate:(i) issue a Schedule of Essential Safety Provisions

under Division 4 of Part 12;(ii) assign a classification of the building under these

regulations; and(iii) ensure that the appropriate levy has been paid under

the Construction Industry Training Fund 1993.Regulation 64 of the Development Regulations 2008, provides

further information about the type and quantity of all Building Rules certification documentation for Major Developments required for referral to the Minister for Urban Development and Planning.

12. The Kingston District Council or private certifier undertaking Building Rules assessments must ensure that the assessment and certification are consistent with this provisional development authorisation (including Conditions or Notes that apply in relation to this provisional development authorisation).

13. Should the applicant wish to vary the Major Development or any of the components of the Major Development, an application may be submitted, provided that the development application variation remains within the ambit of the Environmental Impact Statement and Assessment Report referred to in this provisional development authorisation. If an application for variation involves substantial changes to the proposal, it will be processed pursuant to Section 47 of the Development Act 1993.

14. The applicant should liaise with the Department of Water, Land and Biodiversity Conservation in relation to any further testing of the proposed water supply and negotiate with DWLBC for provision of the already agreed water supply. It is acknowledged that the proponent has advised by letter (and attached documents) on 9 May of a variation to the EIS whereby the position of the borefield and associated pipeline has been altered.

15. Pursuant to the Harbors and Navigation Act 1993, the Council will be required to negotiate tenure arrangements with the Minister for Transport over the seabed on terms acceptable to the Minister prior to the commencement of construction.

16. The applicant’s CEMMP and OEMMP should be prepared taking into consideration, and with explicit reference to, relevant Environment Protection Authority policies and guideline documents, including but not limited to the Environment Protection (Air Quality) Policy 1994, the Environment Protection (Water Quality) Policy 2003, the Occupational Health and Safety Regulations, EPA Guidelines on Odour Assessment, using odour source modelling 2003, EPA Handbook for Pollution Avoidance on Commercial and Residential Building Sites 2004, EPA Bunding and Spill Management Guidelines 2004 and the EPA Stormwater Pollution Prevention Codes of Practice, in addition to other legislative requirements and Guidelines/Australian Standards requiring compliance. Also pertinent are the Environment Protection (Noise) Policy 2007, Demolition and construction noise provisions of Part 6, Division 1 Environment Protection (Noise) Policy 2007.

17. The following management and monitoring plans may be incorporated into the CEMMP or OEMMP as appropriate:

• Groundwater Management and Monitoring Plan.• Irrigation (Reclaimed Water) Monitoring and Management

Plan.• Dredging Monitoring and Management Plan.• Marine Construction Monitoring and Management Plan.• Vegetation Monitoring and Management Plan.• Site Construction Monitoring and Management Plan.• Acid Sulphate Soils Monitoring and Management Plan.• Stormwater Monitoring and Management Plan.

The following activities in relation to the components of the development hereby approved and/or requiring future approval will require licences under the Environment Protection Act 1993:

• Earthworks Drainage: the conduct of earthworks operations in the course of which more than 100 kilolitres of waste water containing suspended solids in a concentration exceeding 25 milligrams per litre is discharged directly or indirectly to marine waters or inland waters.

• Marinas and Boating Facilities: the conduct of:(1) facilities comprising pontoons, jetties, piers or other

structures (whether on water or land) designed or used to provide moorings or dry storage for 50 or more powered vessels at any one time; or

(2) works for the repair or maintenance of vessels with the capacity to handle five or more vessels at any one time or vessels 12 m or more in length.

• Dredging: removing solid matter from the bed or any marine waters by any digging or suction apparatus, but excluding works carried out for the establishment of a visual aid to navigation and any lawful fishing or recreational activity.

18. It is likely that as a condition of such licences the Environment Protection Authority will require the licensee to carry out specified environmental monitoring of water quality and to make reports of the results of such monitoring to it.

19. It is also likely that the Environment Protection Authority will require the identification to it of any vessels that visit the marina from international ports or from ports beyond Adelaide and the surrounding area, together with details of the routes travelled by such vessels (for the purpose of identifying the potential introduction of harmful marine species).

20. All works associated with the rehabilitation and remediation of the site must be undertaken in accordance with the General Environmental Duty as defined in Part 4, Section 25 (1) of the Environment Protection Act 1993, the Environment Protection (Water Quality) Policy 2003 and other relevant Environment Protection Policies made under Part 5 of the Environment Protection Act 1993, the ANZECC Best Practice Guidelines for Waste Reception Facilities at Ports, Marinas and Boat Harbours in Australia and New Zealand, draft guideline Environmental Management of On-Site Remediation and other relevant Environment Protection and Authorisation publications and guidelines.

21. The proponent is advised of the General Environmental Duty under Section 25 of the Environment Protection Act 1993, which requires that a person must not undertake any activity, which pollutes, or may pollute without taking all reasonable and practical measures to prevent or minimise harm to the environment.

22. The Management Plan for Acid Sulphate Soils should comply with Guidelines issued by the Coast Protection Board.

23. (a) The applicant is reminded of its obligations under the Aboriginal Heritage Act 1988, whereby during any works conducted, if an Aboriginal site, object or remains are found, authorisation from the Minister for Aboriginal Affairs and Reconciliation, is required to damage, disturb, interfere or remove the object, site or remains (pursuant to Section 23 of the Aboriginal Heritage Act 1988).

(b) The applicant should also have regard for the Section 23 authorisation (December 2004) and attendant conditions signed by the Minister for Aboriginal Affairs and Reconciliation in relation to the Cape Jaffa Anchorage proposal.

24. The applicant and all agents, employees and contractors, such as construction crews, must be conversant with the provisions of the Aboriginal Heritage Act 1988, particularly the requirement to immediately contact the Department of Aboriginal Affairs and Reconciliation in the event that archaeological items (especially skeletal material) are uncovered during earthmoving.

25. The applicant and the Council after hand-over, must comply with the Public and Environmental Health Act 1987, in regard to the maintenance of suitable water quality within the marina basin (and any stormwater holding ponds) to protect public health and amenity.

26. The expression ‘secondary contact recreation’ includes activities such as wading, boating and fishing in which some human contact with the water may occur, but in which the probability of bodily immersion or the intake of significant amounts of water is minimal.

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27. If foreign vessels are allowed to berth in the marina the proponent would need to consult with the Department for Transport, Energy and Infrastructure (Marine Safety section) to address any requirements of the Australian Quarantine Service (AQIS) and the Australian Customs Service.

28. It is recommended that the applicant approach the Kingston District Council with a view to the Council enacting of by-laws to manage activities associated with:

• The entrance channel and waterways to ensure safe navigation and to protect water quality.

• The boat ramp, washdown, slipways and hardstand.• Refuelling facility and marine toilet pump-out facility.• The residential development and reserves (including storm-

water management devices).29. The Kingston District Council will need to review and

amend the zoning policies in the relevant Development Plan to reflect any development approved by the Governor and for future assessment and decision-making for buildings and structures not part of this provisional development authorisation.

30. Noise generated from the non-residential components of the development should not exceed:

(1) 52dB(A) between the hours of 7 a.m. and 10 p.m. measured and adjusted at the nearest existing residential property in accordance with the Environmental Protection (Industrial Noise) Policy 1994.

(2) 45dB(A) between the hours of 10 p.m. and 7 a.m. measured and adjusted at the nearest residential property in accordance with the Environment Protection (Industrial Noise) Policy 1994.

(3) A short term typical maximum noise level of 60dB(A) when measured at the nearest existing residential property.

31. In a land division, provision shall be made for a set back distance of 2 m from the top of the edge treatments (for the construction of coastal protection works if required in the future).

32. A common building scheme encumbrance or equivalent device for the purpose of ensuring compliance with design standards for residential and other buildings will be required prior to the lodgement of development applications.

33. Binding legal arrangements (e.g. easements, encumbrances, charge-back arrangements, etc., as appropriate) between the proponent and allotment owners must be put in place, prior to application to the Registrar-General for the issue of new Certificates of Title, to ensure financial and management responsibilities related to the maintenance of edge treatments, the design and appearance of structures and the installation of future coast protection works are clearly allocated. These arrangements should be to the reasonable satisfaction of the Development Assessment Commission.

34. Any further upgrading of the intersection of the Southern Ports Highway/Cape Jaffa Road shall be borne by the Department of Transport, Energy and Infrastructure and/or Council. The applicant will not be required to contribute to any further upgrading as this relates to the currently approved development.

35. An environmental authorisation in the form of a licence is required for the operation of the Concrete Batching Plant. The New Licence Application that was submitted in May 2007 is considered to remain valid unless the information contained within the application changes. Please submit the necessary copy of development approval (i.e. this notice) for the Concrete Batching Plant.

36. A licence may be refused when the applicant has failed to comply with any conditions of development approval imposed at the direction of the Environment Protection Authority.

37. Any information sheets, guideline documents, codes of practice, technical bulletins, etc. that are referenced in these notes can be accessed at http://www.epa.sa.gov.au.

38. Based upon current knowledge and information the proposed development and development site is at some risk of coastal erosion and inundation due to extreme tides notwithstanding any recommendations or advice herein, or may be at future risk. Neither erosion nor the effect of sea level change on this can be predicted with certainty. Also mean sea level rise may rise by more than the 0.3 m assumed in assessing the land division applications. Accordingly neither the South Australian Coast Protection Board nor any of its servants, agents or officers accepts any responsibility for any loss of life and property that may occur as a result of such circumstances.

39. The Minister has a specific power to require testing, monitoring and auditing under Section 48C of the Development Act 1993.

40. Due to the proximity of the proposed community facility to the waters of the marina it is recommended that water sensitive urban design (WSUD) measures be applied. It is essential that the receiving water is protected from increased runoff and pollutants in stormwater that is generally associated with urban development. Use of the principle WSUD assists in offsetting these effects of the urban development.

41. Consideration should be given to the EPA Guideline exhaust ventilation in commercial and institutional kitchens (2011) provides information for operators of commercial kitchens and potential impacts on nearby residents.Given under my hand at Adelaide, 18 December 2014.

T. BYRT, Presiding Member, Development Assessment Commission

ELECTORAL ACT 1985House of Assembly Results of the By-election for the

District of FisherA WRIT for the election of a member of the House of Assembly District of Fisher was issued on Saturday, 8 November 2014. Polling took place on Saturday, 6 December 2014 and the Writ was returned on Friday, 19 December 2014.

The result of the election is as follows:District: FisherElected Candidate: COOK, NatAffiliation: Australian Labor Party

Pursuant to Section 96 (11) of the Electoral Act 1985, the following are the votes attributed to the two un-excluded candidates in the by-election for the District of Fisher.

Final Votes after Distribution of Preferences of ExcludedCandidates

Candidate Number Percentage Affiliation

Cook, Nat (elected) 10 284 50.02%

ALP

Harris, Heidi 10 275 49.98%

Liberal Party

K. MOUSLEY, Electoral CommissionerECSA 259/2014

ELECTORAL ACT 1985: PART 9, DIVISION 5Declared Institutions

PURSUANT to Section 83 of the Electoral Act 1985, I, Kay Marie Mousley, Electoral Commissioner, hereby pronounce the following as declared institutions for the House of Assembly District of Davenport:

THE SCHEDULE

Resthaven—Bellevue Heights, 47 Eve Road, Bellevue Heights, S.A. 5050.

Estia Health (formerly Skyline Residential Care Facility),40 Skyline Drive, Flagstaff Hill, S.A. 5159.

Dated 8 January 2015.K. MOUSLEY, Electoral Commissioner

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236 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

ECSA 289/2014

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 237

ELECTORAL ACT 1985: PART 3, DIVISION 4District Polling Places

PURSUANT to Section 18 of the Electoral Act 1985, I, Kay Marie Mousley, Electoral Commissioner, appoint the following places to be polling places for the House of Assembly District of Davenport:

Bedford Park, Bellevue Heights, Blackwood, Blackwood Central, Coromandel Valley, Eden Hills, Flagstaff Hill, Flagstaff Hill East, Hawthorndene.

Dated 8 January 2015.K. MOUSLEY, Electoral Commissioner

ECSA 289/2014

ENERGY PRODUCTS (SAFETY AND EFFICIENCY)ACT 2000

Prohibition of Sale and Use of Energy ProductsI, ROBERT FAUNT, Technical Regulator under the Electricity Act 1996, acting pursuant to Section 8 of the Energy Products (Safety and Efficiency) Act 2000, being of the opinion that that the energy products listed below are or are likely to become unsafe in use, hereby prohibit the sale and use in South Australia of:

Ecables copper clad aluminium RE 110 insulated power cables.This relates to all sizes and configurations of power cable with

RE110 insulation, which includes all SDI sizes 10 mm2 to 630 mm2 and multicore sizes 6 mm2 to 50mm2.

This prohibition of sale and use is effective from the date of this notice.

For further information contact Ecables on:Phone (03) 9706 9058Email: [email protected]

R. FAUNT, Technical Regulator

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238 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

ENVIRONMENT PROTECTION ACT 1993Approval of Additional Collection Depot

I, ANDREA KAYE WOODS, Team Leader, Container Deposit Legislation and Delegate of the Environment Protection Authority (‘the Authority’), pursuant to Section 69 of the Environment Protection Act 1993 (SA) (‘the Act’) hereby:Approval of Additional Collection Depot

(i) Approval of Collection Depot:Approve the collection depot identified by reference to the following matters, to receive all containers belonging to a class of containers which is, at or subsequent to, the date of this Notice, approved as Category B Containers:

(a) the name of the collection depot described in Column 1 of Schedule 1 of this Notice;(b) the name of the company identified in Column 2 of Schedule 1 of this Notice;(c) the name of the proprietor of the depot identified in Column 3 of Schedule 1 of this Notice;(d) the location of the depot described in Columns 4-7 of Schedule 1 of this Notice; and

(ii) Conditions of Approval:Impose the following conditions of these approvals:

(a) If the Approval Holder’s name or postal address (or both) changes, then the Approval Holder must inform the Authority in writing, within 28 days of the change occurring.

(b) If the collection depot is sold to another party, the Approval Holder must inform the Authority in writing, within 28 days of settlement.

(c) The Approval Holder who wishes to cease operation of the depot shall notify the Authority in writing no less than 14 days from the date of closing.

(d) The Approval Holder, or a person acting on his or her behalf, must not pay a refund on, or seek reimbursement for, containers that the Approval Holder, or the person acting on his or her behalf, knows were not purchased in South Australia.

(e) The Approval Holder must ensure that prominent signage is displayed, detailing the offence and the penalties under Section 69 the Act, for presenting interstate containers for refund.

SCHEDULE 1

Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7

Depot Name Company/Trading Name Proprietors Depot Location

StreetDepot Location

SuburbCertificate of Title No. Volume/Folio

No.Collection

Area

Scout Recycling Centre Pooraka

Scout Australia SA Branch, trading as Scout Recycling

Scout Association of Australia (SA Branch)

9 Maxwell Road Pooraka n/a Metro

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 239

FISHERIES MANAGEMENT ACT 2007: SECTION 115TAKE notice that pursuant to Section 115 of the Fisheries Management Act 2007, Acting Professor Luciana Möller of the School of Biological Sciences, Flinders University, P.O. Box 2100, Adelaide, S.A. 5001 (the ‘exemption holder’) or a person acting as her agent, is exempt from Sections 71 (1) (b) and 71 (2) of the Fisheries Management Act 2007, but only insofar as they may undertake the activities described in Schedule 1, subject to the conditions set out in Schedule 2, from 26 December 2014 until 20 December 2015, unless varied or revoked earlier.

SCHEDULE 1Biopsy sampling and or observational activities may be

undertaken on the following species:• Blue Whale (Baleanoptera musculus)

50 +50 other/yr biopsy sampling, mark and recapture.• Fin Whale (Baleanoptera physalus)• Dwarf Sperm Whale

50 individuals/year—biopsy sampling, mark, recapture25 individuals—satellite tagging and concurrent biopsy sampling.25 individuals—satellite tagging and concurrent biopsy sampling.

• Sei Whale (Baleanoptera borealis)• Bryde’s Whale complex (Baleanoptera edeni)• Humpback Whale (Megaptera novaengliae)• Southern Right Whale (Eubalaena australis)• Sperm Whale (Physeter microcephalus)

50 individuals/year—biopsy sampling, mark, recapture.• Pygmy Right Whale (Caperea marginate)• Dwarf Sperm Whale (Kogia breviceps)• Common Bottlenose Dolphin (Tursiops truncates)• Burrunan Dolphin (Tursiops sp.)• Short-beaked Common Dolphin (Delphinus delphis)• Dusky Dolphin (Lagenortynchus obscurus)• Risso’s Dolphin (Grampus griseus)• False Killer Whale (Pseudorca crassidens)• Killer Whale (Orcinus orca)• Long-finned Pilot Whale (Globicephala macrortynchus)• Common Minke Whale (Balaenoptera acutorostrata)• Antarctic Minke Whale (Balaenoptera bonaerensis)• Flying observations—fixed wing aircraft.

3 hours flying time per day out of total of 12 hours for 2014.

• Faecel sampling of all cetaceans, as required.• Acoustic recording, as required.• Photo-identification of cetaceans, as encountered

The photographing, videoing (above and below the water), aerial spotting, acoustic recording and faecal sampling of cetaceans.

SCHEDULE 21. The exempted activity is permitted in South Australian

Marine Coastal Waters including Marine Parks but excluding Sanctuary zones and restricted access zones (unless authorised by a permit under the Marine Parks Act 2007), and excluding Aquatic Reserves and the Adelaide Dolphin Sanctuary.

2. The exemption holder must make all reasonable attempts to minimise interference with the animals’ natural activities.

3. Any unexpected deaths, injuries or other complications that impact on the wellbeing of any species while undertaking the exempted activity must be reported to PIRSA Fisheries on1800 065 522 as soon as practicable.

4. No cetacean of any species may be removed from the water. Cetaceans must remain supported in a sling whilst being tagged.

5. The following persons are authorised to act as agents under this exemption:

Flinders University School of Biological Sciences:• Acting Professor Luciana Meller• Dr Catherine Attard• Dr Kerstin Bilgmann• Dr Guido Parra• Maria Cecilia Passadore• Nikki Zanardo• Timothy Hunt• Fernado Diaz Aguirre

Australian Marine Mammal Centre.• Dr Michael Double

Cascadia Research and NOAA, U.S.A.• Dr Alexandre Zerbini

Blue Print Marine, Perth• Dr Sarah Laverick

Fundacao Universidade, Federal in Rio Grande, Brazil• Dr Eduardo Secchi

6. Before undertaking the exempted activity, the exemption holder or a person acting as an agent must contact PIRSA Fishwatch on 1800 065 522 and answer a series of questions about the exempted activity. The exemption holder will need to have a copy of the exemption at the time of making the call and be able to provide information about the area and time of the exempted activity, the vehicles and/or boats involved, the number of agents undertaking the exempted activity and other related questions. Exemption No. ME9902748.

7. While engaged in the exempted activity, the exemption holder or agent must be in possession of a copy of this notice. Such notice must be produced to a Fisheries Officer immediately upon request.

8. The exemption holder must provide a report in writing detailing the outcomes of the research and collection of organisms pursuant to this notice to the Executive Director, Fisheries and Aquaculture (G.P.O. Box 1625, Adelaide, S.A. 5001) within 30 days of the final collection (the exempted activity) with the following details:

• the date, time and location of sampling;• the number and description of all species collected; and• any other information deemed relevant or of interest that is

able to be volunteered.9. The exemption holder must not contravene or fail to comply

with the Fisheries Management Act 2007, or any regulations made under that Act, except where specifically exempted by this notice.

This notice does not purport to override the provisions or operation of any other Act including, but not limited to, the Marine Parks Act 2007. The exemption holder and his agents must comply with any relevant regulations, permits, requirements and directions from the Department of Environment, Water and Natural Resources when undertaking activities within a marine park.Dated 19 December 2014.

S. SLOAN, Director, Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 115TAKE notice that pursuant to Section 115 of the Fisheries Management Act 2007, Dr Nick Whiterod of Aquasave Nature Glenelg Trust, 7 Kemp Street, Goolwa Beach, S.A. 5214 (the ‘exemption holder’) or a person acting as his agent, is exempt from Sections 70, 71 and 72 of the Fisheries Management Act 2007; and Regulations 7 and 10; and Clauses 39, 41, 42, 43, 44, 45, 46, 96 of Schedule 6 of the Fisheries Management (General) Regulations 2007, but only insofar as the exemption holder may take fish species specified in Schedule 1 from inland waters, whole estuaries and nearshore marine habitats of South Australia, excluding Aquatic Reserves, Marine Parks and the Adelaide Dolphin Sanctuary using the gear specified in Schedule 2 (the ‘exempted activity’), subject to the conditions specified in Schedule 3, from 20 December 2014 until 20 November 2015, unless varied or revoked earlier.

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240 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

SCHEDULE 1The collection of native fish including protected species of

Genus Ambassidae, species of Mogurnda and Nannoperca, River Blackfish (Gadopsis marmoratus), Freshwater Catfish (Tandanus tandanus), Trout Cod (Maccullochella macquariensis), Silver Perch (Bidyanus bidyanus), Murray Cod (Maccullochella peelii), Murray River Crayfish (Euastacus armatus) and South East Crayfish (Euastacus bispinosia).

SCHEDULE 2• 20 fyke nets (maximum width 10 m, minimum mesh size

1 mm).• 2 seine nets (maximum length 25 m, minimum mesh

3 mm).• 60 fish traps (maximum dimension 1 m, maximum entrance

size 10 cm).• 1 dab net per person.• 20 crab pots (Munyana nets) with 60 mm stretch mesh,

0.76 m diameter steel hoops with two eye shaped 0.18 x 0.12 m flexible entrances—for sampling of Glenelg Spiny Crayfish only.

• 1 backpack electrofisher.SCHEDULE 3

1. All fish of the genus Ambassidae, species of Mogurnda, Nannoperca, and Maccullochella and River Crayfish (Euastacus armatus) collected pursuant to this notice must be returned to the water on completion of scientific evaluation.

2. A maximum of 10 South East Crayfish (Euastacus bispinosia) can be taken for scientific purposes.

3. All non-native fish species collected must be destroyed and disposed of appropriately.

4. The specimens collected by the exemption holder and agents are for scientific and research purposes only and must not be sold.

5. The exemption holder must make all reasonable attempts to minimise interference with the animals’ natural activities.

6. The following persons are authorised to act as agents under this exemption:

• Dr Lauren Veale, P.O. Box 354, Warrnambool, Vic. 3280.• Dr Lachlan Farrington, P.O. Box 354, Warrnambool, Vic.

3280.7. Before undertaking the exempted activity, the exemption

holder or a person acting as an agent must contact PIRSA Fishwatch on 1800 065 522 and answer a series of questions about the exempted activity. The exemption holder will need to have a copy of the exemption at the time of making the call and be able to provide information about the area and time of the exempted activity, the vehicles and/or boats involved, the number of agents undertaking the exempted activity and other related questions. Exemption No. ME9902751.

8. While engaged in the exempted activity, the exemption holder or agent must be in possession of a copy of this notice. Such notice must be produced to a Fisheries Officer immediately upon request.

9. The exemption holder must provide a report in writing detailing the outcomes of the research and collection of organisms pursuant to this notice to the Executive Director, Fisheries and Aquaculture (G.P.O. Box 1625, Adelaide, S.A. 5001) within 30 days of the final collection (the exempted activity) with the following details:

• the date, time and location of sampling;• the number and description of all species collected; and• any other information deemed relevant or of interest that is

able to be volunteered.10. The exemption holder must not contravene or fail to comply

with the Fisheries Management Act 2007, or any regulations made under that Act, except where specifically exempted by this notice.

This notice does not purport to override the provisions or operation of any other Act including, but not limited to, the Marine Parks Act 2007. The exemption holder and his agents must comply with any relevant regulations, permits, requirements and directions from the Department of Environment, Water and Natural Resources when undertaking activities within a marine park.Dated 19 December 2014.

S. SLOAN, Director, Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 115TAKE notice that pursuant to Section 115 of the Fisheries Management Act 2007, Dr Rebecca Lester, Deakin University, P.O. Box 423, Warrnambool, Victoria 3280 (the ‘exemption holder’) or a person acting as her agent, is exempt from Sections 70, 71 and 72 (2) of the Fisheries Management Act 2007, Regulations 7 and 10 and Clauses 43, 46, 72, 90, 96 and 114 of Schedule 6 of the Fisheries Management (General) Regulations 2007, but only insofar as they may engage in the collection of fish (the ‘exempted activity’) from the waters in Schedule 1, using the gear specified in Schedule 2, subject to the conditions set out in Schedule 3, from 20 December 2014 until 30 November 2015, unless varied or revoked earlier.

SCHEDULE 1The waters of Lake Alexandrina and Albert.

SCHEDULE 2• 3 small-mesh fyke nets, (three metre single wing with five

hoops and drawstring cod end, with no greater than 6 mm ply mesh).

• 20 shrimp traps, (Box trap—maximum dimension 50 cm, maximum height 25 cm, and a maximum of two entrances with a diameter of 5 cm).

SCHEDULE 31. The specimens collected by the exemption holders are for

scientific and research purposes only and must not be sold.2. The exemption holder must make all reasonable attempts to

minimise interference with the animals’ natural activities.3. All native fish taken pursuant to the exempted activity must

be immediately returned to the water. All noxious or non-native species must be disposed of appropriately.

4. The exempted activity may only be conducted on the exemption holder’s behalf by Bryce Halliday.

5. Before undertaking the exempted activity, the exemption holder or a person acting as an agent must contact PIRSA Fishwatch on 1800 065 522 and answer a series of questions about the exempted activity. The exemption holder will need to have a copy of the exemption at the time of making the call and be able to provide information about the area and time of the exempted activity, the vehicles and/or boats involved, the number of agents undertaking the exempted activity and other related questions. Exemption No. ME9902750.

6. While engaged in the exempted activity, the exemption holder or agent must be in possession of a copy of this notice. Such notice must be produced to a Fisheries Officer immediately upon request.

7. The exemption holder must provide a report in writing detailing the outcomes of the research and collection of organisms pursuant to this notice to the Executive Director, Fisheries and Aquaculture (G.P.O. Box 1625, Adelaide, S.A. 5001) within 30 days of the final collection (the exempted activity) with the following details:

• the date, time and location of sampling;• the number and description of all species collected; and• any other information deemed relevant or of interest that is

able to be volunteered.

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 241

8. The exemption holder must not contravene or fail to comply with the Fisheries Management Act 2007, or any regulations made under that Act, except where specifically exempted by this notice.

This notice does not purport to override the provisions or operation of any other Act including, but not limited to, the Marine Parks Act 2007. The exemption holder and his agents must comply with any relevant regulations, permits, requirements and directions from the Department of Environment, Water and Natural Resources when undertaking activities within a marine park.Dated 19 December 2014.

S. SLOAN, Director, Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that pursuant to Section 79 of the Fisheries Management Act 2007, it is hereby declared that it shall be unlawful for any person to engage in the class of fishing activity specified in Schedule 1, in the area specified in Schedule 2 during the period specified in Schedule 3.

SCHEDULE 1The act of taking or an act preparatory to or involved in the

taking of Murray Cod (Maccullochella peelii) including the removal of any part of a Murray Cod from the water.

SCHEDULE 2Any section of the Chowilla floodplain north of the River

Murray (excluding the River Murray) between 34°946.70 South, 140°4530.38 East (Ral Ral Creek) upstream to the River Murray at 34°114.60 South, 141°09.69 East (South Australia and New South Wales border).

SCHEDULE 3From midnight 1 January 2015 to midnight on 31 July 2015.

Dated 16 December 2014.S. SLOAN, Director of Fisheries and

Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that pursuant to Section 79 of the Fisheries Management Act 2007, it is hereby declared that it shall be unlawful for any person to engage in the class of fishing activity specified in Schedule 1, in the area specified in Schedule 2 during the period specified in Schedule 3.

SCHEDULE 1The removal of any part of a Murray Cod (Maccullochella

peelii) from the water.SCHEDULE 2

In all waters of the State.SCHEDULE 3

From midnight 1 January 2015 until midnight on 31 July 2015.Dated 16 December 2014.

S. SLOAN, Director of Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that pursuant to Section 79 of the Fisheries Management Act 2007, it is hereby declared that it shall be unlawful for any person to engage in the class of fishing activity specified in Schedule 1, in the area specified in Schedule 2 during the period specified in Schedule 3.

SCHEDULE 1The removal of any part of a Murray Cod (Maccullochella

peelii) from the water.SCHEDULE 2

In all waters of the State.

SCHEDULE 3From midnight 1 August 2015 until midnight on 31 December

2015.Dated 16 December 2014.

S. SLOAN, Director of Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that pursuant to Section 79 of the Fisheries Management Act 2007, it is hereby declared that it shall be unlawful for any person to engage in the class of fishing activity specified in Schedule 1, in the area specified in Schedule 2 during the period specified in Schedule 3

SCHEDULE 1The act of fishing by trailing a baited line or lure through the

water from a moving vessel. For the purposes of this notice ‘lure’ means any artificial device used to attract fish.

SCHEDULE 2In all waters of the River Murray and Lower Lakes, excluding

the waters of the Coorong.SCHEDULE 3

From midnight 1 August 2015 until midnight on 31 December 2015.Dated 16 December 2014.

S. SLOAN, Director of Fisheries and Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that it is hereby declared that it shall be unlawful for any person fishing pursuant to a Central Zone Abalone Fishery licence to engage in the class of fishing activity specified in Schedule 1 within the area specified in Schedule 2, during the periods specified in Schedule 3.

SCHEDULE 1The act of taking or an act preparatory to or involved in the

taking of Greenlip Abalone (Haliotis laevigata) that less than 13.5 centimetres in length.

SCHEDULE 2The waters of the Central Zone Abalone Fishery.

SCHEDULE 31 January 2015 to 31 December 2015.

Dated 19 December 2014.S. SLOAN, Director, Fisheries and

Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that it is hereby declared that it shall be unlawful for any person fishing pursuant to a Central Zone Abalone Fishery licence to engage in any class of fishing activities specified in Schedule 1 within the area specified in Schedule 2, during the periods specified in Schedule 3.

SCHEDULE 1The act of taking or an act preparatory to or involved in the

taking a total of more than 9 000 kg whole-weight (3 000 kg meat-weight) of Greenlip Abalone (Haliotis laevigata) during the period specified in Schedule 3.

The act of taking any Greenlip Abalone (Haliotis laevigata) during the periods:

• 1 January 2015 until 28 February 2015; or • 1 December 2015 until 31 December 2015.

SCHEDULE 2The waters of the Central Zone Abalone Fishery commonly

known as Tiparra Reef SAU contained within the following co-ordinates (GDA94):

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242 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

340737.732S 1372648.697E340735.904S 1371933.250E340011.989S 1371930.101E340003.797S 1372646.545E

SCHEDULE 3During the period 1 January 2015 and 31 December 2015.

Dated 19 December 2014.S. SLOAN, Director, Fisheries and

Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 115TAKE notice that, pursuant to Section 115 of the Fisheries Management Act 2007, all licensed persons that do not hold a Mud Cockle (Katelysia species) quota entitlement for the Coffin Bay cockle fishing zone (the ‘exemption holder’) are exempt from Regulation 3 (1) and Clause 7 (a) Schedule 2 of the Fisheries Management (General) Regulations 2007, but only insofar as the exemption holder may engage in the activity described in Schedule 1 (the ‘exempted activity’) in the area specified in Schedule 2 under the conditions specified in Schedule 3 during the period specified in Schedule 4.

SCHEDULE 1The taking of Katelysia rhytiphora and K. peronii (commonly

known as ‘yellow cockles’ and ‘white cockles’, respectively) no less than 3.5 cm along their greatest dimension (according to Diagram 1 below) from the waters within the Coffin Bay cockle fishing zone.

Diagram 1—‘Yellow cockle’ (Katelysia rhytiphora) and ‘white cockle’ (Katelysia peronii)

SCHEDULE 21. The Coffin Bay cockle fishing zone means the waters of or

near Coffin Bay contained within and bounded by a line commencing at the line of Mean High Water Springs closest to 343036.68S, 1352246.38E (generally south-west of Farm Beach), then beginning south-westerly following the line of Mean High Water Springs to the location closest to 34 2720.32S, 1351300.83E (Point Burgess), then south-easterly to the point of commencement, but excluding any land or waters so encompassed that lie landward of the line of Mean High Water Springs.

2. The co-ordinates specified in Schedule 2 are based on the Geocentric Datum of Australia (GDA94).

SCHEDULE 31. If the exemption holder holds a Mud Cockle (Katelysia

species) quota entitlement in a cockle fishing zone other than the Coffin Bay cockle fishing zone, the exemption holder is only permitted to undertake the exempted activity once they have caught their entire quota from the other cockle fishing zone(s).

2. When undertaking the exempted activity, the exemption holder is permitted to harvest a maximum of 10 kilograms in any one day and for personal bait use only, in accordance with licence condition 4127.

3. The exemption holder must ensure that all Mud Cockle (Katelysia species) are sorted by size as soon as practicable after they have been collected, and undersize cockles are returned to the water at the location from where they were collected.

4. The exemption holder must ensure that Katelysia rhytiphora and K. peronii are separated from all other Mud Cockle species within 50 metres from the point of landing to assist checks for undersize cockles by PIRSA Fisheries Officers.

SCHEDULE 4From 19 December 2014 until 30 June 2015.

Dated 19 December 2014.S. SLOAN, Director, Fisheries and

Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 115TAKE notice that, pursuant to Section 115 of the Fisheries Management Act 2007, all licensed persons with a Mud Cockle (Katelysia species) quota entitlement for the Coffin Bay cockle fishing zone (the ‘exemption holder’) are exempt from Regulation 3 (1) and Clause 7 (a) Schedule 2 of the Fisheries Management (General) Regulations 2007, but only insofar as the exemption holder may engage in the activity described in Schedule 1 (the ‘exempted activity’) in the area specified in Schedule 2 under the conditions specified in Schedule 3 during the period specified in Schedule 4.

SCHEDULE 1The taking of Katelysia rhytiphora and K. peronii (commonly

known as ‘yellow cockles’ and ‘white cockles’, respectively) no less than 3.5 cm along their greatest dimension (according to Diagram 1 below) from the waters within the Coffin Bay cockle fishing zone.

Diagram 1—‘Yellow cockle’ (Katelysia rhytiphora) and ‘white cockle’ (Katelysia peronii)

SCHEDULE 21. The Coffin Bay cockle fishing zone means the waters of or

near Coffin Bay contained within and bounded by a line commencing at the line of Mean High Water Springs closest to 343036.68S, 1352246.38E (generally south-west of Farm Beach), then beginning south-westerly following the line of Mean High Water Springs to the location closest to 34 2720.32S, 1351300.83E (Point Burgess), then south-easterly to the point of commencement, but excluding any land or waters so encompassed that lie landward of the line of Mean High Water Springs.

2. The co-ordinates specified in Schedule 2 are based on the Geocentric Datum of Australia (GDA94).

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 243

SCHEDULE 31. The exemption holder must ensure that all Mud Cockle

(Katelysia species) are sorted by size as soon as practicable after they have been collected, and undersize cockles are returned to the water at the location from where they were collected.

2. The exemption holder must ensure that Katelysia rhytiphora and K. peronii are separated from all other Mud Cockle species within 50 metres from the point of landing to assist checks for undersize cockles by PIRSA Fisheries Officers.

3. The exemption holder may be subject to providing random samples of Mud Cockles upon request by PIRSA Fisheries Officers.

SCHEDULE 4From 19 December 2014 until 30 June 2015.

Dated 19 December 2014S. SLOAN, Director, Fisheries and

Aquaculture Policy

FISHERIES MANAGEMENT ACT 2007: SECTION 79TAKE notice that, pursuant to Section 79 of the Fisheries Management Act 2007, it is hereby declared that it shall be unlawful for the holder of any fishery authority to engage in the class of fishing activity specified in Schedule 1 during the period specified in Schedule 2.

SCHEDULE 1The use of crab pots or sand crab pots in the following waters:

All waters east of the line commencing at the seaward end of the southern Outer Harbor breakwater closest to latitude 3447.316S, longitude 13828.002E, then westerly along the geodesic to the point near Entrance beacon closest to latitude 3447.202S, longitude 13824.9E, then south south-easterly along the geodesic to a point closest to latitude 352.514S, longitude 13829.274E, then east to Mean High Water Springs at latitude 352.514S, longitude 13830.624E.

All waters east of the line commencing at the seaward end of the northern Outer Harbor breakwater closest to latitude 34°47.042S, longitude 13828.202E, then north-westerly along the geodesic to the point near Spoil Ground Pole closest to latitude 3444.851S, longitude 138°26.680E, then north-easterly along the geodesic to Mean High Water Springs between St Kilda and Gawler Point at latitude 34°41.614S, longitude 138°28.406E.

All waters in the area contained within 2 Nautical Miles from the boat ramps at the following locations:

Ardrossan (latitude 34°26.092S, longitude 137°55.045E);Black Point (latitude 34°36.379S, longitude

137°52.923E);Port Vincent (latitude 34°46.666S, longitude

137°51.774E); andStansbury (latitude 34°54.227S, longitude 137°47.861E).

The co-ordinates specified in Schedule 1 are based on the Geocentric Datum of Australia (GDA94).

SCHEDULE 2From 16 January 2015 to 28 February 2015 (inclusive) and

3 April 2015 to 6 April 2015 (inclusive).Dated 31 December 2014.

LEON BIGNELL, Minister for Agriculture, Food and Fisheries

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244 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

HOUSING IMPROVEMENT ACT 1940WHEREAS by notice published in the Government Gazette on the dates mentioned in the following table the South Australian Housing Trust Board Delegate did declare the houses described in the said table to be substandard for the purposes of Part 7 of the Housing Improvement Act 1940, the South Australian Housing Trust Board Delegate in the exercise of the powers conferred by the said Part, does hereby fix as the maximum rental per week which shall be payable subject to Section 55 of the Residential Tenancies Act 1995, in respect of each house described in the following table the amount shown in the said table opposite the description of such house and this notice shall come into force on the date of this publication in the Gazette.

Address of House Allotment, Section, etc. Certificate of Title   Volume Folio

Date and page of Government Gazette in which notice declaring house to be substandard

published

Maximum rental per weekpayable in

respect of each house

$

904 Andrews Road, Wauraltee Allotment 357 in Filed Plan 196918, Hundred of Wauraltee

5800 541 23.10.14, page 6147 126.00

24 Ayers Street, Burra (also known as Mitchell Flat)

Allotment 314 in Deposited Plan 1672, Hundred of Kooringa

5479 271 6.11.14, page 6363 120.00

Unit 9, 6 Charlton Street (also known as 6 Charlton Street), Exeter

Allotment 2 in Deposited Plan 81017, Hundred of Port Adelaide

6044 782 17.8.78, page 595 225.00

Lot 2, Greenhill Road, Summertown (Post Office Lane—Hargrave Cottage)

Allotment 2 in Filed Plan 5513, Hundred of Onkaparinga

5459 161 29.7.99, page 587 187.00

62 Murray Road, Port Noarlunga

Allotments 52 and 60 in Filed Plans 218139 and 218140, Hundred of Noarlunga

58145814

89680

24.8.89, page 648 0.00Unfit for

Human Habitation

9 Pattullo Avenue, Clare Allotment 72 in Deposited Plan 7979, Hundred of Clare

5377 639 6.11.14, page 6363 190.00

37 Victoria Terrace, (also known as 93-97 George Street), Williamstown

Allotment 201 in Filed Plan 5891, Hundred of Barossa

5841 169 31.5.73, page 2332 259.00

Dated at Adelaide, 8 January 2015. R. HULM, Director, Corporate Services, Housing SA (Delegate SAHT)

HOUSING IMPROVEMENT ACT 1940WHEREAS by notice published in the Government Gazette on the dates mentioned in the following table the South Australian Housing Trust Board Delegate did declare the houses described in the said table to be substandard for the purposes of Part 7 of the Housing Improvement Act 1940, and whereas the South Australian Housing Trust Board Delegate is satisfied that each of the houses described hereunder has ceased to be substandard, notice is hereby given that, in exercise of the powers conferred by the said Part, the South Australian Housing Trust does hereby revoke the said declaration in respect of each house.

Address of House Allotment, Section, etc. Certificate of Title   Volume Folio

Date and page of Government Gazette in which notice declaring house to be substandard

published

Flat 1, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 24.5.90, page 1430

Flat 2, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 24.5.90, page 4430

Flat 3, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 28.9.89, page 968

Flat 4, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 28.9.89, page 968

Flat 5, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 28.9.89, page 968

Flat 7, 617 Anzac Highway, Glenelg North

Allotment 40 in Filed Plan 1437, Hundred of Noarlunga

6006 560 11.4.85, page 1185

4 Chelmsford Avenue, Millswood Allotment 104 in Filed Plan 8740, Hundred of Adelaide

5147 609 29.11.01, page 5222

29 Exmouth Road, Exeter Part Allotment 313 in Filed Plan 17705, Hundred of Port Adelaide

6135 684 13.1.66, page 83

8 Grant Street, Elizabeth East Allotment 85 in Deposited Plan 59109, Hundred of Munno Para

5870 944 5.7.12, page 2981

26 Green Valley Drive, Salisbury Heights

Allotment 96 in Deposited Plan 35183, Hundred of Yatala

5106 317 27.10.11, page 4318

30 Irwin Street, Wallaroo Allotment 151 in Deposited Plan 79, Hundred of Wallaroo

5222 770 3.7.08, page 3152

4 Warwick Street, Enfield Allotment 45 in Deposited Plan 2976, Hundred of Yatala

5906 710 11.9.14, page 5209

Dated at Adelaide, 8 January 2015. R. HULM, Director, Corporate Services, Housing SA (Delegate SAHT)

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MINING ACT 1971NOTICE is hereby given in accordance with Section 28 (5) of the Mining Act 1971, that the Minister for Mineral Resources and Energy proposes to grant an Exploration Licence over the undermentioned area:

Applicant: Iluka Resources LimitedLocation: Barton Range North area—Approximately 250 km

west-south-west of Coober Pedy.Term: 2 yearsArea in km2: 950Ref.: 2014/00243

Plan and co-ordinates can be found on the Department of State Development website: http://www.minerals.statedevelopment.sa.gov.au/public_notices or by phoning Mineral Tenements on (08) 8463 3103.

J. MARTIN, Mining Registrar

MINING ACT 1971NOTICE is hereby given in accordance with Section 28 (5) of the Mining Act 1971, that the Minister for Mineral Resources and Energy proposes to grant an Exploration Licence over the undermentioned area:

Applicant: Iluka Resources LimitedLocation: Paling Range area—Approximately 260 km north-

west of Tarcoola.Term: 2 yearsArea in km2: 629Ref.: 2014/00244

Plan and co-ordinates can be found on the Department of State Development website: http://www.minerals.statedevelopment.sa.gov.au/public_notices or by phoning Mineral Tenements on (08) 8463 3103.

J. MARTIN, Mining Registrar

MINING ACT 1971NOTICE is hereby given in accordance with Section 28 (5) of the Mining Act 1971, that the Minister for Mineral Resources and Energy proposes to grant an Exploration Licence over the undermentioned area:

Applicant: Yunnan International Mining Investment CorpPty Ltd.

Location: Tallaringa area—Approximately 145 km west of Coober Pedy.

Term: 1 yearArea in km2: 903Ref.: 2014/00074

Plan and co-ordinates can be found on the Department of State Development website: http://www.minerals.statedevelopment.sa.gov.au/public_notices or by phoning Mineral Tenements on (08) 8463 3103.

J. MARTIN, Mining Registrar

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MINING ACT 1971PURSUANT to Section 15 (5) of the Mining Act 1971 (‘the Act’), I advise that the Mineral Resources Division of Department of State Development, will be undertaking geoscientific investigations commencing on or after 8 January 2015 and concluding 7 January 2016.

The area of interest is approximately 71 907 km2 and includes Birksgate, Lindsay, Noorina, Wells, Wyola, Maurice, Cook and Ooldea 1:250 000 map sheets.

Pursuant to Section 15 (7) of the Act, the Minister may consider an application for a mining tenement in respect of the land described in the notice until the completion date of 7 January 2016.

Please note that the completion date may be extended and/or the area may be altered by further notice in the Gazette. Copies of the plan are available by phoning the Mineral Tenements on (08) 8463 3097.

Description of AreaCoompana 1 area—Approximately 465 km north-west of Ceduna, bounded as follows:

Commencing at a point being the intersection of latitude 28°02S and longitude 130°40E, thence east to longitude 131°11E, south to latitude 28°55S, east to longitude 131°40E, south to a northern boundary of Maralinga Nuclear Test Site, then generally south-westerly along the boundary of the said test site to latitude 29°49S, west to longitude 131°13E, south to a southern boundary of Maralinga Tjarutja Lands, then generally south-westerly along the boundary of the said Lands to the western border of the State of South Australia, then northerly along the border of the said State to latitude 27°43 S, east to longitude 130°40E, and south to the point of commencement, all the within latitudes and longitudes being geodetic and expressed in terms of the Australian Geodetic Datum as defined on page 4984 of Commonwealth Gazette No. 84, dated October 6, 1966 (AGD66).Area: 71 907 km2 approximately.

Dated 8 January 2015.J. MARTIN, Mining Registrar

Ref.: MER F2013/002375

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 247

MINING ACT 1971PURSUANT to Section 15 (5) of the Mining Act 1971 (‘the Act), I advise that the Mineral Resources Division of Department of State Development, will be undertaking geoscientific investigations commencing on or after 8 January 2015 and concluding 7 July 2016.

The area of interest is approximately 22 369 km2 and includes Cook, Ooldea, Coompana and Nullabor 1:250 000 map sheets.Pursuant to Section 15 (7) of the Act, the Minister will refuse to receive or consider an application for a mining tenement in respect

of the land described in the notice until the completion date of 7 July 2016.Please note that the completion date may be extended and/or the area may be altered by further notice in the Gazette. Copies of the

plan are available by phoning the Mineral Tenements on (08) 8463 3097.Description of Area

Coompana 2 area—Approximately 370 km west-north-west of Ceduna, bounded as follows:Commencing at a point being the intersection of a southern boundary of Maralinga Tjarutja Lands and longitude 131°13 E,

thence south to a line being low water mark, Great Australian Bight, then generally westerly along the said line to the western border of the State of South Australia, then northerly along the border of the said State to a southern boundary of Maralinga Tjarutja Lands, then generally north easterly along the boundary of the said Lands to the point of commencement, all the within latitudes and longitudes being geodetic and expressed in terms of the Australian Geodetic Datum as defined on page 4984 of Commonwealth Gazette No. 84, dated October 6, 1966 (AGD66).Area: 22 369 km2 approximately.

Dated 8 January 2015.J. MARTIN, Mining Registrar

Ref.: MER F2013/002375

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248 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

South Australia

Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice 2013under the Motor Vehicles Act 1959

1—Short titleThis notice may be cited as the Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice   201 3.

2—CommencementThis notice comes into operation on the day on which it is made.

3—InterpretationIn this notice—

Act means the Motor Vehicles Act   1959 ;

Code of Practice means the ‘Code of Practice for Historic Vehicles, Prescribed Left Hand Drive Vehicles and Street Rod Vehicles’ published by the Department of Planning, Transport and Infrastructure;

Conditional Registration Scheme or Scheme means the scheme for conditional registration of historic, prescribed left hand drive and street rod motor vehicles under section 25 of the Act and regulations 15 and 16 of the Motor Vehicles Regulations 2010;

Federation means the Federation of Historic Motoring Clubs Inc;

MR334 form means an ‘Approval for Conditional Registration of a Historic, Prescribed Left Hand Drive or Street Rod Vehicle MR334 Form’;

Registrar means the Registrar of Motor Vehicles;

Regulations means the Motor Vehicles Regulations 2010.

4—Recognition of motor vehicles clubsThe motor vehicle clubs specified in Schedule 1 are, subject to the conditions set out in clause 5, recognised for the purposes of regulation 16 of the Regulations.

5—Conditions of recognitionA motor vehicle club specified in Schedule 1 must comply with the following conditions:

(a) the club must maintain a constitution approved by the Registrar;

(b) the club must nominate and have members authorised by the Registrar (authorised persons) to approve motor vehicles for registration under the Scheme; to inspect members’ vehicles; and to issue prescribed log books to club members for each of their vehicles to record vehicle use;

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 249

(c) the club must obtain from each member before the end of each year a statutory declaration made by the member verifying the eligibility of their motor vehicle to be registered under section 25 of the Act for the Scheme and detailing any modifications made to the vehicle during that year;

(d) the club’s authorised persons must undertake inspections of members’ motor vehicles and ensure that the vehicles are eligible, in keeping with the requirements in regulations 15 and 16 of the Regulations and the criteria set out in the Code of Practice, to be registered under section 25 of the Act−

(i)   on entry to the Conditional Registration Scheme;

(ii)   when requested to do so by the Registrar;

(iii) when members’ annual statutory declarations disclose that their vehicles have been modified since the entry inspection and/or previous inspection;

(iv)periodically at least once every 3 years;

(e) the club’s authorised persons must validate a member’s log book annually and must not do so unless a member’s statutory declaration has been received for the purposes of paragraph (c) and the relevant vehicle inspection requirements of paragraph (d) have been met;

(f) the club must cancel a member’s log book when a member resigns, must record all approved variations to a vehicle’s condition in a member’s log book for that vehicle, must ensure that a statutory declaration is provided when a member’s log book is lost or destroyed and must forward copies of log book return sheets to the Federation annually;

(g) the club must create and maintain records detailing all its financial members, its authorised persons, all members’ motor vehicles for which a MR334 form has been issued, all motor vehicle inspections undertaken for the purposes of paragraph (d), all statutory declarations received and log books issued;

(h) the club must keep records for a period of 5 years from the date of the document and these records include all duplicate MR334 forms, all records of motor vehicle inspections undertaken in accordance with paragraph (d), all statutory declarations provided by members for the purposes of paragraphs (c) and (f) , all log books issued by reference to their serial number, the member’s name and the vehicle for which it was issued, all copy exemption documents issued to members for their motor vehicles in accordance with section 163AA of the Road Traffic Act 1961 and to make all such records available for inspection or provide copies of the records at the request of the Registrar for audit purposes;

(i) the club must ensure, as far as practicable, that all members comply with the Code of Practice and all members’ motor vehicles continue to meet the eligibility requirements set out in the Regulations and Code of Practice;

(j) the club, as far as practicable, must report to the Registrar or the Federation details of members and motor vehicles not complying with the conditions and criteria set out in the Code of Practice for the Scheme;

(k) the club must provide to the Registrar, within 2 months after the end of the club’s financial year, an annual report detailing members from that financial year with vehicles registered under the Scheme who are no longer financial members of the club;

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250 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

(l) the club must notify the Registrar within 14 days on official club letterhead of resolution to cease operation as a club and must provide the club records specified in paragraph (h) to the Registrar within 7 days of its dissolution.

Note—

Under regulation 16(3)(c) of the Motor Vehicles Regulations   2010 , the Registrar may, by notice in the Gazette, withdraw the recognition of a motor vehicle club if satisfied that the club has contravened or failed to comply with a condition applying to its recognition by the Registrar, or if there is other good cause to withdraw the recognition.

Schedule 1—Recognised motor vehicle clubsHistoric motor vehicle clubs, Prescribed left-hand drive motor vehicle clubs and Street Rod motor vehicle club

Ramrodders Hotrod Club Incorporated

Made by the Registrar of Motor Vehicles

On 15 December 2014

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 251

South Australia

Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice 2013under the Motor Vehicles Act 1959

1—Short titleThis notice may be cited as the Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice   201 3.

2—CommencementThis notice comes into operation on the day on which it is made.

3—InterpretationIn this notice—

Act means the Motor Vehicles Act   1959 ;

Code of Practice means the ‘Code of Practice for Historic Vehicles, Prescribed Left Hand Drive Vehicles and Street Rod Vehicles’ published by the Department of Planning, Transport and Infrastructure;

Conditional Registration Scheme or Scheme means the scheme for conditional registration of historic, prescribed left hand drive and street rod motor vehicles under section 25 of the Act and regulations 15 and 16 of the Motor Vehicles Regulations 2010;

Federation means the Federation of Historic Motoring Clubs Inc;

MR334 form means an ‘Approval for Conditional Registration of a Historic, Prescribed Left Hand Drive or Street Rod Vehicle MR334 Form’;

Registrar means the Registrar of Motor Vehicles;

Regulations means the Motor Vehicles Regulations 2010.

4—Recognition of motor vehicles clubsThe motor vehicle clubs specified in Schedule 1 are, subject to the conditions set out in clause 5, recognised for the purposes of regulation 16 of the Regulations.

5—Conditions of recognitionA motor vehicle club specified in Schedule 1 must comply with the following conditions:

(a) the club must maintain a constitution approved by the Registrar;

(b) the club must nominate and have members authorised by the Registrar (authorised persons) to approve motor vehicles for registration under the Scheme; to inspect members’ vehicles; and to issue prescribed log books to club members for each of their vehicles to record vehicle use;

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252 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

(c) the club must obtain from each member before the end of each year a statutory declaration made by the member verifying the eligibility of their motor vehicle to be registered under section 25 of the Act for the Scheme and detailing any modifications made to the vehicle during that year;

(d) the club’s authorised persons must undertake inspections of members’ motor vehicles and ensure that the vehicles are eligible, in keeping with the requirements in regulations 15 and 16 of the Regulations and the criteria set out in the Code of Practice, to be registered under section 25 of the Act−

(v)   on entry to the Conditional Registration Scheme;

(vi)   when requested to do so by the Registrar;

(vii)   when members’ annual statutory declarations disclose that their vehicles have been modified since the entry inspection and/or previous inspection;

(viii)   periodically at least once every 3 years;

(e) the club’s authorised persons must validate a member’s log book annually and must not do so unless a member’s statutory declaration has been received for the purposes of paragraph (c) and the relevant vehicle inspection requirements of paragraph (d) have been met;

(f) the club must cancel a member’s log book when a member resigns, must record all approved variations to a vehicle’s condition in a member’s log book for that vehicle, must ensure that a statutory declaration is provided when a member’s log book is lost or destroyed and must forward copies of log book return sheets to the Federation annually;

(g) the club must create and maintain records detailing all its financial members, its authorised persons, all members’ motor vehicles for which a MR334 form has been issued, all motor vehicle inspections undertaken for the purposes of paragraph (d), all statutory declarations received and log books issued;

(h) the club must keep records for a period of 5 years from the date of the document and these records include all duplicate MR334 forms, all records of motor vehicle inspections undertaken in accordance with paragraph (d), all statutory declarations provided by members for the purposes of paragraphs (c) and (f) , all log books issued by reference to their serial number, the member’s name and the vehicle for which it was issued, all copy exemption documents issued to members for their motor vehicles in accordance with section 163AA of the Road Traffic Act 1961 and to make all such records available for inspection or provide copies of the records at the request of the Registrar for audit purposes;

(i) the club must ensure, as far as practicable, that all members comply with the Code of Practice and all members’ motor vehicles continue to meet the eligibility requirements set out in the Regulations and Code of Practice;

(j) the club, as far as practicable, must report to the Registrar or the Federation details of members and motor vehicles not complying with the conditions and criteria set out in the Code of Practice for the Scheme;

(k) the club must provide to the Registrar, within 2 months after the end of the club’s financial year, an annual report detailing members from that financial year with vehicles registered under the Scheme who are no longer financial members of the club;

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 253

(l) the club must notify the Registrar within 14 days on official club letterhead of resolution to cease operation as a club and must provide the club records specified in paragraph (h) to the Registrar within 7 days of its dissolution.

Note—

Under regulation 16(3)(c) of the Motor Vehicles Regulations   2010 , the Registrar may, by notice in the Gazette, withdraw the recognition of a motor vehicle club if satisfied that the club has contravened or failed to comply with a condition applying to its recognition by the Registrar, or if there is other good cause to withdraw the recognition.

Schedule 1—Recognised motor vehicle clubsHistoric motor vehicle clubs, Prescribed left-hand drive motor vehicle clubs and Street Rod motor vehicle club

Southern Rod Runners Incorporated

Made by the Registrar of Motor Vehicles

On 15 December 2014

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254 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

South Australia

Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice 2013under the Motor Vehicles Act 1959

1—Short titleThis notice may be cited as the Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice   201 3.

2—CommencementThis notice comes into operation on the day on which it is made.

3—InterpretationIn this notice—

Act means the Motor Vehicles Act   1959 ;

Code of Practice means the ‘Code of Practice for Historic Vehicles, Prescribed Left Hand Drive Vehicles and Street Rod Vehicles’ published by the Department of Planning, Transport and Infrastructure;

Conditional Registration Scheme or Scheme means the scheme for conditional registration of historic, prescribed left hand drive and street rod motor vehicles under section 25 of the Act and regulations 15 and 16 of the Motor Vehicles Regulations 2010;

Federation means the Federation of Historic Motoring Clubs Inc;

MR334 form means an ‘Approval for Conditional Registration of a Historic, Prescribed Left Hand Drive or Street Rod Vehicle MR334 Form’;

Registrar means the Registrar of Motor Vehicles;

Regulations means the Motor Vehicles Regulations 2010.

4—Recognition of motor vehicles clubsThe motor vehicle clubs specified in Schedule 1 are, subject to the conditions set out in clause 5, recognised for the purposes of regulation 16 of the Regulations.

5—Conditions of recognitionA motor vehicle club specified in Schedule 1 must comply with the following conditions:

(a) the club must maintain a constitution approved by the Registrar;

(b) the club must nominate and have members authorised by the Registrar (authorised persons) to approve motor vehicles for registration under the Scheme; to inspect members’ vehicles; and to issue prescribed log books to club members for each of their vehicles to record vehicle use;

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 255

(c) the club must obtain from each member before the end of each year a statutory declaration made by the member verifying the eligibility of their motor vehicle to be registered under section 25 of the Act for the Scheme and detailing any modifications made to the vehicle during that year;

(d) the club’s authorised persons must undertake inspections of members’ motor vehicles and ensure that the vehicles are eligible, in keeping with the requirements in regulations 15 and 16 of the Regulations and the criteria set out in the Code of Practice, to be registered under section 25 of the Act−

(ix)   on entry to the Conditional Registration Scheme;

(x)   when requested to do so by the Registrar;

(xi)   when members’ annual statutory declarations disclose that their vehicles have been modified since the entry inspection and/or previous inspection;

(xii)   periodically at least once every 3 years;

(e) the club’s authorised persons must validate a member’s log book annually and must not do so unless a member’s statutory declaration has been received for the purposes of paragraph (c) and the relevant vehicle inspection requirements of paragraph (d) have been met;

(f) the club must cancel a member’s log book when a member resigns, must record all approved variations to a vehicle’s condition in a member’s log book for that vehicle, must ensure that a statutory declaration is provided when a member’s log book is lost or destroyed and must forward copies of log book return sheets to the Federation annually;

(g) the club must create and maintain records detailing all its financial members, its authorised persons, all members’ motor vehicles for which a MR334 form has been issued, all motor vehicle inspections undertaken for the purposes of paragraph (d), all statutory declarations received and log books issued;

(h) the club must keep records for a period of 5 years from the date of the document and these records include all duplicate MR334 forms, all records of motor vehicle inspections undertaken in accordance with paragraph (d), all statutory declarations provided by members for the purposes of paragraphs (c) and (f) , all log books issued by reference to their serial number, the member’s name and the vehicle for which it was issued, all copy exemption documents issued to members for their motor vehicles in accordance with section 163AA of the Road Traffic Act 1961 and to make all such records available for inspection or provide copies of the records at the request of the Registrar for audit purposes;

(i) the club must ensure, as far as practicable, that all members comply with the Code of Practice and all members’ motor vehicles continue to meet the eligibility requirements set out in the Regulations and Code of Practice;

(j) the club, as far as practicable, must report to the Registrar or the Federation details of members and motor vehicles not complying with the conditions and criteria set out in the Code of Practice for the Scheme;

(k) the club must provide to the Registrar, within 2 months after the end of the club’s financial year, an annual report detailing members from that financial year with vehicles registered under the Scheme who are no longer financial members of the club;

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256 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

(l) the club must notify the Registrar within 14 days on official club letterhead of resolution to cease operation as a club and must provide the club records specified in paragraph (h) to the Registrar within 7 days of its dissolution.

Note—

Under regulation 16(3)(c) of the Motor Vehicles Regulations   2010 , the Registrar may, by notice in the Gazette, withdraw the recognition of a motor vehicle club if satisfied that the club has contravened or failed to comply with a condition applying to its recognition by the Registrar, or if there is other good cause to withdraw the recognition.

Schedule 1—Recognised motor vehicle clubsHistoric motor vehicle clubs and Prescribed left-hand drive motor vehicle clubs.

Tailem Bend Auto Club Incorporated

Made by the Registrar of Motor Vehicles

On 15 December 2014

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 257

South Australia

Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice 2013under the Motor Vehicles Act 1959

1—Short titleThis notice may be cited as the Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice   201 3.

2—CommencementThis notice comes into operation on the day on which it is made.

3—InterpretationIn this notice—

Act means the Motor Vehicles Act   1959 ;

Code of Practice means the ‘Code of Practice for Historic Vehicles, Prescribed Left Hand Drive Vehicles and Street Rod Vehicles’ published by the Department of Planning, Transport and Infrastructure;

Conditional Registration Scheme or Scheme means the scheme for conditional registration of historic, prescribed left hand drive and street rod motor vehicles under section 25 of the Act and regulations 15 and 16 of the Motor Vehicles Regulations 2010;

Federation means the Federation of Historic Motoring Clubs Inc;

MR334 form means an ‘Approval for Conditional Registration of a Historic, Prescribed Left Hand Drive or Street Rod Vehicle MR334 Form’;

Registrar means the Registrar of Motor Vehicles;

Regulations means the Motor Vehicles Regulations 2010.

4—Recognition of motor vehicles clubsThe motor vehicle clubs specified in Schedule 1 are, subject to the conditions set out in clause 5, recognised for the purposes of regulation 16 of the Regulations.

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258 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

5—Conditions of recognitionA motor vehicle club specified in Schedule 1 must comply with the following conditions:

(a) the club must maintain a constitution approved by the Registrar;

(b) the club must nominate and have members authorised by the Registrar (authorised persons) to approve motor vehicles for registration under the Scheme; to inspect members’ vehicles; and to issue prescribed log books to club members for each of their vehicles to record vehicle use;

(c) the club must obtain from each member before the end of each year a statutory declaration made by the member verifying the eligibility of their motor vehicle to be registered under section 25 of the Act for the Scheme and detailing any modifications made to the vehicle during that year;

(d) the club’s authorised persons must undertake inspections of members’ motor vehicles and ensure that the vehicles are eligible, in keeping with the requirements in regulations 15 and 16 of the Regulations and the criteria set out in the Code of Practice, to be registered under section 25 of the Act−

(xiii) on entry to the Conditional Registration Scheme;

(xiv)when requested to do so by the Registrar;

(xv) when members’ annual statutory declarations disclose that their vehicles have been modified since the entry inspection and/or previous inspection;

(xvi)periodically at least once every 3 years;

(e) the club’s authorised persons must validate a member’s log book annually and must not do so unless a member’s statutory declaration has been received for the purposes of paragraph (c) and the relevant vehicle inspection requirements of paragraph (d) have been met;

(f) the club must cancel a member’s log book when a member resigns, must record all approved variations to a vehicle’s condition in a member’s log book for that vehicle, must ensure that a statutory declaration is provided when a member’s log book is lost or destroyed and must forward copies of log book return sheets to the Federation annually;

(g) the club must create and maintain records detailing all its financial members, its authorised persons, all members’ motor vehicles for which a MR334 form has been issued, all motor vehicle inspections undertaken for the purposes of paragraph (d), all statutory declarations received and log books issued;

(h) the club must keep records for a period of 5 years from the date of the document and these records include all duplicate MR334 forms, all records of motor vehicle inspections undertaken in accordance with paragraph (d), all statutory declarations provided by members for the purposes of paragraphs (c) and (f) , all log books issued by reference to their serial number, the member’s name and the vehicle for which it was issued, all copy exemption documents issued to members for their motor vehicles in accordance with section 163AA of the Road Traffic Act 1961 and to make all such records available for inspection or provide copies of the records at the request of the Registrar for audit purposes;

(i) the club must ensure, as far as practicable, that all members comply with the Code of Practice and all members’ motor vehicles continue to meet the eligibility requirements set out in the Regulations and Code of Practice;

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 259

(j) the club, as far as practicable, must report to the Registrar or the Federation details of members and motor vehicles not complying with the conditions and criteria set out in the Code of Practice for the Scheme;

(k) the club must provide to the Registrar, within 2 months after the end of the club’s financial year, an annual report detailing members from that financial year with vehicles registered under the Scheme who are no longer financial members of the club;

(l) the club must notify the Registrar within 14 days on official club letterhead of resolution to cease operation as a club and must provide the club records specified in paragraph (h) to the Registrar within 7 days of its dissolution.

Note—

Under regulation 16(3)(c) of the Motor Vehicles Regulations   2010 , the Registrar may, by notice in the Gazette, withdraw the recognition of a motor vehicle club if satisfied that the club has contravened or failed to comply with a condition applying to its recognition by the Registrar, or if there is other good cause to withdraw the recognition.

Schedule 1—Recognised motor vehicle clubsHistoric motor vehicle clubs, Prescribed left-hand drive motor vehicle clubs and Street Rod motor vehicle club

Lake City Rod and Custom Club Incorporated

Made by the Registrar of Motor Vehicles

On 19 December 2014

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260 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

South Australia

Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice 2014under the Motor Vehicles Act 1959

1—Short titleThis notice may be cited as the Motor Vehicles (Conditional Registration—Recognition of Motor Vehicle Clubs) Notice   201 3.

2—CommencementThis notice comes into operation on the day on which it is made.

3—InterpretationIn this notice—

Act means the Motor Vehicles Act   1959 ;

Code of Practice means the ‘Code of Practice for Historic Vehicles, Prescribed Left Hand Drive Vehicles and Street Rod Vehicles’ published by the Department of Planning, Transport and Infrastructure;

Conditional Registration Scheme or Scheme means the scheme for conditional registration of historic, prescribed left hand drive and street rod motor vehicles under section 25 of the Act and regulations 15 and 16 of the Motor Vehicles Regulations 2010;

Federation means the Federation of Historic Motoring Clubs Inc;

MR334 form means an ‘Approval for Conditional Registration of a Historic, Prescribed Left Hand Drive or Street Rod Vehicle MR334 Form’;

Registrar means the Registrar of Motor Vehicles;

Regulations means the Motor Vehicles Regulations 2010.

4—Recognition of motor vehicles clubsThe motor vehicle clubs specified in Schedule 1 are, subject to the conditions set out in clause 5, recognised for the purposes of regulation 16 of the Regulations.

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 261

5—Conditions of recognitionA motor vehicle club specified in Schedule 1 must comply with the following conditions:

(a) the club must maintain a constitution approved by the Registrar;

(b) the club must nominate and have members authorised by the Registrar (authorised persons) to approve motor vehicles for registration under the Scheme; to inspect members’ vehicles; and to issue prescribed log books to club members for each of their vehicles to record vehicle use;

(c) the club must obtain from each member before the end of each year a statutory declaration made by the member verifying the eligibility of their motor vehicle to be registered under section 25 of the Act for the Scheme and detailing any modifications made to the vehicle during that year;

(d) the club’s authorised persons must undertake inspections of members’ motor vehicles and ensure that the vehicles are eligible, in keeping with the requirements in regulations 15 and 16 of the Regulations and the criteria set out in the Code of Practice, to be registered under section 25 of the Act−

(xvii) on entry to the Conditional Registration Scheme;

(xviii) when requested to do so by the Registrar;

(xix) when members’ annual statutory declarations disclose that their vehicles have been modified since the entry inspection and/or previous inspection;

(xx) periodically at least once every 3 years;

(e) the club’s authorised persons must validate a member’s log book annually and must not do so unless a member’s statutory declaration has been received for the purposes of paragraph (c) and the relevant vehicle inspection requirements of paragraph (d) have been met;

(f) the club must cancel a member’s log book when a member resigns, must record all approved variations to a vehicle’s condition in a member’s log book for that vehicle, must ensure that a statutory declaration is provided when a member’s log book is lost or destroyed and must forward copies of log book return sheets to the Federation annually;

(g) the club must create and maintain records detailing all its financial members, its authorised persons, all members’ motor vehicles for which a MR334 form has been issued, all motor vehicle inspections undertaken for the purposes of paragraph (d), all statutory declarations received and log books issued;

(h) the club must keep records for a period of 5 years from the date of the document and these records include all duplicate MR334 forms, all records of motor vehicle inspections undertaken in accordance with paragraph (d), all statutory declarations provided by members for the purposes of paragraphs (c) and (f) , all log books issued by reference to their serial number, the member’s name and the vehicle for which it was issued, all copy exemption documents issued to members for their motor vehicles in accordance with section 163AA of the Road Traffic Act 1961 and to make all such records available for inspection or provide copies of the records at the request of the Registrar for audit purposes;

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262 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

(i) the club must ensure, as far as practicable, that all members comply with the Code of Practice and all members’ motor vehicles continue to meet the eligibility requirements set out in the Regulations and Code of Practice;

(j) the club, as far as practicable, must report to the Registrar or the Federation details of members and motor vehicles not complying with the conditions and criteria set out in the Code of Practice for the Scheme;

(k) the club must provide to the Registrar, within 2 months after the end of the club’s financial year, an annual report detailing members from that financial year with vehicles registered under the Scheme who are no longer financial members of the club;

(l) the club must notify the Registrar within 14 days on official club letterhead of resolution to cease operation as a club and must provide the club records specified in paragraph (h) to the Registrar within 7 days of its dissolution.

Note—

Under regulation 16(3)(c) of the Motor Vehicles Regulations   2010 , the Registrar may, by notice in the Gazette, withdraw the recognition of a motor vehicle club if satisfied that the club has contravened or failed to comply with a condition applying to its recognition by the Registrar, or if there is other good cause to withdraw the recognition.

Schedule 1—Recognised motor vehicle clubs

Historic motor vehicle club

Mannum Classic Vehicles Club Incorporated

Made by the Registrar of Motor Vehicles

On 29 December 2014

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 263

GOVERNMENT GAZETTE ADVERTISEMENT RATES

To apply from 1 July 2014

$Agents, Ceasing to Act as..................................................... 49.75Associations:

Incorporation.................................................................... 25.25Intention of Incorporation................................................. 62.50Transfer of Properties....................................................... 62.50

Attorney, Appointment of.................................................... 49.75Bailiff’s Sale........................................................................ 62.50Cemetery Curator Appointed............................................... 36.75Companies:

Alteration to Constitution................................................. 49.75Capital, Increase or Decrease of....................................... 62.50Ceasing to Carry on Business........................................... 36.75Declaration of Dividend................................................... 36.75Incorporation.................................................................... 49.75Lost Share Certificates:

First Name.................................................................... 36.75Each Subsequent Name................................................ 12.70

Meeting Final................................................................... 41.50Meeting Final Regarding Liquidator’s Report on

Conduct of Winding Up (equivalent to ‘FinalMeeting’)First Name.................................................................... 49.75Each Subsequent Name................................................ 12.70

Notices:Call............................................................................... 62.50Change of Name........................................................... 25.25Creditors....................................................................... 49.75Creditors Compromise of Arrangement........................ 49.75Creditors (extraordinary resolution that ‘the Com-

pany be wound up voluntarily and that a liquidator be appointed’)........................................................... 62.50

Release of LiquidatorApplicationLarge Ad............ 99.00Release Granted...................... 62.50

Receiver and Manager Appointed................................. 57.00Receiver and Manager Ceasing to Act.......................... 49.75Restored Name.............................................................. 46.50Petition to Supreme Court for Winding Up.................. 86.50Summons in Action...................................................... 73.50Order of Supreme Court for Winding Up Action......... 49.75Register of InterestsSection 84 (1) Exempt............... 111.00Removal of Office........................................................ 25.25Proof of Debts............................................................... 49.75Sales of Shares and Forfeiture...................................... 49.75

Estates:Assigned........................................................................... 36.75Deceased PersonsNotice to Creditors, etc..................... 62.50

Each Subsequent Name................................................ 12.70Deceased PersonsClosed Estates................................... 36.75

Each Subsequent Estate................................................ 1.65Probate, Selling of............................................................ 49.75Public Trustee, each Estate............................................... 12.70

$Firms:

Ceasing to Carry on Business (each insertion)................. 33.00Discontinuance Place of Business.................................... 33.00

LandReal Property Act:Intention to Sell, Notice of............................................... 62.50Lost Certificate of Title Notices....................................... 62.50Cancellation, Notice of (Strata Plan)................................ 62.50

Mortgages:Caveat Lodgement............................................................ 25.25Discharge of..................................................................... 26.50Foreclosures...................................................................... 25.25Transfer of........................................................................ 25.25Sublet................................................................................ 12.70

LeasesApplication for Transfer (2 insertions) each........... 12.70Lost Treasury Receipts (3 insertions) each........................... 36.75Licensing.............................................................................. 73.50Municipal or District Councils:

Annual Financial StatementForms 1 and 2.................... 695.00Electricity SupplyForms 19 and 20............................... 494.00Default in Payment of Rates:

First Name.................................................................... 99.00Each Subsequent Name................................................ 12.70

Noxious Trade...................................................................... 36.75Partnership, Dissolution of................................................... 36.75Petitions (small)................................................................... 25.25Registered Building Societies (from Registrar-General)...... 25.25Register of Unclaimed MoneysFirst Name....................... 36.75

Each Subsequent Name.................................................... 12.70Registers of MembersThree pages and over:

Rate per page (in 8pt)....................................................... 316.00Rate per page (in 6pt)....................................................... 418.00

Sale of Land by Public Auction............................................ 63.00Advertisements..................................................................... 3.50¼ page advertisement........................................................... 147.00½ page advertisement........................................................... 295.00Full page advertisement....................................................... 577.00

Advertisements, other than those listed are charged at $3.50 per column line, tabular one-third extra.

Notices by Colleges, Universities, Corporations and District Councils to be charged at $3.50 per line.

Where the notice inserted varies significantly in length from that which is usually published a charge of $3.50 per column line will be applied in lieu of advertisement rates listed.

South Australian Government publications are sold on the condition that they will not be reproduced without prior permission from the Government Printer.

All the above prices include GST

GOVERNMENT GAZETTE NOTICESNotices for publication in the South Australian Government Gazette should be emailed to [email protected]. Content should be sent as Word format attachment(s). Covering emails should include the date the notice is to be published and to whom the notice will be charged. Closing time for lodgement is 4 p.m. on the Tuesday preceding the regular Thursday publication. Gazette enquiries to: Phone 8207 1045. The Government Gazette is available online at: www.governmentgazette.sa.gov.au.

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264 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

MISCELLANEOUS LEGISLATION AND GOVERNMENT PUBLICATIONS PRICES AS FROM 1 JULY 2014

Acts, Bills, Rules, Parliamentary Papers and Regulations

Pages Main Amends Pages Main Amends

1-16 3.10 1.45 497-512 42.00 41.00 17-32 4.00 2.50 513-528 43.25 41.75 33-48 5.30 3.75 529-544 44.75 43.25 49-64 6.70 5.15 545-560 46.00 44.75 65-80 7.75 6.45 561-576 47.00 46.00 81-96 9.05 7.50 577-592 48.75 46.50

97-112 10.30 8.85 593-608 50.00 48.00 113-128 11.50 10.20 609-624 51.00 49.75 129-144 12.90 11.40 625-640 52.00 50.50 145-160 14.20 12.70 641-656 53.50 52.00 161-176 15.40 14.00 657-672 54.50 52.50 177-192 16.80 15.20 673-688 56.00 54.50 193-208 18.10 16.70 689-704 57.00 55.00 209-224 19.10 17.70 705-720 58.50 56.50 225-240 20.40 18.90 721-736 60.00 57.50 241-257 22.00 20.00 737-752 60.50 59.00 258-272 23.20 21.20 753-768 62.50 60.00 273-288 24.30 23.00 769-784 63.50 62.50 289-304 25.50 23.90 785-800 64.50 63.50 305-320 27.00 25.25 801-816 66.00 64.00 321-336 28.00 26.50 817-832 67.50 66.00 337-352 29.50 27.75 833-848 69.00 67.50 353-368 30.25 29.25 849-864 70.00 68.50 369-384 32.00 30.25 865-880 71.50 70.00 385-400 33.50 31.75 881-896 72.00 70.50 401-416 34.75 32.75 897-912 73.50 72.00 417-432 36.00 34.50 913-928 74.00 73.50 433-448 37.00 35.75 929-944 75.50 74.00 449-464 38.00 36.50 945-960 76.50 75.00 465-480 38.50 37.75 961-976 80.00 76.00 481-496 41.00 38.50 977-992 81.00 76.50

Legislation—Acts, Regulations, etc.: $  Subscriptions:

Acts.......................................................................................................................................................................................... 259.00All Bills as Laid....................................................................................................................................................................... 623.00Rules and Regulations............................................................................................................................................................. 623.00Parliamentary Papers............................................................................................................................................................... 623.00Bound Acts.............................................................................................................................................................................. 288.00Index........................................................................................................................................................................................ 144.00

Government GazetteCopy........................................................................................................................................................................................ 6.85Subscription............................................................................................................................................................................. 344.00

HansardCopy............................................................................................................................................................................................ 18.90Subscription—per session (issued weekly)................................................................................................................................. 539.00Cloth bound—per volume........................................................................................................................................................... 232.00Subscription—per session (issued daily)..................................................................................................................................... 539.00

Legislation on DiskWhole Database....................................................................................................................................................................... 3 999.00Annual Subscription for fortnightly updates............................................................................................................................ 1 229.00Individual Act(s) including updates......................................................................................................................................... POA

Notice of VacanciesAnnual Subscription.................................................................................................................................................................... 195.00

CompendiumSubscriptions:

New Subscriptions................................................................................................................................................................... 2 368.00Updates.................................................................................................................................................................................... 836.00

(All the above prices include GST)

Counter Sales Government Legislation Outletand Mail Orders: Service SA Customer Service Centre,

Ground Floor—EDS Centre, 108 North Terrace, Adelaide, S.A. 5000Phone: 13 23 24 (local call cost), Fax: (08) 8204 1909Postal: G.P.O. Box 1707, Adelaide, S.A. 5001

Online Shop: www.shop.service.sa.gov.auSubscriptions and Government Publishing SAStanding Orders: Plaza Level, Riverside Centre, North Terrace, Adelaide, S.A. 5000

Phone: (08) 8207 1043, (08) 8207 0908, Fax: (08) 8207 1040Email: [email protected]

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 265

NATIONAL PARKS AND WILDLIFE (NATIONAL PARKS) REGULATIONS 2001

Part closure of the Katarapko Section ofMurray River National Park

PURSUANT to Regulations 8 (3) (a) and 8 (3) (d) of the National Parks and Wildlife (National Parks) Regulations 200l, I, Grant Anthony Pelton, Director Regional Coordination, Partnerships and Stewardship, formerly titled Director Public Land Management and Operational Support, Regional Services, authorised delegate of the Director of National Parks and Wildlife, close to the public, part of the Katarapko Section of Murray River National Park, from 6 p.m. on Saturday, 10 January 2015 until6 p.m. on Tuesday, 30 June 2015.

The closure applies to the ‘Eckerts Creek section’ of Katarapko, entry via Migga road, and encompassing the area bounded by Lower Winkie road to the North, Katarapko Crescent to the West, and Sawmill Creek to the South. The Stone Weir will not be accessible to the public during this time.

Other entrances to the Katarapko section of the park, the main Katarapko and the Lock 4 section will remain open.

The purpose of the closure is to ensure the safety of the public within the reserve during the period indicated.Dated 6 January 2015.

G. A. PELTON, Director, Regional Co-ordination, Partnerships and Stewardship, Department of Environment, Water and Natural Resources

NOTICE TO MARINERSNO. 47 OF 2014

South Australia—Lake Bonney West Fish Reef—Nappers Bridge to Pelican Point—Barmera

SAVE Lake Bonney Group Inc. will install subsurface habitat structures near the in-stream tree line with each group of structures marked with a yellow special marker buoy. Mariners are advised to exercise caution when navigation in the vicinity.

Adelaide, 18 December 2014.STEPHEN MULLIGHAN, Minister for

Transport and InfrastructureDPTI 2014/02432

NOTICE TO MARINERSNO. 49 OF 2014

South Australia—Thevenard—Denial Bay—Cardinal Marker Missing

THE North Cardinal Marker, marking the Eleni-K wreck in position latitude 3217.89S, longitude 13331.56E has been reported missing. Mariners are advised to exercise extreme caution when navigating in the area.

Charts affected: AUS 120.Adelaide, 24 December 2014.

STEPHEN MULLIGHAN, Minister for Transport and Infrastructure

DPTI 2014/02432

PASTORAL LAND MANAGEMENT AND CONSERVATION ACT 1989

Instrument of Appointment of Authorised OfficersPURSUANT to Section 11 of the Pastoral Land Management and Conservation Act 1989 (the Act), I, Ian Hunter, Minister for Sustainability, Environment and Conservation in the State of South Australia, hereby appoint the following persons to be state authorised officers for the purposes prescribed under the Act in the State of South Australia:

Baird, Gavin Joshua, Department of Environment, Water and Natural Resources

Burnell, Andrew Frank, Department of Environment, Water and Natural Resources

Facelli, Francisco Agustin, Department of Environment, Water and Natural Resources

Groom, Andrew Ian, Department of Environment, Water and Natural Resources

MacDonald, Robert John, Department of Environment, Water and Natural Resources

Maconochie, John Richard, Department of Environment, Water and Natural Resources

Oag, David Bruce, Department of Environment, Water and Natural Resources

Southcombe, Stuart Edward, Department of Environment, Water and Natural Resources

Stringer, Jeffrey Austin, Department of Environment, Water and Natural Resources

Turner, Christopher Dale, Department of Environment, Water and Natural Resources

Wilkins, David Sydney, Department of Environment, Water and Natural Resources

Woods, Carolyn Jean, Department of Environment, Water and Natural Resources

Zidarich, Anthony David, Department of Environment, Water and Natural Resources

These appointments will commence on the date set out below and will remain in effect for the period that the named person is employed by or contracted to the Department responsible to the Minister to whom the Act has been committed, unless earlier varied or revoked.Dated 18 December 2014.

IAN HUNTER, Minister For Sustainability, Environment and Conservation

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266 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

PETROLEUM AND GEOTHERMAL ENERGY ACT 2000Surrender of Special Facilities Licence—SFL 5

NOTICE is hereby given that I have accepted the surrender of the below-mentioned Special Facilities Licence, under the provisions of the Petroleum and Geothermal Energy Act 2000, pursuant to delegated powers dated 21 March 2012.

No. ofLicence Licensee Date of Surrender Reference

SFL 5 Outback Logistics Pty Ltd 3 October 2014 F2013/000070

Dated 19 December 2014.B. A. GOLDSTEIN,

Executive Director,Energy Resources Division,

Department of State Development,Delegate of the Minister for Mineral Resources and Energy

PETROLEUM AND GEOTHERMAL ENERGY ACT 2000Surrender of Geothermal Exploration Licence—GEL 254

NOTICE is hereby given that I have accepted the surrender of the below-mentioned geothermal exploration licence under the provisions of the Petroleum and Geothermal Energy Act 2000, pursuant to delegated powers dated 21 March 2012.

No. ofLicence Licensee Date of Surrender Reference

GEL 254 MNGI Pty Ltd 12 November 2014 27/2/413

Dated 5 January 2015.B. A. GOLDSTEIN,

Executive Director,Energy Resources Division,

Department of State Development,Delegate of the Minister for Mineral Resources and Energy

PETROLEUM AND GEOTHERMAL ENERGY ACT 2000Grant of Associated Activities Licences—AALs 214, 215, 216 and 217

NOTICE is hereby given that the undermentioned Associated Activities Licences have been granted with effect from 18 December 2014, under the provisions of the Petroleum and Geothermal Energy Act 2000, pursuant to delegated powers dated 21 March 2012.

No. of Licence Licensees Area in km2 Adjunct to Petroleum

Production Licence No. Locality Reference

AAL 214Beach Energy LimitedCooper Energy Limited

0.38 PPL 245Cooper Basin

F2014/1012AAL 215 0.19 PPL 247 F2014/1013AAL 216 0.10 PPL 246 F2014/1014AAL 217 0.19 PPL 250 F2014/1015

Further information about the licences including descriptions of the licence areas is available for viewing on the Department of State Development Petroleum website via the following link:

http://www.pir.sa.gov.au/petroleum/licensing/register/aflDated 18 December 2014.

B. A. GOLDSTEIN,Executive Director,

Energy Resources Division,Department of State Development,

Delegate of the Minister for Mineral Resources and Energy

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 267

PETROLEUM AND GEOTHERMAL ENERGY ACT 2000Application for the Renewal of Associated Activities Licence—

AAL 205PURSUANT to Section 65 (6) of the Petroleum and Geothermal Energy Act 2000 (the Act) and Delegation dated 21 March 2012, notice is hereby given that an application for the renewal of Associated Activities Licence AAL 205 within the area described below has been received from:

Stuart Petroleum Pty LtdThe renewal application will be determined on or after

5 February 2014.Description of Renewal Area

All that part of the State of South Australia, bounded as follows:Commencing at a point being the intersection of latitude

28°3005S GDA 94 and longitude 140°4140E AGD66, thence east to longitude 140°4200E GDA94, south to latitude 28°3025S GDA94, east to longitude 140°4215E GDA94, south to latitude 28°3040S GDA94, west to longitude 140°4140E AGD66 and north to the point of commencement.Area: 0.5 km2 approximately.

Dated 6 January 2015.B. A. GOLDSTEIN,

Executive Director,Energy Resources Division,Department of State Development,Delegate of the Minister for MineralResources and Energy

ROADS (OPENING AND CLOSING) ACT 1991: SECTION 24NOTICE OF CONFIRMATION OF ROAD

PROCESS ORDERRoad Closure—Moorcroft Court, Burnside

BY Road Process Order made on 29 October 2014, the City of Burnside ordered that:

1. A triangularly shaped portion of Moorcroft Court situate adjoining Allotment 75 in Filed Plan 141736, more particularly delineated and lettered ‘A’ in the Preliminary Plan No. 13/0036 be closed.

2. Transfer the whole of the land subject to closure to Anne Elizabeth Moroney in accordance with the Agreement for Transfer dated 29 October 2014, entered into between the City of Burnside and A. E. Moroney.On 19 December 2014 that order was confirmed by the Minister

for Transport and Infrastructure conditionally upon the deposit by the Registrar-General of Deposited Plan 95274 being the authority for the new boundaries.

Pursuant to Section 24 (5) of the Roads (Opening and Closing) Act 1991, NOTICE of the order referred to above and its confirmation is hereby given.Dated 8 January 2015.

M. P. BURDETT, Surveyor-General

ROAD TRAFFIC ACT 1961Authorised Officers to Operate Breath Analysing Instruments

I, GARY T. BURNS, Commissioner of Police, do hereby certify that on and from 18 December, 2014, the following persons were authorised by the Commissioner of Police to Operate Breath Analysing Instruments as defined in and for the purposes of the:

Road Traffic Act 1961;Harbors and Navigation Act 1993;Security and Investigation Agents Act 1995; andRail Safety National Law (South Australia) Act 2012.

PDNumber Officer Name

75290 Bailey, Paul Robert74539 Hall, Daniel John13279 Hampton, Kerry Michelle72764 Jaensch, Courtney Louise75072 McNie, Lynsey74950 Moss, Phillip Stephen75075 Osborne, Caroline75176 Pritchard, Abbey Lauren75182 Stratford, Brett Joseph75289 Tieman, Matthew William74908 Woodbridge, Nicholas James

GARY T. BURNS, Commissioner of Police

TRANSPLANTATION AND ANATOMY ACT 1983 (SA)Instrument of Authorisation

PURSUANT to Section 33 (4) of the of the Transplantation and Anatomy Act 1983, I hereby authorise the South Australian Health and Medical Research Institute, through the Preclinical, Imaging and Research Laboratories, to carry out anatomical examinations and the teaching and study of anatomy within the Preclinical, Imaging and Research Laboratories located at 101 Blacks Road, Gilles Plains, South Australia.

This authorisation applies to a head and neck surgery workshop to be held on the 20 December 2014, which will involve the demonstration of advanced head and neck surgical procedures including neck dissection, parotidectomy, robotic oropharyngectomy, mandibular access procedures, pectoralis major and deltopectoral pedicled flaps at the South Australian Health and Medical Research Institute within the said Division.

This authorisation operates from the date of signing of this instrument and has effect until 23 December 2014.

This authorisation can be varied or revoked by the Minister for Health at any time.Dated 18 December 2014.

JACK SNELLING, Minister for Health

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268 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 4 December 2014

SENDING COPY?

NOTICES for inclusion in the South Australian Government Gazette should be emailed to:

[email protected]

Please include the following information in the covering email:

• The date the notice is to be published.

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 269

CITY OF ONKAPARINGAROADS (OPENING AND CLOSING) ACT 1991

Road Closure—Weymouth Road, Cherry GardensNOTICE is hereby given, pursuant to Section 10 of the Roads (Opening and Closing) Act 1991, that the City of Onkaparinga proposes to make a Road Process Order to close portion of Weymouth Road adjoining Allotment 21 in Filed Plan 152197 and Allotment 22 in Filed Plan 152198 more particularly delineated and lettered ‘A’ on the Preliminary Plan No. 14/0018. Closed road ‘A’ to be merged with Allotment 21 in Filed Plan 152197.

A copy of the plan and a statement of persons affected are available for public inspection at the offices of the Council at City of Onkaparinga, Ramsay Place, Noarlunga Centre and the Adelaide office of the Surveyor-General during normal office hours.

Any application for easement or objection must set out the full name, address and details of the submission and must be fully supported by reasons.

The application for easement or objection must be made in writing to the Council at City of Onkaparinga, P.O. Box 1, Noarlunga Centre, S.A. 5168 within 28 days of this notice and a copy must be forwarded to the Surveyor-General at G.P.O. Box 1354, Adelaide, S.A. 5001. Where a submission is made, the Council will give notification of a meeting at which the matter will be considered.Dated 8 January 2015.

M. DOWD, Chief Executive Officer

THE BAROSSA COUNCILRe-naming of Road

NOTICE is hereby given that pursuant to Section 219 of the Local Government Act 1999, Council on 16 December 2014, resolved to re-name a section of Breakneck Hill Road, between Penrice Road and Saleyards Road, Penrice. This section of road has been named Breakneck Hill Road West.

M. MCCARTHY, Chief Executive Officer

THE BERRI BARMERA COUNCILBY-LAW MADE UNDER THE DOG AND CAT MANAGEMENT ACT

1995 AND THE LOCAL GOVERNMENT ACT 1999By-law No. 6—Cats

A by-law to limit the number of cats kept on premises and for the management and control of cats in the Council area.1. Definitions

In this by-law unless the contrary intention appears:1.1 cat management officer means a person appointed

pursuant to Section 68 of the Dog and Cat Management Act 1995;

1.2 cattery means a building, structure, premises or area approved by the relevant authority pursuant to the Development Act 1993 for the keeping of cats on a temporary or permanent basis;

1.3 cat means an animal of the species ‘Felis catus’ over four months of age;

1.4 keep includes the provision of food or shelter; and1.5 premises includes:

1.5.1 land;1.5.2 a part of any premises or land.

2. Limit on Cat Numbers2.1 Subject to Clauses 2.3-2.5, the limit on the number of

cats to be kept on any premises is two.2.2 A person must not, without permission, keep a cat on any

premises where the number of cats being kept on those premises exceeds the limit.

2.3 Permission under Clause 2.2 may be given if the Council is satisfied that:

2.3.1 no insanitary condition exists on the premises as a result of the keeping of cats; and

2.3.2 a nuisance is not caused to any neighbour as a result of the keeping of cats on the premises.

2.4 The limit in Clause 2.1 does not apply to a cattery in respect of which a development authorisation is in force pursuant to the Development Act 1993.

2.5 The limit in Clause 2.1 does not apply to those cats being kept on premises when this by-law comes into effect, however, the limit does apply if the number of cats kept on those premises increase after that time.

3. Desexing of CatsA person must not, without permission, keep a cat unless the cat

is desexed.4. Requirement to Microchip Cat

A person must not, without permission, keep a cat unless the cat is identified by means of having a microchip implanted in its body containing information that may be used to obtain the current address or telephone number of the owner or other person entitled to possession of the cat.5. Registration

5.1 A person must not keep a cat on any premises unless the cat is registered in accordance with this by-law.

5.2 The requirement in Clause 5.1 of this by-law will commence 12 months after the commencement of this by-law.

5.3 An application for registration of a cat:5.3.1 must be made to the Council in the manner and

form (if any) and accompanied by the fee (if any) as prescribed by the Council;

5.3.2 must nominate a person of or over 16 years of age who consents to the cat being registered in his or her name; and

5.3.3 must identify, with reference to an address, the premises at which the cat is kept.

5.4 Registration under this by-law remains in force until 30 June next ensuing after registration was granted and may be renewed from time to time for further periods of 12 months.

5.5 Where an application for registration of a cat is accepted prior to the commencement of the requirement under this by-law to register the cat, the registration will be taken to commence on the day the requirement commences.

6. Cats Not to be a Nuisance6.1 An owner or occupier of premises on which a cat or cats

are kept or allowed to remain must ensure that the cat or cats are effectively controlled or confined to the premises such that the cat or cats do not cause a nuisance.

6.2 For the purposes of Clause 6.1 a cat causes a nuisance where:6.2.1 the cat wanders onto public or private land

without the consent of the owner or occupier of the land;

6.2.2 noise or odour created by the cat unreasonably interferes with the peace, comfort or convenience of a person;

6.2.3 the cat defecates or urinates onto public or private land without the consent of the owner or occupier of the land; or

6.2.4 the cat damages or otherwise has an adverse impact upon native flora or fauna.

7. Notices7.1 The Council may serve notice on the occupier of

premises or the owner of a cat requiring action to be taken to ensure compliance with this by-law.

7.2 The person to whom notice is given must comply with the notice.

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270 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

7.3 If the person to whom notice was given does not comply with the notice, a cat management officer of the Council may carry out the terms of the notice and recover the costs of so doing from that person.

The foregoing by-law was duly made and passed at a meeting of The Berri Barmera Council held on the 16 of December 2014 by an absolute majority of the members for the time being constituting the Council, there being at least two-thirds of the members present.

D. BEATON, Chief Executive Officer

DISTRICT COUNCIL OF COOBER PEDYChanges to Road Names

NOTICE is hereby given pursuant to Section 219 of the Local Government Act 1999, that the District Council of Coober Pedy at its meeting held on 16 December 2014, passed a resolution to amend the following sections of roads:

• The section of Lindeman Drive as shown on Deposited Plan 74434, Title Reference CR 5748/795, Out of Hundreds (Coober Pedy), will be renamed Lindemann Drive.

• The section of Lindermans Drive as shown on Deposited Plan 56119, Title Reference CR 5748/763, Out of Hundreds (Coober Pedy), will be renamed Lindemann Drive.

P. CAMERON, Chief Executive Officer

COORONG DISTRICT COUNCILNotice of Appointment of Members to the Coorong District

Council Development Assessment PanelNOTICE is hereby given that the Coorong District Council in accordance with Section 56A (5) of the Development Act 1993, resolved on 16 December 2014 the following appointments to its Development Assessment Panel:

• Kerry Simcock;• Graham Gaston; and• Jeffrey Klitscher.

Pursuant to Section 56A (3) (b) and (c) (ii) of the Development Act 1993, the members are appointed from 10 December 2014 to be reviewed in August 2015. Development Assessment Panel Public Officer contact details:

Vincent Cammell,Public Officer,Development Assessment Panel,Coorong District Council,P.O. Box 399,Tailem Bend, S.A. 5260Telephone: 1300 785 277

V. C. CAMMELL, Chief Executive Officer

DISTRICT COUNCIL OF THE COPPER COASTAppointment of Public Officer

NOTICE is hereby given that the District Council of the Copper Coast, at its meeting held on 3 December 2014, resolved to appoint Peter Harder, Chief Executive Officer, to the position of Public Officer to the Council Development Assessment Panel, pursuant to Section 56A (22) of the Development Act 1993.

Contact Details:Peter Harder,CDAP Public Officer,District Council of the Copper Coast,P.O. Box 396,Kadina, S.A. 5554,Phone: (08) 8828 1200

P. HARDER, Chief Executive Officer

NARACOORTE LUCINDALE COUNCILChange of Road Names

NOTICE is hereby given that pursuant to the provisions of Section 219 of the Local Government Act 1999, the Naracoorte Lucindale Council resolved to assign and change road names as follows:

That the section of road in Frances between Railway Terrace and Racecourse Road formerly known as Racecourse Road is named Barrett Road.

That the section of road in Frances from East Terrace to the Victorian border formerly known as Racecourse Road is named Marshall Road.

H. MACDONALD, Chief Executive Officer

NARACOORTE LUCINDALE COUNCILAppointment of Elected Members and Public Officers

to Council’s Development Assessment PanelNOTICE is hereby given that at its meeting held on 9 December 2014, the Council made the following appointments to Council’s Development Assessment Panel:

Chief Executive Officer, Dr Helen Macdonald, and Manager Planning and Compliance, Paul McRostie were appointed as Public Officers.Councillors Schultz, Robinson and Rayner were appointed as

members of the Panel until December 2016.H. MACDONALD, Chief Executive Officer

WAKEFIELD REGIONAL COUNCILCALL FOR NOMINATIONS

Supplementary Election for Councillor in South WardNOMINATIONS to be a candidate for election as a member of the Wakefield Regional Council will be received between Thursday, 15 January 2015 and 12 noon, Thursday, 29 January 2015. Candidates must submit a profile of not more than 150 words with their nomination form and may also provide a photograph, predominantly head and shoulders, taken within the previous 12 months.

Nomination kits are available from the Council office, Scotland Place, Balaklava.

A briefing session for intending candidates will be held at 5.30 p.m. on Tuesday, 20 January 2015 at the Council office, Scotland Place, Balaklava.

K. MOUSLEY, Returning Officer

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 271

RENMARK PARINGA COUNCILChange to Road Names—Renmark

NOTICE is hereby given that at a meeting of Council held on16 December 2014, Council resolved pursuant to Section 219 (1) of the Local Government Act 1999, to change the name of the following road:

Duthie Drive, Paringa shall be renamed Duthie Court.T. SIVIOUR, Chief Executive Officer

SOUTHERN MALLEE DISTRICT COUNCILCALL FOR NOMINATIONS

Supplementary Election for Councillors in Kelly Scales WardNOMINATIONS to be a candidate for election as a member of the Southern Mallee District Council will be received between Thursday, 15 January 2015 and 12 noon, Thursday, 29 January 2015. Candidates must submit a profile of not more than 150 words with their nomination form and may also provide a photograph, predominantly head and shoulders, taken within the previous 12 months.

Nomination kits are available from the Council office, Day Street, Pinnaroo.

A briefing session for intending candidates will be held at 7.30 p.m. on Thursday, 8 January 2015 at the Pinnaroo Service Centre, Day Street, Pinnaroo.

K. MOUSLEY, Returning Officer

DISTRICT COUNCIL OF STREAKY BAYCALL FOR NOMINATIONS

Supplementary Election for Councillors in Eyre WardNOMINATIONS to be a candidate for election as a member of the District Council of Streaky Bay will be received between Thursday, 15 January 2015 and 12 noon, Thursday, 29 January 2015. Candidates must submit a profile of not more than 150 words with their nomination form and may also provide a photograph, predominantly head and shoulders, taken within the previous 12 months.

Nomination kits are available from the Council office, 29 Alfred Terrace, Streaky Bay.

A briefing session for intending candidates will be held at 7 p.m. on Wednesday, 21 January 2015 at the Council Chambers, 29 Alfred Terrace, Streaky Bay.

K. MOUSLEY, Returning Officer

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272 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 8 January 2015

UNCLAIMED MONEYS ACT 1891Register of Unclaimed Moneys held by the Regional Council of Goyder for the year ended 2014

Name of Owner and Last Known AddressTotal AmountDue to Owner

$Description of

Unclaimed Moneys Date Payable

Hill, Ann Eliza, Mitchell Street, Terowie............................................ 450.81 Sale of Land for Non Payment of Rates, Lots 326, 327, 328,

329, 330, Mitchell Street, Terowie

July 2014

Steele, Harriet Ada, C/O Post Office, Whyte Yarcowie...................... 5 693.99 Sale of Land for Non Payment of Rates, Lots 50, 51, 52,

FP219584, Barrier Highway, Whyte Yarcowie

July 2014

UNCLAIMED MONEYS ACT 1891Register of Unclaimed Moneys held by Scarce Real Estate Pty Ltd ATF The Blue Ribbon Services Trust Account

for the years ended 2006 and 2007

Name of Owner and Last Known AddressTotal AmountDue to Owner

$Description of

Unclaimed Moneys Date Payable

Teagle, 3/12 Katherine Street, Fullarton, S.A. 5063........................... 228.72 Refund of overpaid rent 14.9.06Name and Address Unknown.............................................................. 100.00 Unidentified Deposit 23.2.07Madhavi McCathie, 23 Pemberton Street, Oaklands Park, S.A. 5046 87.48 Refund of overpaid rent 31.8.07

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8 January 2015 THE SOUTH AUSTRALIAN GOVERNMENT GAZETTE 273

ATTENTIONCUSTOMERS requiring a proof of their notice for inclusion in the

Government Gazette, please note that the onus is on you to inform

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Fax 8207 1040 before 4 p.m. on Wednesday.

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necessary to your notice.

NOTE: Closing time for lodging new copy (electronically, fax or

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