Schedule 3 Application of Crown Entities Act 2004 to school boards of trustees

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SectionBrief description
Sections 3 to 8Crown entities and categories
Section 10Interpretation
Section 99Application to multi-parent subsidiaries
Section 102Interface with Companies Act 1993 and other Acts
Section 107Directions to support a whole of government approach
Section 113Safeguarding independence of Crown entities
Section 114Crown entity must comply with directions given under statutory power of direction
Section 115Procedure for all Ministerial directions
Section 119Cross reference to State Sector Act 1988, ss 84–84B
Section 131(2)Application of Ombudsmen Act 1975 and Official Information Act 1982
Section 133Minister’s power to request information
Section 134Reasons for refusing to supply information
Section 135Officials for the purposes of sections of the Crimes Act 1961
Section 136Interpretation for Part 4
Section 137Application of subpart 2 of Part 4
Section 155, with the variation specified in section 87(4) of the Education Act 1989Statement of responsibility for financial statements
Section 157Variation of reporting requirements of multi-parent subsidiaries
Section 158Bank accounts
Section 159Application of acquisition of financial products, borrowing, guarantees, indemnities, and derivatives rules
Sections 160 to 164Restrictions on acquisition of financial products, borrowing, guarantees, indemnities, and derivatives
Section 167Gifts
Section 168(1) and (2), except that the reference to section 154 must be read as a reference to section 87(3) of the Education Act 1989Accounting records
Section 173Regulations
Section 176Application of provisions of the Public Finance Act 1989
Section 178Application of Archives Act 1957
Section 179Public Bodies Contracts Act 1959 does not apply
Section 180Local Authorities (Members’ Interests) Act 1968 does not apply
Sections 181, 188, 191, 193, 194, 195, 196, 197, 198, 199, 200Transitional and savings provisions and associated consequential amendments

Schedule 3: amended, on 1 December 2014, by section 150 of the Financial Markets (Repeals and Amendments) Act 2013 (2013 No 70).

Schedule 3: amended, on 18 July 2013, by section 40 of the Crown Entities Amendment Act 2013 (2013 No 51).