Government Bill
18—2
As reported from the Local Government and Environment Committee
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Hon Dr Nick Smith
Government Bill
18—2
How matter comes to Minister for call in decision
How matter processed after being called in
149B Minister may direct EPA to delay giving public notice pending application for additional consents
149H Local authority may not notify further change or variation on same issue if change or variation called in
Matter decided by board of inquiry
149O Public notice and submissions where EPA receives proposed plan or change from local authority under section 149N
The Parliament of New Zealand enacts as follows:
This Act is the Resource Management (Simplifying and Streamlining) Amendment Act 2009.
(1) Section 147 and Schedule 1 come into force 3 years after the date on which the rest of this Act comes into force under subsection (3).
(2) Section 151(1) and (2) come into force 2 years after the date on which the rest of this Act comes into force under subsection (3).
The rest of this This Act comes into force on the day after the date on which it receives the Royal assent 1 October 2009.
This Act amends the Resource Management Act 1991.
(1) This section amends section 2(1).
(2) The definitions of amendment, board of inquiry, and declaration are repealed.
(3) The following definitions are inserted in their appropriate alphabetical order:
“Crown organisation has the same meaning as in section 4 of the Crown Organisations (Criminal Liability) Act 2002
“employee includes,—
“(a) in relation to a Crown organisation, the chief executive or principal officer (however described) of the organisation; and
“(b) in relation to the New Zealand Defence Force, a member of the Armed Forces (as defined in section 2(1) of the Defence Act 1990)
“Environmental Protection Authority or
AuthorityEPA means the Environmental Protection Authority established under section 42B“proposed policy statement has the meaning given in section 43AA
“use,—
“(a) in sections 9, 10, 10A, 10B,
and176(1)(b)(i), and 193(a), means—
“(i) alter, demolish, erect, extend, place, reconstruct, remove, or use a structure or part of a structure in, on, under, or over land:
“(ii) drill, excavate, or tunnel land or disturb land in a similar way:
“(iii) damage, destroy, or disturb the habitats of plants or animals in, on, or under land:
“(iv) deposit a substance in, on, or under land:
“(v) any other use of land; and
“(b) in sections 9, 10A,
and176(1)(b)(i), and 193(a), also means to enter onto or pass across the surface of water in a lake or river”.
(4) The definition of applicant is repealed and the following definition substituted:
“applicant,—
“(aa) in section 37A, for the purposes of a review of consent conditions, means the consent holder:
“(a) in sections 40, 41B,
41BA, 41BB, and41C, and 42A means the person whoinitiates a matter described in section 39(1):—
“(i) holds a resource consent referred to in section 39(1)(c); or
“(ii) initiates a matter described in the rest of section 39(1):
“(b) in sections 87C to 87G87F, means the person who initiates a matter described in section 39(1)(b), (c), (d), or (f):—
“(c) in section 92AB, means the person who initiates a matter described in section 39(1):
“(d) in section 96, means the person who—
“(i) initiates a matter described in section 39(1)(b)
, (c),or (d); or
“(ia) holds a resource consent referred to in section 39(1)(c); or
“(ii) initiates a requirement for a designation:
“(e) in
sections 141 to 150AAPart 6AA, has the meaning givento it by section 140in section 141”.
(5) The definition of certificate of compliance is amended by omitting “local authority”
and substituting “consent authority or the Environmental Protection Authority”
.
(6) The definition of change is repealed and the following definition substituted:
“change has the meaning given in section 43AA”.
(7) The definition of consent authority is repealed and the following definition substituted:
“consent authority means—
“(a) a regional council, a territorial authority, or a local authority that is both a regional council and a territorial authority, whose permission is required to carry out an activity for which a resource consent is required under this Act; and
“(b) in relation to a restricted coastal activity, the regional council for the region concerned”.
(7) The definition of consent authority is amended by omitting “the Minister of Conservation,”
.
(7A) The definition of contaminated land is repealed and the following definition substituted:
“contaminated land means land that has a hazardous substance in or on it that—
“(a) has significant adverse effects on the environment; or
“(b) is reasonably likely to have significant adverse effects on the environment”.
(8) The definition of district plan is repealed and the following definition substituted:
“district plan has the meaning given in section 43AA”.
(9) The definition of district rule is repealed and the following definition substituted:
“district rule has the meaning given in section 43AAB”.
(10) The definition of land is repealed and the following definition substituted:
“land—
“(a) includes land covered by water and the air space above land; and
“(b) in section 9(1), does not include the bed of a lake or river; and
“(c) in section 9(2), includes the surface of water in a lake or river”.
(11) The definition of operative is repealed and the following definition substituted:
“operative has the meaning given in section 43AA”.
(12) The definition of plan is repealed and the following definition substituted:
“plan has the meaning given in section 43AA”.
(13) The definition of policy statement is repealed and the following definition substituted:
“policy statement has the meaning given in section 43AA”.
(14) The definition of proposed plan is repealed and the following definition substituted:
“proposed plan has the meaning given in section 43AAC”.
(15) The definition of proposed policy statement is repealed and the following definition substituted:
“proposed policy statement has the meaning given in section 43AA”.
(16) The definition of public notice is repealed and the following definition substituted:
“public notice—
“(a) means a notice published in a newspaper circulating in the entire area likely to be affected by the proposal to which the notice relates; and
“(b) if a local authority also publishes a notice on an Internet site to which the public have free access, includes that notice”.
(17) The definition of regional coastal plan is repealed and the following definition substituted:
“regional coastal plan has the meaning given in section 43AA”.
(18) The definition of regional plan is repealed and the following definition substituted:
“regional plan has the meaning given in section 43AA”.
(19) The definition of regional policy statement is repealed and the following definition substituted:
“regional policy statement has the meaning given in section 43AA”.
(20) The definition of regional rule is repealed and the following definition substituted:
“regional rule has the meaning given in section 43AAB”.
(21) The definition of restricted coastal activity is repealed and the following definition substituted:
“restricted coastal activity means any discretionary activity or non-complying activity
whichthat, in accordance with section 68, is stated by a regional coastal plan to be a restricted coastal activity”.
(22) The definition of rule is repealed and the following definition substituted:
“rule has the meaning given in section 43AA”.
(23) The definition of submission is repealed and the following definition substituted:
“submission means a written or electronic submission”.
(24) The definition of survey plan is repealed and the following definition substituted:
“survey plan
—has the meaning set out in the following paragraphs, in which cadastral survey dataset has the same meaning as in section 4 of the Cadastral Survey Act 2002:
“(a) survey plan means—
“(i) a
plancadastral survey dataset of subdivision of land, or a building or part of a building, prepared in a form suitable for deposit under the Land Transfer Act 1952; and
“(ii)
an SO plana cadastral survey dataset of a subdivision by or on behalf of a Minister of the Crown of land not subject to the Land Transfer Act 1952; and:
“(b) survey plan includes—
“(i) a unit plan; and
“(ii) a
plancadastral survey dataset to give effect to the grant of a cross lease or company lease”.
(25) The definition of variation is repealed and the following definition substituted:
“variation has the meaning given in section 43AA”.
The following section is inserted after section 2:
“2AA Definitions relating to notification
“(1) The definitions in subsection (2) apply only in relation to—
“(a) an application for a resource consent for an activity; or
“(b) any of the following matters:
“(i) a review of a resource consent:
“(ii) an application to change or cancel a condition of a resource consent:
“(iii) a notice of requirement for a designation or heritage order:
“(iv) a notice of requirement to alter a designation or heritage order:
“(v) an application to vary or cancel an instrument creating an esplanade strip:
“(vi) a matter of creating an esplanade strip by agreement.
“(2) In this Act, unless the context requires another meaning,—
“affected order holder means the holder of a customary rights order who, under section 95F, is decided to be an affected order holder in relation to the activity (or the thing treated as if it were an activity in that section)
“affected person means a person who, under section 95E, is decided to be an affected person in relation to the activity (or the thing treated as if it were an activity in that section)
“limited notification means serving notice of the application or matter on any affected person or affected order holder within the time limit specified by section 95
“notification means public notification or limited notification of the application or matter
“public notification means doing the following within the time limit specified by section 95:
“(a) giving public notice of the application or matter in the prescribed form; and
“(b) serving notice of the application or matter on every prescribed person.”
(1) Section 4(1) is repealed and the following subsection substituted:
“(1) This Act binds the Crown, except as provided in this section.”
(2) Section 4(3) is amended by omitting “Section 9(1)”
and substituting “Section 9(2)”
.
(3) Section 4(5) is repealed and the following subsections are substituted:
“(5) An abatement notice or excessive noise direction may be served or issued against an instrument of the Crown, in accordance with this Act
., only if—
“(a) it is a Crown organisation; and
“(b) the notice or direction is served or issued against the Crown organisation in its own name.
“(6) An enforcement order may be made against an instrument of the Crown, in accordance with this Act,
but only a local authority may apply for the order, despite section 316.only if—
“(a) it is a Crown organisation; and
“(b) a local authority applies for the order; and
“(c) the order is made against the Crown organisation in its own name.
“(6A) Subsections (5) and (6) apply despite section 17(1)(a) of the Crown Proceedings Act 1950.
“(7) An instrument of the Crown may be served with an infringement notice, in accordance with this Act,
but only if it is liable to be proceeded against for the alleged offence under subsection (8).only if—
“(a) it is liable to be proceeded against for the alleged offence under subsection (8); and
“(b) the notice is served against the Crown organisation in its own name.
“(8) An instrument of the Crown may be prosecuted for an offence against this Act only if—
“(a) it is a Crown organisation; and
“(b) the offence is alleged to have been committed by the Crown organisation; and
“(c) the proceedings are commenced—
“(i) by a local authority or an enforcement officer; and
“(ii) against the Crown organisation in its own name and the proceedings do not cite the Crown as a defendant; and
“(iii) in accordance with the Crown Organisations (Criminal Liability) Act 2002.
“(8A) However, subsections (7) and (8) are subject to section 8(4) of the Crown Organisations (Criminal Liability) Act 2002 (which provides that a court may not sentence a Crown organisation to pay a fine in respect of an offence against this Act).
“(8B) If a Crown organisation is not a body corporate, it is to be treated as if it were a separate legal personality for the purposes of—
“(a) serving or issuing an abatement notice or excessive noise direction against it; and
“(b) making an enforcement order against it; and
“(c) serving an infringement notice on it; and
“(d) enforcing an abatement notice, excessive noise direction, enforcement order, or infringement notice in relation to it.
“(9)
The Crown may not be prosecuted for an offence against this Act, except to the extent and in the manner provided for in subsection (8).Except to the extent and in the manner provided for in subsections (5) to (8B), the Crown may not—
“(a) be served or issued with an abatement notice or excessive noise direction; or
“(b) have an enforcement order made against it; or
“(c) be served with an infringement notice; or
“(d) be prosecuted for an offence against this Act.”
Section 9 is repealed and the following section substituted:
“9 Restrictions on use of land
“(1A) No person may use land in a manner that contravenes a national environmental standard unless the use—
“(a) is expressly allowed by a resource consent; or
“(b) is allowed by section 10; or
“(c) is an activity allowed by section 10A; or
“(d) is an activity allowed by section 20A.
“(1) No person may use land in a manner that contravenes
a national environmental standard ora regional rule unless the use—
“(a) is expressly allowed by a resource consent; or
“(b) is an activity allowed by section 20A.
“(2) No person may use land in a manner that contravenes
a national environmental standard ora district rule unless the use—
“(a) is expressly allowed by a resource consent; or
“(b) is allowed by section 10; or
“(c) is an activity allowed by section 10A.
“(3) No person may contravene a designation, a requirement referred to in section 178(1) or 194(1), or a heritage order unless the person obtains the prior written consent of the requiring authority or the heritage protection authority.
“(4) This section applies to overflying by aircraft only to the extent to which noise emission controls for airports have been prescribed by a national environmental standard or set by a territorial authority.
“(5) This section does not apply to use of the coastal marine area.”
Section 10(6) is repealed.
Section 10B(4) is repealed and the following subsection substituted:
“(4) Section 10(4) and (5) applies to this section.”
Section 11(1)(a) is repealed and the following paragraph substituted:
“(a) both, first, expressly allowed by a national environmental standard,
a district rule, or a resource consent and covered by onea rule in a district plan as well as a rule in a proposed district plan for the same district (if there is one), or a resource consent and, secondly, shown on one of the following:
“(i) a survey plan, as defined in paragraph (a)(i) of the definition of survey plan in section 2(1), deposited under Part 10 by the Registrar-General of Land; or
“(ii) a survey plan, as defined in paragraph (a)(ii) of the definition of survey plan in section 2(1), approved as described in section 228 by the Chief Surveyor; or
“(iii) a survey plan, as defined in paragraph (b) of the definition of survey plan in section 2(1), deposited under Part 10 by the Registrar-General of Land; or”.
(1) Section 12(1) is amended by omitting “rule in a regional coastal plan and in any relevant proposed regional coastal plan”
and substituting “national environmental standard, a rule in a regional coastal plan
. or as well as a rule in a proposed regional coastal plan for the same region (if there is one),”
(2) Section 12(2) is amended by omitting “rule in a regional coastal plan and in any relevant proposed regional coastal plan or by”
and substituting “national environmental standard, a rule in a regional coastal plan
. or as well as a rule in a proposed regional coastal plan for the same region (if there is one), or”
(3) Section 12(3) is amended by inserting “a national environmental standard or”
after “contravenes”
.
(3) Section 12(3) is amended by omitting “rule in a regional coastal plan or a proposed regional coastal plan”
and substituting “national environmental standard, a rule in a regional coastal plan, or a rule in a proposed regional coastal plan for the same region (if there is one)”
.
(4) Section 12(4) is amended by inserting “national environmental standard or the”
after “but for the”
.
(5) Section 12(5) is repealed and the following subsection substituted:
“(5) This section applies to overflying by aircraft only to the extent to which noise emission controls for airports within the coastal marine area have been prescribed by a national environmental standard or set by a regional council.”
(1) Section 13(1) is amended by omitting “rule in a regional plan and in any relevant proposed regional plan”
and substituting “national environmental standard,
. a regional rule, a rule in a regional plan as well as a rule in a proposed regional plan for the same region (if there is one),”
(2) Section 13(2) is repealed and the following subsections are substituted:
“(2) No person may do an activity described in subsection (2A) in a manner that contravenes a national environmental standard or a regional rule unless the activity—
“(a) is expressly allowed by a resource consent; or
“(b) is an activity allowed by section 20A.
“(2A) The activities are—
“(a) to enter onto or pass across the bed of a lake or river:
“(b) to damage, destroy, disturb, or remove a plant or a part of a plant, whether exotic or indigenous, in, on, or under the bed of a lake or river:
“(c) to damage, destroy, disturb, or remove the habitats of plants or parts of plants, whether exotic or indigenous, in, on, or under the bed of a lake or river:
“(d) to damage, destroy, disturb, or remove the habitats of animals in, on, or under the bed of a lake or river.”
(1) Section 14(1) and (2) are repealed and the following subsections substituted:
“(1) No person may take, use, dam, or divert any open coastal water, or take or use any heat or energy from any open coastal water, in a manner that contravenes a national environmental standard or a regional rule unless the activity—
“(a) is expressly allowed by a resource consent; or
“(b) is an activity allowed by section 20A.
“(2) No person may take, use, dam, or divert any of the following, unless the taking, using, damming, or diverting is allowed by subsection (3):
“(a) water other than open coastal water; or
“(b) heat or energy from water other than open coastal water; or
“(c) heat or energy from the material surrounding geothermal water.”
(2) Section 14(3) is amended by omitting “subsection (1)”
and substituting “subsection (2)”
.
(3) Section 14(3)(a) is amended by omitting “use, damming, or diversion is expressly allowed by a rule in a regional plan and in any relevant proposed regional plan”
and substituting “using, damming, or diverting is expressly allowed by a national environmental standard,
. a regional rule a rule in a regional plan as well as a rule in a proposed regional plan for the same region (if there is one),”
(1) Section 15(1) is amended by omitting “rule in a regional plan and in any relevant proposed regional plan, a resource consent, or regulations”
and substituting “national environmental standard or other regulations,
. a regional rule a rule in a regional plan as well as a rule in a proposed regional plan for the same region (if there is one), or a resource consent”
(2) Section 15(2) is repealed and the following subsections are substituted:
“(2) No person may discharge a contaminant into the air, or into or onto land, from a place or any other source, whether moveable or not, in a manner that contravenes a national environmental standard unless the discharge—
“(a) is expressly allowed by other regulations; or
“(b) is expressly allowed by a resource consent; or
“(c) is an activity allowed by section 20A.
“(2A) No person may discharge a contaminant into the air, or into or onto land, from a place or any other source, whether moveable or not, in a manner that contravenes a regional rule unless the discharge—
“(a) is expressly allowed by a national environmental standard or other regulations; or
“(b) is expressly allowed by a resource consent; or
“(c) is an activity allowed by section 20A.”
Section 16(2) is repealed and the following subsection substituted:
“(2) A national environmental standard, plan, or resource consent made or granted for the purposes of any of sections 9, 12, 13, 14, 15, 15A, and 15B may prescribe noise emission standards, and is not limited in its ability to do so by subsection (1).”
Section 17(1) is repealed and the following subsection substituted:
“(1) Every person has a duty to avoid, remedy, or mitigate any adverse effect on the environment arising from an activity carried on by or on behalf of the person, whether or not the activity is carried on in accordance with—
“(a) any of sections 10, 10A, 10B, and 20A; or
“(b) a national environmental standard, a rule, a resource consent, or a designation.”
Sections 19 and 20 and the heading above section 19 are repealed.
The following heading is inserted above section 20A:
“Certain existing lawful activities allowed”.
Section 22 is repealed and the following section substituted:
“22 Duty to give certain information
“(1) This section applies when an enforcement officer has reasonable grounds to believe that a person (person A) is breaching or has breached any of the obligations under this Part.
“(2) The enforcement officer may direct person A to give the officer the following information:
“(a) if person A is a natural person, his or her full name, address, and date of birth:
“(b) if person A is not a natural person, person A's full name and address.
“(3) The enforcement officer may also direct person A to give the officer the following information about a person (person B) on whose behalf person A is breaching or has breached the obligations under this Part:
“(a) if person B is a natural person, his or her full name, address, and date of birth:
“(b) if person B is not a natural person, person B's full name and address.”
Section 24(c) is repealed and the following paragraph substituted:
“(c) to decide whether to intervene or call in matters that are or are part of proposals of national significance under Part 6AA:”.
Section 24A(a) and (c) are amended by inserting “or regulations under this Act”
after “Act”
.
The following section is inserted after section 25A:
“25B Ministers may direct commencement of review
“(1) The Minister may direct a regional council to commence a review of the whole or any part of its regional plan (except its regional coastal plan) and, if he or she does so, must specify a reasonable period within which the review must commence.
“(2) The Minister of Conservation may direct a regional council to commence a review of the whole or any part of its regional coastal plan and, if he or she does so, must specify a reasonable period within which the review must commence.
“(3) The Minister may direct a territorial authority to commence a review of the whole or any part of its district plan and, if he or she does so, must specify a reasonable period within which the review must commence.
“(4) For the purposes of subsections (1) to (3),
section 79(3) to (6)section 79(5) to (9) applies to the review with any necessary modification.”
(1) Section 28(c) is repealed.
(2) Section 28(d) is amended by adding “under section 31A”
.
(2) Section 28(d) is amended by omitting “granted by the Minister of Conservation”
and substituting “for restricted coastal activities”
.
Section 28A is repealed and the following section substituted:
“28A Regional council must supply information to Minister of Conservation
“(1) The Minister of Conservation may, if it is reasonable to do so, require a regional council to supply information about the regional council's monitoring of—
“(a) a coastal permit relating to its region; or
“(b) its regional coastal plan; or
“(c) the exercise of a recognised customary activity in its region.
“(2) The Minister of Conservation must request the required information by giving a written and dated notice to the regional council.
“(3) The council must supply the information to the Minister of Conservation within—
“(a) 20 working days of the date of the notice; or
“(b) a longer time set by the Minister of Conservation.
“(4) The council must not charge for supplying the information.”
(1) Section 29(1)(a) to (h) are repealed and the following paragraphs substituted:
“(a) certifying any work or activity under section 4:
“(b) appointing persons to exercise powers or perform functions
, powers,or duties in place of a local authority under section 25:
“(c) recommending the making of a national environmental standard under section 44:
“(d) recommending the approval, change, or revocation of a national policy statement or a New Zealand coastal policy statement under section 52, 53, or 57:
“(e) making decisions on whether and, if relevant, how to intervene in a matter under section 141A:
“(e) the following functions, powers, and duties under Part 6AA:
“(i) deciding whether to intervene or call in a matter that is or is part of a proposal of national significance under section 142(1):
“(ii) deciding whether to make a submission for the Crown on a called in matter under section 149C:
“(iii) appointing a board of inquiry to consider a called in matter under section 149J:
“(iv) extending the time by which a board of inquiry must produce a final report on a called in matter under section 149T:
“(v) deciding whether to exercise 1 or more of the powers set out in section 149ZA in relation to a matter that is not called in or an application or notice of requirement to which section 149ZB applies:
“(vi) deciding whether to call in an application or notice to which section 149ZB applies under section 149ZC.
“(f) recommending the making of an Order in Council under section 150C:
“(g) recommending the making of an Order in Council under section 165O:
“(h) approving an applicant as a requiring authority under section 167:
“(i) approving an applicant as a heritage protection authority under section 188:
“(j) recommending the issue or amendment of a water conservation order under section 214 or 216:
“(k) recommending the appointment of an Environment Judge or alternate Environment Judge under section 250:
“(l) recommending the appointment of the Principal Environment Judge under section 251:
“(m) recommending the appointment of an Environment Commissioner or Deputy Environment Commissioner under section 254:
“(n) recommending the making of regulations under section 360:
“(o) approving a regional coastal plan under clause 19 of Schedule 1:
“(p) making a decision on any controls to be imposed on a recognised customary activity under Schedule 12:
“(q) this power of delegation.”
(2) Section 29 is amended by adding the following subsections:
“(4) The Minister may, in writing, delegate to the Environmental Protection Authority his or her functions, powers, and duties under sections 144, 145, and 147.
“(4) The Minister may, in writing, delegate to the Environmental Protection Authority his or her functions, powers, and duties under Part 6AA except the following:
“(a) deciding whether to intervene or call in a matter that is or is part of a proposal of national significance under section 142(1):
“(b) deciding whether to make a submission for the Crown on a called in matter under section 149C:
“(c) appointing a board of inquiry to consider a called in matter under section 149J:
“(d) extending the time by which a board of inquiry must produce a final report on a called in matter under section 149T:
“(e) deciding whether to exercise 1 or more of the powers set out in section 149ZA in relation to a matter that is not called in or an application or notice of requirement to which section 149ZB applies:
“(f) deciding whether to call in an application or notice to which section 149ZB applies under section 149ZC.
“(5) A delegation under subsection (4)—
“(a) is revocable at will, but the revocation does not take effect until it is communicated in writing to the
AuthorityEPA; and
“(b) does not prevent the Minister from performing the functions or duties, or exercising the powers, concerned.”
(1) Section 34A(1)(a) is repealed and the following paragraph substituted:
“(a) the approval of a proposed policy statement or plan under clause 17 of Schedule 1:”.
(2) Section 34A(2)(c) is repealed and the following paragraph substituted:
“(c) the making of a decision on a requirement for a designation.”
(1AA) Section 35(1) is amended by inserting “or regulations under this Act”
after “Act”
.
(1) Section 35(5)(f) is amended by inserting “national environmental standard or”
after “any”
.
(2) Section 35(5)(ga) is amended by omitting “94C”
and substituting “94AAE”
.
(2) Section 35(5)(ga) is amended by omitting “sections 94 to 94C”
and substituting “sections 37A, 87C, 95 to 95F, 198B, and 198I”
.
Section 35A is amended by inserting “or regulations under this Act”
after “Act”
in each place where it appears.
(1) Section 36(1) is amended by inserting the following paragraphs after paragraph (a):
“(ab) charges payable by, and to be shared equally between, all persons who make a request under section 100A in relation to an application for a resource consent, for any amount by which the cost of deciding the application in accordance with the request exceeds what it would otherwise have cost to decide the application:
“(aa) charges payable by an applicant who makes a request under section 100A in relation to an application for a resource consent, even if 1 or more submitters also make a request, for the cost of the application being heard and decided in accordance with the request:
“(ab) charges payable if 1 or more submitters make a request under section 100A in relation to an application for a resource consent, but the applicant does not also make a request, as follows:
“(i) charges payable by the applicant for the amount that the local authority estimates it would cost for the application to be heard and decided if the request had not been made; and
“(ii) charges payable by the submitters who made a request for equal shares of any amount by which the cost of the application being heard and decided in accordance with the request exceeds the amount payable by the applicant under subparagraph (i):
“(ac) charges payable by a requiring authority or heritage protection authority who makes a request under section 100A in relation to a notice of requirement, even if 1 or more submitters also make a request, for the cost of the requirement being heard and decided or recommended on in accordance with the request:
“(ad) charges payable if 1 or more submitters make a request under section 100A in relation to a notice of requirement, but the requiring authority or heritage protection authority does not also make a request, as follows:
“(i) charges payable by the requiring authority or heritage protection authority for the amount that the local authority estimates it would cost for the requirement to be heard and decided or recommended on if the request had not been made; and
“(ii) charges payable by the submitters who made a request for equal shares of any amount by which the cost of the requirement being heard and decided or recommended on in accordance with the request exceeds the amount payable by the authority under subparagraph (i):”.
(2) Section 36(1)(b) is amended by inserting “any 1 or more of”
after “local authority of”
.
(3) Section 36(1)(cb) is amended by inserting “any 1 or more of”
after “local authority of”
.
(3A) Section 36(1)(cb) is also amended by adding “; or”
and also by adding the following subparagraph:
“(iv) the review is carried out under section 128(2).”
(4) Section 36(1)(d) is amended by inserting “any 1 or more of”
after “local authority of”
.
(5) Section 36 is amended by adding the following subsection:
“(8) However, subsection (7) does not apply to a charge to which subsection (1)(ab)(ii), (ad)(ii), or (cb)(iv) applies (relating to independent hearings commissioners requested by submitters or reviews required by a court order).”
The Act is amended by inserting the following section is inserted after section 36:
“36AA Local authority to adopt policy on discounting administrative charges for failure to meet consent processing deadlines
“(1) A local authority must adopt, in accordance with the special consultative procedure set out in section 83 of the Local Government Act 2002, a policy in respect of discounting administrative charges imposed under section 36 of this Act in the circumstances where—
“(a) a resource consent is not processed within the time frames set out in this Act; and
“(b) the responsibility for the failure rests with the local authority.
“(2) The policy must specify—
“(a) the discount, or the method for determining the discount, that an applicant for a resource consent would receive for any application fees or charges paid or owing; and
“(b) the procedure an applicant must follow to obtain the discount.
“(3) A policy adopted under this section must be operating no later than 12 months after the commencement of section 25 of the Resource Management (Simplifying and Streamlining) Amendment Act 2009.“36AA Local authority policy on discounting administrative charges
“(1) A local authority may provide a discount on an administrative charge imposed under section 36 in accordance with regulations made under section 360(1)(hj).
“(2) The Minister must recommend to the Governor-General within 9 months of the commencement of section 25 of the Resource Management (Simplifying and Streamlining) Amendment Act 2009 that regulations be made under section 360(1)(hj) and the Minister must, before making the recommendation, consult with local authorities about the proposed regulations.
“(3) A local authority may adopt, in accordance with the special consultative procedure set out in section 83 of the Local Government Act 2002, a policy in respect of discounting administrative charges imposed under section 36 of this Act in the circumstances where—
“(a) a resource consent is not processed within the time frames set out in this Act; and
“(b) the responsibility for the failure rests with the local authority.
“(4) The policy must specify—
“(a) the discount, or the method for determining the discount, that an applicant for a resource consent would receive for any application fees or charges paid or owing; and
“(b) the procedure an applicant must follow to obtain the discount.
“(5) If a discount in a policy adopted under subsection (3) is more generous than that provided for in the regulations the local authority may comply with the policy instead of the regulations.”
Section 37A is amended by repealing subsection (3) and substituting the following subsections:
“(3) Instead of subsections (1) and (2), subsection (4) and (5) apply to an extension of a time limit imposed on a consent authority in respect of—
“(a) an application for a resource consent; or
“(b) an application to change or cancel a condition of a resource consent; and
“(c) a review of a resource consent.
“(4) A consent authority may extend a time period under section 37 only if—
“(a) the time period as extended does not exceed twice the maximum time period specified in this Act; and
“(b) either—
“(i) special circumstances apply (including special circumstances existing by reason of the scale or complexity of the matter); or
“(ii) the applicant agrees to the extension; and
“(c) the authority has taken into account the matters specified in subsection (1).
“(5) A consent authority may extend a time period under section 37 so that the extended period exceeds twice the maximum time period specified in the Act only if—
“(a) the applicant agrees to the extension; and
“(b) the authority has taken into account the matters specified in subsection (1).
“(6) A consent authority or a local authority must ensure that every person who, in its opinion, is directly affected by the extension of a time limit or the waiver of compliance with a time limit, a method of service, or the service of a document is notified of the extension or waiver.”
Section 37B(a) and (b) is repealed and the following paragraphs substituted:
“(a) the Minister, while carrying out his or her functions under sections 141A to 150AA:
“(a) the Minister, while carrying out any of his or her functions under Part 6AA:
“(b) a board of inquiry appointed under section 149J, while carrying out its functions under Part 6AA, except in respect of the time periods and requirements under section 149R:
“(ba) the EPA, while carrying out its functions under Part 6AA, except in respect of the time periods and requirements under section 147(1):”.
(1) Section 38(3)(a) is amended by adding “under section 31A”
.
(1) Section 38(3)(a) is repealed and the following paragraph substituted:
“(a) compliance with a resource consent issued by that Minister under section 31A:”.
(2) Section 38(3)(b) is repealed.
(1) Section 39(1) is amended by omitting “146”
and substituting “149J”
.
(2) Section 39(1)(a) is amended by omitting “plan, or change or variation to a policy statement or plan”
and substituting “a plan, a change, or a variation”
.
(3) Section 39(1)(c) is amended by omitting “an application for”
.
(4) Section 39(1)(d) is amended by omitting “change any”
and substituting “change or cancel a”
.
(5) Section 39(1)(e) is repealed and the following paragraph substituted:
“(e) a matter that has been called in by the Minister under Part 6AA; or”.
(6) Section 39(1) is amended by inserting the following paragraph after paragraph (f):
“(fa) a requirement to alter a designation or heritage order; or”.
(1) The heading to section 41 is repealed and the heading “Procedural provisions relating to hearings”
is substituted.
(2) Section 41(4) is repealed.
Section 41A is amended by omitting “section 41B or section 41C”
and substituting “any of sections 41B to 41D”
.
Section 41B(5) is repealed and the following subsections are substituted:
“(5) If the authority has exercised a power under this section, section 101(2) does not apply. Instead, subsection (6) or (7) of the section applies.
“(6) If section 87G, 198G, or 198N applies, the authority must hold the hearing no more than 30 working days after the date on which it knows that the section applies.
“(7) In any other case, the authority must hold the hearing within 40 working days after the closing date for submissions.”
The following sections are inserted after section 41B:
“41BA Reports before hearings
“(1) Before the hearing, the authority may require a person described in subsection (2) to prepare a report on—
“(a) information provided by the applicant; or
“(b) information provided by a person who made a submission.
“(2) The persons are—
“(a) an officer of a local authority as defined in section 42(6):
“(b) a consultant commissioned for the purpose:
“(c) any other person employed for the purpose.
“(3) A report under subsection (1) does not need to repeat material in the assessment of environmental effects included in the application under section 88(2)(b). Instead, it may—
“(a) adopt the whole assessment; or
“(b) adopt a part of the assessment by giving a reference to the part adopted; or
“(c) adopt some of the material in the assessment by giving a reference to the material.
“(4) Before the hearing, the authority may commission a consultant or any other person to prepare a report on any matter relating to an application, including—
“(a) information provided by the applicant in the application; or
“(b) information provided by the applicant under section 92 .
“(5) However, the authority may commission a report under subsection (4) only if—
“(a) the activity that is the subject of the hearing may, in the authority's opinion, have a significant adverse environmental effect; and
“(b) the applicant is notified before the authority commissions the report; and
“(c) the applicant does not refuse to agree to the commissioning of the report.
“(6) The authority must notify the applicant in writing that it wants to commission a report under subsection (4) and give its reasons for wanting to do so.
“(7) The authority must decide whether or not to require a report under this section a reasonable time before the hearing.
“(8) A report under this section may be considered at the hearing.
“(9) A copy of a report under this section must be sent to the applicant and every person who made a submission and stated a wish to be heard at the hearing.
“(10) Subsection (9) does not apply to a report referred to in subsection (4) if the applicant refuses to agree to the commissioning of the report.
“(11) The time at which copies of reports must be sent under subsection (9) depends on whether or not the authority gives a direction under section 41B(1). The copies must be sent at a time that ensures that the applicant and every person who made a submission and stated a wish to be heard at the hearing receive them—
“(a) at least 15 working days before the hearing, if the authority gives a direction; or
“(b) at least 5 working days before the hearing, if the authority does not give a direction.
“(12) The authority may waive compliance with subsection (9) if—
“(a) it is satisfied that there is no material prejudice to any person who should have been sent a copy of the report; or
“(b) it is not aware of any material prejudice to any person who should have been sent a copy of the report.
“41BB Reports at hearings
“(1) At the hearing, the authority may commission a consultant or any other person to prepare a report on any matter on which the authority requires further information, if all the following apply:
“(a) the activity that is the subject of the hearing may, in the authority's opinion, have a significant adverse environmental effect; and
“(b) the applicant is notified before the authority commissions the report; and
“(c) the applicant does not refuse to agree to the commissioning of the report.
“(2) A copy of the report must be sent to the applicant and every person who made a submission and stated a wish to be heard at the hearing.
“(3) Subsection (2) does not apply if the applicant refuses to agree to the commissioning of the report.”
(1) Section 41C(4) is repealed.
(2) Section 41C(5) is repealed and the following subsectionsubsections are substituted:
“(5) The following provisions apply to information provided under subsection (2) or (3):
“(a) for information provided under subsection (2), the authority must send a copy to the applicant and every person who made a submission (except the person who provided the information):
“(b) for information provided under subsection (3), the authority must send a copy to every person who made a submission.
“(5) The authority must provide a copy of any further information requested under subsection (2), and received before the hearing, to the applicant and every person who made a submission.
“(5A) Subsection (5B) applies to—
“(a) any further information that—
“(i) is requested under subsection (2) or (3); and
“(ii) is received in writing or electronically after the start of the hearing; but
“(iii) is not given as evidence at the hearing; and
“(b) any report that is commissioned under subsection (4).
“(5B) The authority must—
“(a) provide a copy of the further information or report to the applicant and every person who made a submission and stated a wish to be heard; and
“(b) make the further information or report available at its office to any person who made a submission and did not state a wish to be heard.
“(5C) However, the authority does not need to provide further information to the applicant or submitter who provided the information.”
(3) Section 41C(7) is amended by inserting the following paragraph after paragraph (b):
“(ba) that the whole submission, or the part, is not made in compliance with whichever of section 308B(2) or clause 6(4) or 29(1B) of Schedule 1 applies to it; or”.
The following section is inserted after section 41C:
“41D Information and advice at hearings
“(1) At the hearing, the authority may receive any information or advice that is relevant and reasonably necessary to determine the application.
“(2) The authority may request one of the following persons to provide the information or advice:
“(a) a person who makes a report under section 41BA or 41BB:
“(b) a person who is heard by the authority at the hearing:
“(c) a person who is represented at the hearing.
“(3) If the authority decides to make a request, it must make the request a reasonable time before the hearing.
“(4) The person must provide the information to the office of the consent authority no later than 10 working days before the hearing of the application.”
Section 42(6)(b) is repealed and the following paragraph substituted:
“(b) local authority includes—
“(i) a board of inquiry appointed under section 47 or
146149J:
“(ii) a community board:
“(iii) a public body:
“(iv) a special tribunal:
“(v) a person given authority to conduct hearings under any of sections 33, 34, 34A, 117, and 202.”
Section 42A and the heading above section 42A are repealed.
(1) Section 42A(1) is amended by omitting “as defined in section 42(6)”
and substituting “(as local authority is defined in section 42(6)(b))”
.
(2) Section 42A is amended by inserting the following subsections after subsection (1):
“(1A) The report does not need to repeat material from an assessment of environmental effects included in an application under section 88(2)(b).
“(1B) Instead, the report may—
“(a) adopt the whole assessment; or
“(b) adopt any part of the assessment by referring to the part adopted.”
(3) Section 42A(3) and (4) are repealed and the following subsections substituted:
“(3) If the report is in writing, the local authority must provide a copy of it to the applicant, and to every person who made a submission and stated a wish to be heard at the hearing, so that they receive the copy—
“(a) at least 15 working days before the hearing, if the authority gives a direction under section 41B; or
“(b) at least 5 working days before the hearing, if the authority does not give a direction under section 41B.
“(3A) If the report is in writing, the authority must—
“(a) make the report available at its office to any person who made a submission and did not state a wish to be heard; and
“(b) give written or electronic notice to those submitters that the report is available at the authority's office.
“(4) The local authority may waive compliance with—
“(a) subsection (3) if it is satisfied that there is no material prejudice, or is not aware of any material prejudice, to any person who should have been provided with a copy of the report under that subsection; or
“(b) subsection (3A)(b) if it is satisfied that there is no material prejudice, or is not aware of any material prejudice, to any person who should have been given notice of the report under that paragraph.”
The following Part is inserted after Part 4:
“Part 4A
“Environmental Protection Authority“42B Establishment of Environmental Protection Authority
This section establishes the Environmental Protection Authority as an office within the Ministry for the Environment.
“42C Functions of Authority
“(1) The functions of the Environmental Protection Authority are—
“(a) to receive matters lodged under section
141AA146 and applications or notices of requirement lodged under section141AAG149ZB:
“(b) to make recommendations to the Minister under section
141AAB or 141AAH147 or 149ZB in respect of a matter, application, or notice of requirement referred to in paragraph (a):
“(c) to make decisions under section 139 on applications for certificates of compliance for proposals or activities that are related to proposals of national significance:
“(d) to provide secretarial and support services to boards of inquiry appointed under section
146(2)149J:
“(e) to exercise any powers or perform any functions
, duties, or powersor duties delegated to it by the Minister under section 29(4):
“(f) to exercise any other functions specified in this Act.
“(2) For the purpose of performing its functions, the Authority has—
“(a) full capacity to carry on or undertake any activity, do any act, or enter into any transaction; and
“(b) for the purposes of paragraph (a), full rights, powers, and privileges.”
(1) Until this section is repealed, the The Secretary for the Environment has and may exercise all the powers, functions, and perform all the functions and duties of the Environmental Protection Authority.
(2) For the purposes of subsection (1), every reference in the principal Act to the Environmental Protection Authority must be read as a reference to the Secretary for the Environment.
(3) To avoid doubt, the The Secretary for the Environment may delegate any function, duty, or power imposed upon him or her by the operation of subsection (1) to any employee of the Ministry for the Environment.
(4) In this section, Secretary for the Environment means the person appointed in accordance with section 29 of the Environment Act 1986 as the Secretary for the Environment (being the administrative head of the Ministry for the Environment).
The following sections are inserted after the heading to Part 5:
“43AA Interpretation
In this Act, unless the context
otherwiserequires another meaning,—“change
includesmeans—
“(a) a change proposed by a local authority to a policy statement or plan under clause 2 of Schedule 1; and
“(b) a change proposed by any person to a policy statement or plan by a request under clause 21 of Schedule 1
“district plan—
“(a) means an operative plan approved by a territorial authority under Schedule 1; and
“(b) includes all operative changes to the plan (whether arising from a review or otherwise)
“operative, in relation to a policy statement or plan, or a provision of a policy statement or plan, means that the policy statement, plan, or provision—
“(a) the policy statement, plan, or provision has become operative in terms of clause 20 of Schedule 1; and
“(a) has become operative—
“(i) in terms of clause 20 of Schedule 1; or
“(ii) under section 86F; and
“(b) has not ceased to be operative
“plan means a regional plan or a district plan
“policy statement means a regional policy statement
“proposed policy statement means a proposed policy statement that has been notified under clause 5 of Schedule 1 but has not become operative in terms of clause 20 of Schedule 1
“regional coastal plan—
“(a) means an operative plan approved by the Minister of Conservation under Schedule 1; and
“(b) includes all operative changes to the plan (whether arising from a review or otherwise)
“regional plan means—
“(a) an operative regional plan approved by the Minister under Schedule 1, including all operative changes to the plan (whether arising from a review or otherwise); or
“(b) a regional coastal plan“regional plan—
“(a) means an operative plan approved by a regional council under Schedule 1 (including all operative changes to the plan (whether arising from a review or otherwise)); and
“(b) includes a regional coastal plan
“regional policy statement—
“(a) means an operative regional policy statement approved by a regional council under Schedule 1; and
“(b) includes all operative changes to the policy statement (whether arising from a review or otherwise)
“rule means a district rule or a regional rule
“variation means an alteration by a local authority under clause 16A of Schedule 1 to—
“(a) a proposed policy statement or plan; or
“(b) a change.
“43AAB Meaning of district rule and regional rule
“(1) In this Act, unless the context otherwise requires, district rule means a rule made as part of a district plan or proposed district plan in accordance with section 76.
“(2) Subsection (1) is subject to section
86A86B and clause 10(5) of Schedule 1.“(3) In this Act, unless the context otherwise requires, regional rule means a rule made as part of a regional plan or proposed regional plan in accordance with section 68.
“(4) Subsection (3) is subject to section
86A86B and clause 10(5) of Schedule 1.“43AAC Meaning of proposed plan
“(1) In this Act, unless the context otherwise requires, proposed plan—
“(a) means a proposed plan, a variation to a proposed plan or change, or a change to a plan proposed by a local authority that has been notified under clause 5 of Schedule 1 but has not become operative in terms of clause 20 of Schedule 1; and
“(b) includes a proposed plan or a change to a plan proposed by a person under Part 2 of Schedule 1 that has been adopted by the local authority under clause 25(2)(a) of Schedule 1.
“(2) Subsection (1) is subject to section
86A86B and clause 10(5) of Schedule 1.”
(1) The heading to section 43A is omitted and the heading “Contents of national environmental standards”
is substituted.
(2) Section 43A is amended by adding the following subsection:
“(7) A national environmental standard may specify the activities for which the consent authority—
“(a) must give public notification of an application for a resource consent:
“(b) is precluded from giving public notification of an application for a resource consent:
“(c) is precluded from giving limited notification of an application for a resource consent.”
Section 43B(5) to (8) are repealed and the following subsections substituted:
“(5) A land use consent or a subdivision consent granted before the date on which a national environmental standard is notified in the Gazette prevails over the standard.
“(6) A
water,coastal, water, or discharge permit granted before the date on which a national environmental standard is notified in the Gazette prevails over the standard until a review of the permit's conditions under section 128(1)(ba) results in some or all of the standard prevailing over the permit.
“(7)
AThis subsection applies to a resource consent not covered by subsection (5) or (6). The consent prevails over a national environmental standard if the application giving rise to the consent was the subject of a decision on whetheror nottopubliclynotify itunder section 94AAbefore the date on which the standard is notified in the Gazette. However, theresourceconsent does not prevail if the standard expressly provides otherwise.”
Section 44 is repealed and the following sections are substituted:
“44 Restriction on power to make national environmental standards
“(1) The Minister must follow the steps set out in subsection (2) before recommending the making of a national environmental standard to the Governor-General. Subsection (3) modifies this subsection.
“(2) The steps are—
“(a) to notify the public and iwi authorities of—
“(i) the proposed subject matter of the standard; and
“(ii) the Minister's reasons for considering that the standard is consistent with the purpose of the Act; and
“(b) to establish a process that—
“(i) the Minister considers gives the public and iwi authorities adequate time and opportunity to comment on the proposed subject matter of the standard; and
“(ii) requires a report and recommendation to be made to the Minister on those comments and the proposed subject matter of the standard; and
“(c) to publicly notify the report and recommendation.
“(3) The Minister need not follow the steps if the Minister is recommending the making of an amendment—
“(a) that has no more than a minor effect; or
“(b) that corrects errors or makes similar technical alterations.
“44A Local authority recognition of national environmental standards
“(1) Subsection (4) applies if a local authority's plan or proposed plan contains a rule that duplicates a provision in a national environmental standard as the provision appears on the date on which the standard comes into force.
“(2) Subsection (4) also applies if a local authority's plan or proposed plan contains a rule that conflicts with a provision in a national environmental standard as the provision appears on the date on which the standard comes into force.
“(3) A rule conflicts with a provision if—
“(a) both the following apply:
“(i) the rule is more stringent than the provision in that it prohibits or restricts an activity that the provision permits or authorises; and
“(ii) the standard does not expressly say that a rule may be more stringent than it; or
“(b) the rule is more lenient than the provision.
“(4) The local authority must amend the plan or proposed plan without further formality to remove the duplication or conflict as soon as practicable after the date on which the standard comes into force.
“(5) A local authority may amend a plan without further formality to include a reference to a national environmental standard after the date on which the standard comes into force.
“(6) Every local authority and consent authority must observe national environmental standards.
“(7) Every local authority and consent authority must enforce the observance of national environmental standards to the extent to which their powers enable them to do so.“44A Local authority recognition of national environmental standards
“(1) Subsections (3) to (5) apply if a local authority's plan or proposed plan contains a rule that duplicates a provision in a national environmental standard.
“(2) Subsections (3) to (5) apply if a local authority's plan or proposed plan contains a rule that conflicts with a provision in a national environmental standard. A rule conflicts with a provision if—
“(a) both of the following apply:
“(i) the rule is more stringent than the provision in that it prohibits or restricts an activity that the provision permits or authorises; and
“(ii) the standard does not expressly say that a rule may be more stringent than it; or
“(b) the rule is more lenient than the provision.
“(3) If the duplication or conflict is dealt with in the national environmental standard in one of the ways described in section 43A(1)(e), the local authority must amend the plan or proposed plan to remove the duplication or conflict—
“(a) without using the process in Schedule 1; and
“(b) in accordance with the specification in the national environmental standard.
“(4) If the duplication or conflict arises as described in section 43A(5)(c), the local authority must amend the plan or proposed plan to remove the duplication or conflict—
“(a) without using the process in Schedule 1; and
“(b) as soon as practicable after the date on which the standard comes into force.
“(5) In every other case of duplication or conflict, the local authority must amend the plan or proposed plan to remove the duplication or conflict—
“(a) without using the process in Schedule 1; and
“(b) as soon as practicable after the date on which the standard comes into force.
“(6) A local authority may amend a plan or proposed plan to include a reference to a national environmental standard—
“(a) without using the process in Schedule 1; and
“(b) after the date on which the standard comes into force.
“(7) Every local authority and consent authority must observe national environmental standards.
“(8) Every local authority and consent authority must enforce the observance of national environmental standards to the extent to which their powers enable them to do so.”
(1) Section 46A(2)(b)(i) is repealed and the following subparagraphs are substituted:
“(i) national environmental standards; and
“(ia) other national policy statements; and”.
(2) Section 46A(3) is repealed.
Section 47 is amended by adding the following subsection:
“(3) A member of the board of inquiry is not liable for anything the member does, or omits to do, in good faith in performing or exercising the functions, duties, and powers of the board.”
The following section is inserted after section 47:
“47A Board of inquiry to suspend consideration or consider additional material
“(1) The Minister may, at any time before a board of inquiry reports to the Minister under section 51(2), do either or both of the following:
“(a) direct the board to suspend its inquiry for a specified period or until a specified event occurs (for example, until the Minister provides the board with additional material):
“(b) provide the board with additional material to consider.
“(2) The Minister must give public notice of a direction under subsection (1)(a), including the reasons for the direction.
“(3) A board of inquiry must suspend its inquiry in accordance with a direction under subsection (1)(a).”
(1) Section 50(1) is amended by omitting “42A”
and substituting “42”
.
(2) Section 50(3) is repealed and the following subsection subsections are substituted:
“(3) The Minister has the right to be heard at the hearing, despite anything in sections 39 to 42.
“(4) To avoid doubt, subsection (3) does not limit the right of other persons to be heard under section 40.”
Section 51(1) is amended by inserting the following paragraph after paragraph (c):
“(ca) any additional material provided by the Minister under section 47A(1)(b); and”.
The following section is inserted after section 51:
“51A Withdrawal of proposed national policy statement
“(1) The Minister may withdraw all or part of a proposed national policy statement at any time before the statement is approved under section 52(2).
“(2) The Minister must give public notice of the withdrawal, including the reasons for the withdrawal.
“(3) If a board of inquiry has not reported to the Minister under section 51(2) before public notice is given—
“(a) withdrawing all matters the board was appointed to inquire into, the board is discharged on and from the date of the notice; or
“(b) withdrawing any, but not all, of the matters the board was appointed to inquire into, the board must inquire into and report on only the matters that have not been withdrawn, despite any other section of this Act.”
(1) The heading to section 52 is amended by inserting “or withdrawal”
after “approval”
.
(2) Section 52(1) is repealed and the following subsection substituted:
“(1) The Minister must consider a report and any recommendations made to him or her by a board of inquiry under section 51 and then may—
“(a) make any changes, or no changes, to the proposed national policy statement as he or she thinks fit; or
“(b) withdraw all or part of the proposed national policy statement and give public notice of the withdrawal, including the reasons for the withdrawal.”
(3) Section 52(3)(c) is repealed and the following paragraph substituted:
“(c) provide every person who made a submission on the statement with a summary of the recommendations and a summary of the Minister’s decision on the recommendations (including reasons for not adopting any recommendations); and”.
Section 55(2) and (2A) are repealed and the following subsections substituted:
“(2) A local authority must amend a document, if a national policy statement directs so,—
“(a) to include specific objectives and policies set out in the statement; or
“(b) so that objectives and policies specified in the document give effect to objectives and policies specified in the statement.
“(2A) The local authority must—
“(a) make the amendments referred to in subsection (2)
without further formality (without using the processset outin Schedule 1); and
“(b) give public notice of the amendments within 5 working days after making them.
“(2B) The local authority must also make all other amendments to a document that are required to give effect to any provision in a national policy statement that affects the document.
“(2C) The local authority must make the amendments referred to in subsection (2B) using the process
set outin Schedule 1.
“(2D) In all cases, the local authority must make the amendments—
“(a) as soon as practicable; or
“(b) within the time specified in the national policy statement (if any); or
“(c) before the occurrence of an event specified in the national policy statement (if any).”
Section 58(e) is repealed and the following paragraph substituted:
“(e) the matters to be included in 1 or more regional coastal plans in regard to the preservation of the natural character of the coastal environment, including the activities that are required to be specified as restricted coastal activities because the activities—
“(i) have or are likely to have significant or irreversible adverse effects on the coastal marine area; or
“(ii) relate to areas in the coastal marine area that have significant conservation value:”.
Section 61(3) is amended by adding “or the effects of trade competition”
.
Section 66(3) is amended by adding “or the effects of trade competition”
.
Section 68(11) is amended by omitting “If paragraph (b) of the definition of contaminated land applies, a”
and substituting “A”
.
Section 74(3) is amended by adding “or the effects of trade competition”
.
(1) Section 76 is amended by inserting the following subsection subsections after subsection (4):
“(4A) However, a rule must not
provide for the protection of any tree, or group of trees,prohibit or restrict the felling, trimming, damaging, or removal of any tree or group of trees in an urban environment unless the tree or group of trees is—
“(a) specifically identified in
a schedule tothe plan; or
“(b) located within an area in the district that—
“(i) is a reserve (within the meaning of section 2(1) of the Reserves Act 1977); or
“(ii) is subject to a conservation management plan or conservation management strategy prepared in accordance with the Conservation Act 1987 or the Reserves Act 1977.
“(4B) In subsection (4A), urban environment means an allotment no greater than 4000 m2—
“(a) that is connected to a reticulated water supply system and a reticulated sewerage system; and
“(b) on which is a building used for industrial or commercial purposes, or a dwellinghouse.”
(2) Section 76(5) is amended by omitting “If paragraph (b) of the definition of contaminated land applies, a”
and substituting “A”
.
Sections 77A and 77B are repealed and the following sections substituted:
“77A Power to make rules to apply to classes of activities and specify conditions
“(1) A local authority may—
“(a) categorise activities as belonging to one of the classes of activity described in subsection (2); and
“(b) make rules in its plan or proposed plan for each class of activity that apply—
“(i) to each activity within the class; and
“(ii) for the purposes of that plan or proposed plan; and
“(c) make rules in its plan or proposed plan in accordance with section 94AAD; and
“(d) specify conditions in a plan or proposed plan, but only if the conditions relate to the matters described in section 108 or 220.
“(2) An activity may be—
“(a) a permitted activity; or
“(b) a controlled activity; or
“(c) a restricted discretionary activity; or
“(d) a discretionary activity; or
“(e) a non-complying activity; or
“(f) a prohibited activity.
“(3) Subsection (1)(b)
and (c)areis subject to section 77B.“77B Duty to include certain rules in relation to controlled or restricted discretionary activities
“(1) Subsection (2) applies if a local authority makes a rule in its plan or proposed plan classifying an activity as a controlled activity.
“(2) The local authority must
also make a rule in the plan or proposed plan specifyingspecify in the rule the matters over which it has reserved control in relation to the activity.“(3) Subsection (4) applies if a local authority makes a rule in its plan or proposed plan classifying an activity as a restricted discretionary activity.
“(4) The local authority must
also make a rule in the plan or proposed plan specifyingspecify in the rule the matters over which it has restricted its discretion in relation to the activity.”
Sections 77C and 77D are repealed.
Section 77C is repealed.
Section 77D is repealed and the following section substituted:
“77D Rules specifying activities for which consent applications must be notified or are precluded from being notified
A local authority may make a rule specifying the activities for which the consent authority—
“(a) must give public notification of an application for a resource consent:
“(b) is precluded from giving public notification of an application for a resource consent:
“(c) is precluded from giving limited notification of an application for a resource consent.”
Section 78A is repealed.
Section 79(2) is repealed and the following subsection substituted:
“(2) A territorial authority must commence a full review of its district plan if the plan no longer assists the authority to carry out its functions in order to achieve the purpose of this Act.”
Section 79 is repealed and the following section substituted:
“79 Review of policy statements and plans
“(1) A local authority must commence a review of a provision of any of the following documents it has, if the provision has not been a subject of a proposed policy statement or plan, a review, or a change by the local authority during the previous 10 years:
“(a) a regional policy statement:
“(b) a regional plan:
“(c) a district plan.
“(2) If, after reviewing the provision, the local authority considers that it requires alteration, the local authority must, in the manner set out in Part 1 of Schedule 1 and this Part, propose to alter the provision.
“(3) If, after reviewing the provision, the local authority considers that it does not require alteration, the local authority must still publicly notify the provision—
“(a) as if it were a change; and
“(b) in the manner set out in Part 1 of Schedule 1 and this Part.
“(4) Without limiting subsection (1), a local authority may, at any time, commence a full review of any of the following documents it has:
“(a) a regional policy statement:
“(b) a regional plan:
“(c) a district plan.
“(5) In carrying out a review under subsection (4), the local authority must review all the sections of, and all the changes to, the policy statement or plan regardless of when the sections or changes became operative.
“(6) If, after reviewing the statement or plan under subsection (4), the local authority considers that it requires alteration, the local authority must alter the statement or plan in the manner set out in Part 1 of Schedule 1 and this Part.
“(7) If, after reviewing the statement or plan under subsection (4), the local authority considers that it does not require alteration, the local authority must still publicly notify the statement or plan—
“(a) as if it were a proposed policy statement or plan; and
“(b) in the manner set out in Part 1 of Schedule 1 and this Part.
“(8) A provision of a policy statement or plan, or the policy statement or plan, as the case may be, does not cease to be operative because the provision, statement, or plan is due for review or is being reviewed under this section.
“(9) The obligations on a local authority under this section are in addition to its duty to monitor under section 35.”
Section 80 is repealed and the following section substituted:
“80 Combined regional and district documents
“(1) Local authorities may prepare, implement, and administer the combined regional and district documents as set out in subsections (2) to (6).
“(2) A local authority may prepare, implement, and administer a document that meets the requirements of 2 or more of the following:
“(a) a regional policy statement:
“(b) a regional plan, including a regional coastal plan:
“(c) a district plan.
“(3) Two or more territorial authorities may prepare, implement, and administer a combined district plan for the whole or any part of their combined districts.
“(4) Two or more regional councils may prepare, implement, and administer a document that meets the requirements of the following:
“(a) a regional plan, including a regional coastal plan, for the whole or any part of their combined regions:
“(b) a regional policy statement for the whole or any part of their combined regions:
“(c) a regional plan, including a regional coastal plan, and a regional policy statement, for the whole or any part of their combined regions.
“(5) One or more regional councils or territorial authorities may prepare, implement, and administer a combined regional and district plan for the whole or any part of their respective regions or districts.
“(6) A regional council and all the territorial authorities within the region may prepare, implement, and administer a document that meets the requirements of the following:
“(a) a regional policy statement for the region; and
“(b) a regional plan, including a regional coastal plan, for the region; and
“(c) either—
“(i) a district plan for each of the territorial authorities; or
“(ii) a combined district plan for their combined districts.
“(7) Without limiting subsections (1) to (6), local authorities must consider the preparation of the appropriate combined document under this section whenever significant cross-boundary issues relating to the use, development, or protection of natural and physical resources arise or are likely to arise.
“(7A) A combined document prepared under this section must clearly identify—
“(a) the provisions of the document that are the regional policy statement, the regional plan, the regional coastal plan, or the district plan, as the case may be; and
“(b) the objectives, policies, and methods set out or described in the document that have the effect of being provisions of the regional policy statement; and
“(c) which local authority is responsible for observing, and enforcing the observance of, each provision of the document.
“(8) A combined document prepared under this section—
“(a) must be prepared in accordance with Schedule 1; and
“(b) when approved by a local authority is deemed, for the purposes of this Act, to be a plan or regional policy statement separately prepared and approved by that authority for its region or district, as the case may be.
“(9) Subsection (8)(b) applies whether or not the combined document is approved by any of the other local authorities concerned.
“(10) Clause 30 of Schedule 7 of the Local Government Act 2002 applies to the appointment and conduct of any joint committee set up for the purposes of preparing, implementing, or administering a combined document under this section.”
Section 82(3) is repealed and the following subsections are substituted:
“(3) If a dispute
is referred to the Courtabout whether there is an inconsistency described in subsection (1)(a) or (b) is referred to the Court, and the Court considers that there is an inconsistency, the Court must order the authority responsible for the policy statement or plan to remove the inconsistency by initiating a change to the policy statement or plan using the processset outin Schedule 1.
“(4) If a dispute
is referred to the Courtabout whether a regional policy statement or a plan gives effect to a national policy statement or New Zealand coastal policy statement is referred to the Court, and the Court considers that the policy statement or plan does not give effect to the other policy statement, the Court must order the authority responsible for the policy statement or plan to amend it in accordance with section 55.
“(5) However, the Court
need notdoes not need to make an order under subsection (3) or (4) if it considers that the inconsistency, or failure to give effect to the other policy statement, is of minor significance that does not affect the general intent and purpose of the policy statement, plan, or water conservation order concerned.
“(6) To avoid doubt, giving effect to a policy statement includes giving effect to it by complying with a direction described in section 55(2).”
The following heading and sections are inserted after section 86:
“Legal effect of rules
“86A When rules in proposed plans and changes have legal effect
“(1) A rule in a proposed plan or change does not have legal effect until—
“(a) a decision on submissions relating to the rule is made and publicly notified under clause 10(4) of Schedule 1; or
“(b) section 86C applies; or
“(c) the proposed plan or change becomes operative in accordance with clause 20 of Schedule 1, but only if,—
“(i) before publicly notifying the proposed plan or change under clause 5 of that schedule, the local authority concerned makes a resolution to this effect; and
“(ii) the public notification includes the resolution.
“(2) Despite subsection (1), a rule in a proposed plan has legal effect—
“(a) from the date the proposed plan or change is publicly notified under clause 5 of Schedule 1, if the rule—
“(i) expressly protects water, air, soil (for soil conservation), areas of significant indigenous vegetation, or areas of significant habitats of indigenous fauna, or historic heritage; or
“(ii) provides for an aquaculture management area:
“(b) from the date of the order of the Environment Court, if the local authority applies for the rule to be exempt from subsection (1), and the Court makes the order:
“(c) from the day after the date on which the local authority publicly notifies that a resolution made under subsection (1)(c) is rescinded, but only if the public notice includes a statement of the recision, the resolution to which it relates, and the date on which the recision was made.
“86B Rule to which section 86A applies excluded from reference to rule in this Act
“(1) A reference in this Act, or in any regulations made under this Act, to a rule in a plan, a proposed plan, or a change does not include a reference to a rule in the plan, proposed plan, or change that has not taken legal effect in accordance with section 86A.
“(2) Subsection (1) applies subject to any express provision to the contrary in this Act.
“86C Certain rules in proposed plans to be operative
A rule in a proposed plan is to be treated as if it is operative, and any previous rule is inoperative, if the time for making submissions or lodging appeals on the rule has expired and—
“(a) no submissions in opposition have been made or appeals have been lodged; or
“(b) all submissions in opposition and appeals have been determined; or
“(c) all submissions in opposition have been withdrawn and all appeals withdrawn or dismissed.“86A Purpose of sections 86B to 86G
“(1) The purpose of sections 86B to 86G is to specify when a rule in a proposed plan or change has legal effect.
“(2) Except to the extent that subsection (1) applies, sections 86B to 86G do not limit or affect the weight that a consent authority gives to objectives, policies, and other issues, reasons, or methods in plans before the plan becomes operative.
“86B When rules in proposed plans and changes have legal effect
“(1) A rule in a proposed plan has legal effect only once a decision on submissions relating to the rule is made and publicly notified under clause 10(4) of Schedule 1, except if—
“(a) subsection (4) applies; or
“(b) the Environment Court, in accordance with section 86D, orders the rule to have legal effect from a different date (being the date specified in the court order); or
“(c) the local authority concerned resolves that the rule has legal effect only once the proposed plan becomes operative in accordance with clause 20 of Schedule 1.
“(2) However, subsection (1)(c) applies only if—
“(a) the local authority makes the decision before publicly notifying the proposed plan under clause 5 of Schedule 1; and
“(b) the public notification includes the decision; and
“(c) the decision is not subsequently rescinded (in which case the rule has legal effect from a date determined in accordance with section 86C).
“(3) A rule in a proposed plan has immediate legal effect if the rule—
“(a) protects or relates to water, air, or soil (for soil conservation); or
“(b) protects areas of significant indigenous vegetation; or
“(c) protects areas of significant habitats of indigenous fauna; or
“(d) protects historic heritage; or
“(e) provides for or relates to an aquaculture management area.
“(4) For the purposes of subsection (2)(c), a decision is rescinded if—
“(a) the local authority publicly notifies that the decision is rescinded; and
“(b) the public notice includes a statement of the decision to which it relates and the date on which the recision was made.
“(5) For the purposes of subsection (3), immediate legal effect means legal effect on and from the date on which the proposed plan containing the rule is publicly notified under clause 5 of Schedule 1.
“(6) A rule in a change to a plan proposed by a person under Part 2 of Schedule 1 that provides for or relates to an aquaculture management area and that has been accepted by the local authority under clause 25(2)(b) of Schedule 1 has legal effect on and from the date the change is publicly notified under clause 26(b) of that schedule.
“86C When rule has legal effect if decision to delay its effect is rescinded
“(1) This section applies to a rule to which section 86B(1)(c) applies that is rescinded (within the meaning of subsection (4) of that section).
“(2) The rule has legal effect from the later of—
“(a) the day after the date on which the local authority concerned publicly notifies that the decision in relation to the rule is rescinded:
“(b) the day that a decision on submissions relating to the rule is made and publicly notified under clause 10(4) of Schedule 1.
“86D Environment Court may order rule to have legal effect from date other than standard date
“(1) In this section, rule means a rule—
“(a) in a proposed plan or change; and
“(b) that is not a rule of a type described in section 86B(4)(a) to (e) or (6).
“(2) A local authority may apply to the Environment Court for a rule to have legal effect from a date other than the date on which the decision on submissions relating to the rule is made and publicly notified under clause 10(4) of Schedule 1.
“(3) If the Court grants the application, the order must specify the date from which the rule is to have legal effect, being a date no earlier than the later of—
“(a) the date that the proposed plan is publicly notified; and
“(b) the date of the court order.
“86E Local authorities must identify rules having early or delayed legal effect
“(1) A local authority must clearly identify any rule in a proposed plan that has legal effect from a date other than the date on which the decision on submissions relating to the rule is made and publicly notified under clause 10(4) of Schedule 1,—
“(a) at the time the proposed plan is notified under clause 5 of the Schedule; or
“(b) as soon as practicable after the date is determined, if the rule concerned is the subject of an application under section 86D and the application is not determined before the proposed plan is notified.
“(2) A local authority must clearly identify any rule of a type described in section 86B(6) at the time the change containing the rule is publicly notified.
“(3) The identification of a rule in a proposed plan or change under subsection (1) or (2)—
“(a) does not form part of the proposed plan or change; and
“(b) may be removed, without any further authority than this subsection, by the local authority once the plan or change becomes operative in accordance with clause 20 of Schedule 1.
“86F When rules in proposed plans must be treated as operative
A rule in a proposed plan must be treated as operative (and any previous rule as inoperative) if the time for making submissions or lodging appeals on the rule has expired and, in relation to the rule,—
“(a) no submissions in opposition have been made or appeals have been lodged; or
“(b) all submissions in opposition and appeals have been determined; or
“(c) all submissions in opposition have been withdrawn and all appeals withdrawn or dismissed.
“86G Rule that has not taken legal effect or become operative excluded from references to rule in this Act and regulations made under this Act
“(1) A reference in this Act or in any regulations made under it to a rule in a proposed plan or a change does not include a reference to a rule in the proposed plan or change that—
“(a) has not taken legal effect in accordance with section 86B; or
“(b) has not become operative under section 86F.
“(2) Subsection (1) applies subject to any express provision to the contrary in this Act.”
The following sections are inserted after section 87:
“87A Classes of activities
Commentary
Recommendation
The Local Government and Environment Committee has examined the Resource Management (Simplifying and Streamlining) Amendment Bill and recommends that it be passed with the amendments shown.
Introduction
This bill represents the first of two phases of the reform of the Resource Management Act 1991 (the principal Act, or RMA). Phase one seeks to improve processes under the principal Act that have been found to be burdensome and costly. It would also establish a new entity, the Environmental Protection Authority (EPA), and prepare the way for more changes in the second phase of reform.
The principal Act is a complex piece of legislation. It is divided into 15 main parts, with several sub-parts, and incorporates process and procedural requirements by way of schedules. The bill before us cuts across aspects of the principal Act to simplify and streamline processes such as developing and making changes to plans, making decisions on proposals of national significance, preparing and implementing national instruments, resource consent applications, decision-making, and the penalty regime. Other than in relation to processing applications for proposals of national significance, the role and functions of the EPA are not defined in this bill—they are to be expanded upon in the next phase of the RMA reform.
The bill attracted 840 submissions representing a wide range of the sectors and interests affected by the RMA. We heard from 339 of these submitters during 68 hours of hearings in Auckland, Wellington, and Christchurch in April and May 2009. Other submitters were heard via teleconference.
Many of the proposed new measures contained in this bill were supported, and others vigorously opposed. Common concerns of those opposing key aspects of the bill were that streamlining would reduce opportunities for community participation in decision-making, and that the new measures would dilute the strengths of the principal Act. Our consideration of the substantive issues canvassed at length during the hearings phase has led us to recommend a large number of changes to the bill, some of them major and others moderately significant. We do not comment on the minor and technical changes other than to note that the submissions process helped us to find opportunities to fine-tune the bill and thus improve its workability. We are especially grateful for the assistance we received from an expert panel comprising two lawyers who specialise in the RMA (John Hassan and Helen Atkins), a retired Environment Judge (Professor Peter Skelton), and the chief executive of Environment Southland (Ciaran Keogh), who reviewed the drafting of the bill.
We have chosen to structure our commentary under thematic headings to reflect the broad policy objectives set out in the explanatory note to the bill. This means that changes to particular clauses are not discussed in strictly numerical order. Most of the amendments are discussed under the following thematic headings:
•Frivolous, vexatious, and anti-competitive objections
•Proposals of national significance
•Environmental Protection Authority
•Plan development and change processes
•Resource consent processes
•National instruments
•Enforcement and compliance
•Decision-making roles and processes.
Some submitters raised matters that were either outside the scope of the present bill, or likely to be canvassed in phase two of the RMA reforms, such as the management of environmental issues associated with infrastructure, water, and urban design. We comment briefly on some of these issues as they arise.
Commencement
We recommend extending the commencement date for all clauses to 1 October 2009. This would provide a small window of time after the enactment of the bill for people to become familiar with and adapt to the new provisions. The provisions under subsections 151(1) and 151(2) would also come into force on 1 October 2009, but provide for existing rules for the protection of trees to be phased out by 1 January 2012.
Frivolous, vexatious, and anti-competitive objections
The bill introduces new measures to reduce unreasonable and anti-competitive submissions that delay processes under the RMA or thwart trade competition. The four key measures include limiting the standing of trade competitors and providing sanctions against third parties acting for trade competitors (clauses 131 and 139), reinstating the power of the Environment Court to require security for costs (clause 133), and providing for damages to be recovered from trade competitors (clause 134).
The key changes we recommend to these provisions concern clauses 134 and 139.
Meaning of trade competition and effects of trade competition
Clause 139 would insert a new Part 11A “Act not to be used to oppose trade competitors” into the principal Act. New sections 308A to 308H would limit the opportunities for trade competitors to make submissions, to be party to proceedings in the Environment Court, or to bring appeals under the Act. Under new Part 11A third parties (or “surrogates”) could not be used to disguise the identity of trade competitors, and any party who had obtained a declaration that a person had contravened Part 11A could seek damages from that party.
As introduced, the bill does not define “trade competition”. Many submitters were unclear whether the term “trade competition” would encompass parties competing for scarce natural resources, business interests that might be adversely affected as a result of environmental effects, and local authorities who might wish to make submissions on plans, including those of neighbouring authorities.
While we do not wish to recommend any changes to the policy intent we did attempt to find a suitable statutory definition of “trade competition” and “effects of trade competition” to provide greater clarity. However, we acknowledge the great difficulty of defining these terms, and the risk that any definition could lead to unintended consequences and a reinterpretation of the law as it currently stands.
We are advised that “trade competition” as the term is currently used in resource management case law is not competition for use of natural resources that are not in private ownership, and that the “effects of trade competition” do not include significant adverse environmental impacts arising from effects of businesses, and that this is consistent with the intention of the trade competition measures in the bill. We consider that there is adequate guidance in existing case law and the trade competition reforms do not seek to change this. Therefore we reject suggestions that trade competition and its effects should be defined by statute.
We do recommend deleting clause 31(3) of the bill, which would have provided specifically for the authority to strike out all or part of a submission on a resource consent application or plan on the grounds that the submitter was not directly affected by an adverse environmental effect of the application where the submission related to trade competition. We consider that the current provisions under section 41C(7) of the principal Act provide adequate powers for the authority to strike out submissions that seek to abuse the process and it is unnecessary to add further grounds for striking out.
Surrogacy provisions
New section 308E, as inserted by clause 139, would prohibit the use of another party (a surrogate) by a trade competitor to disguise their identity in appeal proceedings. New section 308F would require the appellant, and other parties to the appeal, to disclose at the start of, or during, appeal proceedings whether or not they had directly or indirectly received help from a competitor to that trader so that all parties do not have to waste time and money fighting an appeal that should not have proceeded because of trade competition motives (albeit disguised by the use of a surrogate).
We recommend that new section 308F(b) be amended to provide that the surrogate must “knowingly receive” direct or indirect help from a trade competitor to bring the appeal, or be a party to the appeal, for the restrictions on appeal (set out in new section 308D) to apply.
Although the declaration and damages regime set up under new sections 308G and 308H (in the bill as introduced) would not apply to innocent breaches, we consider it possible that the provisions might capture anyone who was unaware that they had indirectly received help. Most of us believe that the recommended amendments to new sections 308E and 308F would address our concern that community groups might unwittingly contravene the sanctions against surrogacy when fundraising, or be forced into the impractical situation of requiring all donors to a street collection to sign their names, or of having to provide a list of donors to the court, or that innocent parties might be captured where they agreed to share an expert witness or to narrow the grounds of appeal by joint memorandum of counsel.
Limits on making submissions
New section 308B proposed limits on the rights of trade competitors to make submissions. We recommend amending new section 308B(3) to refer to limits on submissions for call-in in Part 11A.
Declaration on trade competition by the Environment Court
New section 308G would empower the Environment Court to declare that a trade competitor (or their surrogate) had contravened the trade competitor provisions and require the court to order costs against the trade competitor or their surrogate, if a declaration was made.
Under section 308G as introduced, parties could seek a declaration from the Environment Court for up to 10 years after a contravention. We regard this time-frame as overly generous and recommend reducing the time limit to six years to bring it into line with the standard limitation period for commencement of proceedings.
We also recommend deleting new sections 308G(6) and (7) and inserting new section 308GA to require the Environment Court to take into account any award of costs previously made in relation to the proceedings when awarding full costs which follow from a declaration.
Proceedings for damages in the High Court
New section 308H provides that damages may be sought in proceedings before the High Court where the Environment Court finds a trade competitor has contravened the provisions in new Part 11A. The time-frame for bringing an application to the High Court is six years after the date of the declaration.
As introduced, the bill implies that the High Court would have discretion as to whether to award damages. We consider that the award of damages should flow automatically where there is a declaration of trade competition in the Environment Court and proceedings are brought before the High Court.
We accordingly recommend substituting the word “must” for “may” in new section 308H(4), to make it clear that damages would follow in the High Court where the Environment Court declared that the trade competition provisions had been contravened. The High Court would retain discretion as to the amount of damages awarded.
We do not support suggestions that the Environment Court is better equipped to award damages. The RMA includes no provision for awarding damages as compensation for economic loss caused by another person, and the High Court already has the appropriate expertise to deal with such matters.
Awarding costs
Clause 134 substitutes a new section 285 in the principal Act to extend the circumstances when the Environment Court may award costs to include the court’s costs and expenses and those of other parties for any contravention of the new sanctions against trade competition. Where proceedings commence by way of direct referral, there is a presumption that the Crown’s costs would be paid by the applicant. There is also a presumption that costs would not be awarded against third parties where proceedings were directly referred.
We recommend amending clause 134 to ensure that costs cannot be awarded twice under section 285 in relation to the same proceedings. This amendment would provide consistency with changes recommended to new section 308GA, as inserted by clause 139 of the bill.
For fairness and consistency, we also recommend applying the same presumption for costs for direct referral under sections 87E, 198D, and 198K to proceedings for proposals of national significance which the Minister decides to refer to the Environment Court for a decision under section 150AA of the principal Act.
Security for costs
Clause 133 would effectively reinstate a former power of the Environment Court to order, upon application, that appellants put up security for costs before proceeding with their appeals. We do not recommend any change to this clause.
We received many submissions on this clause, mostly in opposition, the main reason being its potential to restrict public participation in resource management decision-making to those who can afford to raise security.
We note that the Environment Court has always been able to award costs in appeal proceedings, but the power of the court to require security for costs has varied. From 1996 to 2003, when the court did have powers to order security for costs, it was not automatically required upon lodgement of an appeal. Indeed, we understand that the court required security in relatively few instances.
In our view, the biggest barrier to public participation would be the perception that an order for security for costs is automatic, and this could be used to intimidate parties who might otherwise wish to appeal. We considered whether statutory criteria should be set to guide decisions about requiring security for costs but decided not to recommend this. The Environment Court would draw upon case law reflecting its previous practice in determining whether to order security for costs. One of the factors the court would be likely to consider is whether an order for security might prevent the appellant from proceeding with a bona fide appeal. We also believe that wide education as to how and when courts award security for costs should counteract concerns that the threat of security for costs might be used to intimidate potential parties or appellants.
Parties to proceedings
Clause 131 seeks to limit third-party standing regarding RMA proceedings. It replaces sections 274(1) and (2) of the principal Act, to make the Attorney-General the only person able to represent relevant aspects of the public interest. A person who had an interest in proceedings greater than the general public might be a third party provided that they did not infringe trade competition provisions. Submitters on applications could still be a party provided that their submission was made about the subject matter of the proceedings and did not infringe the restrictions relating to trade competition. The time-frame for parties to notify their intention to join court proceedings under section 274 would be reduced from 30 working days to 15 working days.
Many submitters opposed the proposed repeal of section 274(1)(d), which allows a person representing a relevant aspect of the public interest to become a party to proceedings. Their main concerns were similar to those expressed about the reinstatement of the power to order security for costs (clause 133), and in particular related to the risk of curtailing opportunities for community groups to participate at least cost. Some submitters were also concerned that the shorter time-frame for filing an application to become a section 274 party would not allow enough time to make an informed decision about joining an appeal.
We would be concerned if clause 131 did not adequately protect the public interest, or if it resulted in the exclusion of anyone with an interest that is greater than the public interest generally. In this regard, we note that clause 131 would allow the Attorney-General to represent relevant aspects of the public interest, the Minister for the Environment to be a party, and that a wide range of parties, including iwi, are likely to still meet the “interest that is greater that the general public has” test under section 274. Section 274(6) will still require the court to have regard to statutory acknowledgments under claims settlement Acts when determining whether a person has an interest in the proceedings greater than the general public has.
We understand that the intent of clause 131 is to exclude parties who would otherwise not be affected more than anyone else, and who are trade competitors, unless they are directly affected by an adverse effect on the environment, and the effect does not relate to trade competition or the effects of trade competition. In this regard, we note that there is existing case law to assist the court in determining what constitutes an interest in the proceedings that is greater than the general public has.
Most of us consider that clause 131 does not require other than minor amendment and we therefore recommend only minor amendments to clause 131.
Proposals of national significance
The bill seeks to streamline processes for matters of national significance by providing more clarity and certainty about board of inquiry processes, and by improving the process for consenting nationally significant proposals. Matters of national significance could include applications for resource consent, or changes of resource consent conditions, local authority plan changes or variations, requests for plan changes (otherwise known as private plan changes), requests for preparation of regional plans, and notices of requirement associated with a proposal of national significance.
In addition to the ability to lodge matters with a local authority, the bill provides for matters of national significance to be made directly to the EPA. The EPA would then make a recommendation to the Minister as to whether or not the matter should be called in. The Minister, in turn, would then decide whether to call the matter in by directing that it be referred to a board of inquiry or the Environment Court. If the matter were not called in the Minister would refer the application to the local authority for decision-making using the standard processes.
The key changes we recommend to these provisions concern clauses 91 to 106.
Restructuring this part of the bill
A number of submitters made the point that the provisions for proposals of national significance were difficult to understand in the bill as introduced. We agree that the way these provisions have been set out is complicated, and therefore recommend restructuring the provisions in clauses 91 to 106.
We recommend deleting clauses 91 to 106 of the bill as introduced and replacing them with new clause 91, which would repeal sections 140 to 150AA and insert a new Part 6AA into the principal Act with a new heading “Proposals of national significance”.
New section 140 (in new Part 6AA) outlines the general scheme for proposals of national significance. It explains the procedural implications of the Minister’s call-in powers and the three ways by which a matter might come before the Minister for a decision on whether to call in the matter (new sections 140 to 149ZE in new Part 6AA). The three pathways are as follows:
•If a matter is lodged with a local authority, the Minister may decide to call in a matter acting on his or her own initiative.
•If a matter is lodged with a local authority, a local authority or an applicant may ask the Minister to intervene or call in a matter.
•An applicant may apply directly to the EPA for a matter to be called in and the EPA will recommend to the Minister whether it should be called in.
If the Minister so decides the matter would then be determined by a board of inquiry or the Environment Court rather than through the standard process. The new process pathways are illustrated in the diagram attached to this report as Appendix B.
We consider that the restructuring of provisions into new Part 6AA would improve clarity and workability and ensure that the timelines and processes for the separate pathways now available to applicants are aligned.
Meaning of applicant and local authority
Clause 91 of the bill as introduced proposes amendments to the definitions of “applicant”, “local authority”, and “matter” to enable local-authority-initiated plan changes and variations to be called in.
For clarity, we recommend amendments to ensure that a local authority could request an application for call-in only with respect to a change or variation to its own plan (new section 141).
We recommend that the definition of “matter” in new section 141 be extended to include notices of requirement to alter a designation or heritage order, and changes (or cancellation) of consent conditions, as these matters may be lodged directly with the EPA.
Time-frame for recommendations by the EPA
As introduced, new section 141AAB would allow a maximum of 10 working days (once all information was received) for the EPA to assess an application and make a recommendation to the Minister.
The EPA would be required to assess the application within this time for the purpose of making a recommendation to the Minister and to ensure that the application is ready for notification. Because matters of national significance are likely to be complex and it would be difficult to properly assess an application within 10 working days (a time-frame based on standard processes for local authorities) we recommend allowing the EPA 20 working days to make its recommendations to the Minister on calling in an application or referring it back to the local authority (new section 147). We also recommend that the EPA’s powers to request further information and commission reports not be limited to information required to make a recommendation to the Minister. The EPA should be able to ensure that the application is as complete as possible before it is notified.
Time-frame for Minister’s decision
We recommend clarification to the limitations on call-in (in new section 148). This would mean that a matter could not be called in more than five days after the closing date for submissions, rather than up to five working days before the hearing commences. This is more consistent with the time-frames that would apply to direct referral (clause 60).
Minister’s power to intervene
We recommend amending clause 94 (now new section 144(2) in new Part 6AA) to ensure that, where the applicant had not requested intervention, the Minister could not exercise powers of intervention without having regard to the views of the applicant.
As introduced, clause 94 would not require the Minister to have regard to the views of an applicant when deciding whether to call in a matter. We consider, however, that the Minister should have regard to the applicant’s views, as this decision has significant implications for the applicant, especially when the request comes from the local authority and not the applicant. Although we understand that this has in fact been the practice, we recommend that it be explicitly provided for by way of an amendment to section 141 of the principal Act.
Minister’s call in powers for proposals of national significance
Clause 95 proposes additional factors that the Minister might consider when deciding whether a proposal was of national significance. These provisions are now included in new section 144(1) (inserted by clause 91).
We recommend clarifying that the Minister may take into account network utility operations that cross district council boundaries. As introduced, clause 95 would apply only to any network utility operation that extended, or was proposed to extend, to more than one regional (council) boundary in New Zealand. We consider that the amendment would reflect the broader policy intent of including infrastructure projects which, while local, are important to the operation of a network of national importance.
We recommend that the bill also make it clear that the Minister could consider whether the proposal would assist the Crown in fulfilling its obligations or functions regarding public health, welfare, security, or safety. This would encompass projects that contributed to the wider public good, for example, nationally significant projects such as the building of public institutions or other facilities that have clear public benefits but also generate local adverse effects or concerns (such as a regional prison).
We acknowledge that the factors required to guide the Minister’s decision-making are very broad and do not offer much certainty to prospective applicants. We believe that there should be guidelines to provide more certainty for applicants as to what projects the Government may consider calling in.
Role of Minister and EPA
We recommend further amendments to clarify the respective roles of the Minister and the EPA. The Minister would make substantive decisions on whether to call in a matter and whether to refer it to a board of inquiry, or the Environment Court, whom to appoint to a board of inquiry, and whether to extend the time-frame for a board to report on a matter. The EPA would carry out all administrative tasks, such as public notification, calling for and receiving submissions, and giving notice of the board’s decision.
Role of local authority where a matter is called in
The bill does not address the role of a local authority where a matter has been called in. By default the local authority would have the same status as any other submitter on an application that was called in. The bill does not explicitly state whether technical experts from a local authority could become advisers to the board, or could appear only as witnesses at a hearing.
To address concerns about the lack of an explicit role for local authorities in the call-in process, we recommend that new section 141AAE (now new section 149F) be amended to require the EPA to commission a planning report from the local authority to contextualise the application. Such reports would be required to outline the planning framework, to set out the key planning issues, and to advise on the status of relevant activities. We consider that this mechanism would provide for a role for local authorities in providing information to boards of inquiry, whilst preserving the independent status of any staff who appear as expert witnesses at a hearing. The cost of preparing the report, which would be supplied to the board and all submitters, would be borne by the applicant.
We note that a board of inquiry could choose to commission a further report (from the relevant local authority or otherwise) following submissions on the key points raised by submitters and containing advice on options for addressing such matters.
Applications that are referred back to a local authority
New section 141AAF (now new section 149Z) would set out how a matter that has been referred back to a local authority should be dealt with.
We recommend stating expressly in new section 149Z that local authorities do not have the discretion to determine that a referred application for resource consent was incomplete and to return the application under the provisions of section 88(3) of the principal Act. This amendment would reduce the opportunity for wasting time on any applications that were lodged with the EPA but were referred back to the local authority. It would not prevent the local authority from seeking further information if it considered it necessary for assessing the effects of the proposal.
Time-frames for changes and variations
Clause 95 would clarify that where any proposals of national significance that related to changes or variations were called in, the local authority could withdraw the plan change at any time before notice was given of a hearing, but could not initiate a further change or variation until a board of inquiry had made its decision. These provisions are now included in new section 149H of new Part 6AA.
We do not consider that it is sufficiently clear that these provisions apply to both changes and variations, and recommend that section 149H of new Part 6AA be reworded to remove any ambiguity.
Boards of inquiry
Clause 100 would insert new sections 146A to 146D into the principal Act to prescribe how boards of inquiry are to be appointed, their powers in respect of a request for a plan change application or a request for a regional plan which had been called in before the local authority had decided whether to accept the request, the process a board must follow in both sets of circumstances, and the way a board conducts hearings for the purpose of considering any resulting proposed plan or change. These provisions are now included in new sections 149K to 149O of new Part 6AA.
We recommend amending new section 146A (now new section 149K) to clarify the role of local authorities in the appointment process. As introduced, new section 146A implies that the local authority would have a right of nomination. We were advised that the policy intent is that the Minister would be required to seek suggestions from the relevant local authority, but would be free to appoint a member whether or not that person had been suggested by the local authority. The Minister’s appointments must be guided by the board’s need for knowledge, skill, and experience related to RMA matters, tikanga Māori, and the local community.
In the bill as introduced the Minister could only appoint a board of inquiry after public notification of the matter. We are concerned that it might delay the process to have to wait until notification to appoint the board. We recommend amending clause 99 (now new section 149J in new Part 6AA) to require the Minister to appoint a board of inquiry as soon as practicable after making the decision to call in a matter, to ensure that the appointment process is timely.
We also recommend a further amendment to expand the potential pool from which a chairperson of an inquiry might be appointed. Under the bill as introduced, the Minister must appoint three to five members and the chairperson must be a current, former, or retired Environment Judge. We consider that a retired High Court Judge should also be able to chair a board of inquiry. This would expand the pool of potential chairs with practical experience in the Environment Court or relevant experience in the High Court, without compromising the integrity of the process (now new section 149J).
Board considering requests for regional plans and plan changes
To avoid ambiguity we recommend amending new section 146C(2) (now new section 149M) to clarify that the board’s decision in question at this point is only whether to accept or reject the request under new section 146B(2)(a)(i) (now new section 149ZB). This provision does not refer to the substantive decision the board would be required to make subsequently on the plan change itself.
We also recommend that the board be required to seek the local authority’s views on a private plan change request when deciding whether to accept or reject it, as the local authority would have expertise and knowledge of the plan (in new section 149M). This change would address the concerns of local authorities about the integrity of the plan, and would also provide a better information base for the board’s decision.
Conduct of inquiry
Clause 101 would replace section 147(4) of the principal Act with a new clause adding several new requirements to reflect changes to the way that inquiries would be conducted once the bill took effect.
We recommend amendments to clarify the procedural powers of a board in conducting its inquiry (section 149L) and the requirements for its decision. The board would have powers as a hearing authority, but we considered that it should also have powers to request further information, commission reports, hold pre-hearing meetings, and refer matters to mediation. The recommended amendments would allow for these functions by giving the board the relevant powers of a consent authority.
We recommend setting out the requirements for the board’s decision in new section 149P. The requirements would mirror those that would apply to a local authority if it were determining the relevant matter, except that the board would make a decision on notices of requirement (rather than the requiring authority) and the board could make amendments to a council plan beyond issues that were raised in submissions. This would be similar to the jurisdiction of the Environment Court in respect of appeals on notices of requirement and plan provisions.
Reporting requirements for boards of inquiry
We recommend simplifying the reporting requirements for boards of inquiry as set out in clause 102 (now new section 149Q in new Part 6AA). Under the bill as introduced, boards would be required to invite comments only on minor and technical aspects of their draft reports. We consider that comment should also be permitted on any perceived omission or on the wording of any proposed conditions specified in the draft report, and recommend the insertion of new section 149Q accordingly.
Regarding the scope of the board’s draft report, we do not think it necessary for boards to report on every principal issue, and recommend that they be required to report only on the principal issues in contention. We consider that boards should also be able to include recommendations in their draft reports on the need to issue or revoke a national policy statement or New Zealand coastal policy statement, and for local authorities to consider changes to regional plans and policy statements. We would expect that such reports would be written in plain English.
Time-frame for producing a final report
As introduced, the bill would require a board to make its final decision within nine months of public notification of the matter. Clause 103 would allow the Minister to grant an extension for producing its final report of no more than 18 months from the date of public notice of the direction.
We recommend amending clause 103 as introduced (now new sections 147, 149R, and 149T) to allow the EPA to recommend to the Minister the need to extend the time-frame, and the length of the proposed extension, at the beginning of the process in tandem with its recommendation on call-in. We consider that it would be helpful for the Minister to have this recommendation at the outset so that he or she could consider whether to provide for an extended time-frame and thus enable the board of inquiry to plan accordingly.
We recommend that the Minister be allowed to grant an extension beyond the 18 months only if the applicant agrees (new section 149T). In such cases, we recommend clarifying that the applicant, the relevant local authorities, submitters, and all parties must be notified of any extension. We would expect that this power would be used only in special circumstances; it is not intended as a licence to protract inquiries unnecessarily.
This would address our concern that the nine-month time-frame could be too tight for proposals of national significance, especially since it would be effectively reduced to seven months of inquiry once requirements for public notification and circulation of the draft report were taken into account. Because call-in would be used for the more complex proposals involving a combination of matters (consent applications, notice of requirement, and private plan changes), we consider that rigid adherence to the nine-month time-frame could compromise the hearing process or the quality of the decision.
Costs of process
Clause 105 as introduced would enable the Minister to recover from the applicant the costs incurred by the EPA. We recommend that the bill be amended to allow the EPA to recover its costs directly (new section 149ZD).
We note that under new subsection 149B(3A) of the principal Act, the Minister could not recover costs incurred by the EPA before lodgement. Submitters raised valid questions about the implications for cost recovery where applications are called in and referred to the Environment Court. We agree that the subsection as introduced appears to provide that neither the Minister nor the EPA may recover costs for applications that are called in and referred to the Environment Court for a decision. We recommend rectifying this.
For consistency, we consider that the Environment Court should be able to recover from the applicant the costs of hearing and deciding a matter that has been called in and referred to it. We therefore recommend amending clause 134 to apply a presumption that costs will be awarded by the Environment Court against the applicant when hearing and deciding a matter that has been called in.
We note the concern expressed by some submitters that councils would not be able to recover their costs of participation in cases where an application was called in, which might result in substantial costs being passed on to ratepayers. We do not agree that councils should be able to recover the costs of participation from the applicant where the council has chosen to become a submitter, and accordingly recommend no further changes. We note that the recommended amendments would require the EPA to commission a planning report from the local authority before public notification, and the board would also be able to commission a further planning report from the local authority if it wished. Costs on councils for providing reports in such circumstances would be recovered from the applicant, as would any costs arising from further reports commissioned by the board.
Environmental Protection Authority
The bill seeks to establish an Environmental Protection Authority. The full powers and functions of the EPA are to be considered in phase two of the reforms of the RMA.
The key change we recommend to these provisions concerns clause 21.
Delegation of functions by Ministers
We recommend amending clause 21 to extend the list of ministerial powers that cannot be delegated to include the Minister’s powers to make decisions in response to recommendations of the EPA, and a consequential amendment to section 24 of the principal Act.
Clause 21 would also allow the Minister for the Environment to delegate functions, powers, and duties associated with certain parts of the call-in process such as notification, the receipt of submissions, and provision of information to a board appointed to conduct an inquiry. We recommend that clause 21 be amended to allow the Minister to delegate these functions to the EPA to ensure a smooth process between the EPA and the board of inquiry.
Plan development and change processes
The bill seeks to reduce the time and cost of the process for developing, reviewing, and changing plans, while improving councils’ ability to respond quickly to emerging issues, and codifying case law on submissions and appeals.
The new provisions would limit appeals on plans to questions of law, unless the leave of the Environment Court was obtained (clauses 132 and 136), replace the mandatory further submissions process with a discretionary process (clause 148(8)), encourage councils to produce combined planning documents (clause 57), remove non-complying activities as a class of activity in planning documents (clauses 147 and 152), remove the possibility of non-specific appeals (clause 148(17)), change the rules regarding the legal effect of proposed plans (clause 59), and remove the requirement for district plans to be reviewed every 10 years (clause 56).
The key changes we recommend to these provisions concern clauses 19, 56, 57, 59, 132, 136, 147, 148, and 152.
Ministers may direct regional councils to review regional plans
We recommend amending clause 19 to make it clear that the power to direct the review of regional coastal plans would rest solely with the Minister of Conservation, as provided for in new section 25B(2), and not the Minister for the Environment.
As introduced, clause 19 would insert new section 25B to enable the Minister for the Environment to direct a local authority to review part or all of its regional or district plans, and the Minister of Conservation to direct a review of regional coastal plans. Currently the Minister for the Environment can direct local authorities to prepare a regional plan, or to make a plan change or variation to a regional plan or district plan.
This provision would provide a back-up to ensure that regional and district plans remained up-to-date when the statutory obligation for regional and territorial authorities to review their plans every 10 years was removed by virtue of clause 56 (as amended) of the bill.
We understand that it was not intended to empower the Minister for the Environment in new section 25B(1) to direct the review of regional coastal plans and we recommend making this quite clear.
We considered but rejected a suggestion that new section 25B should include criteria to guide the Ministers’ decision on the need to direct a review. We consider that very different circumstances will apply in each case, and any guidelines should not be enshrined in law.
Removal of obligation to review district plans every 10 years
Clause 56 would remove the mandatory requirement to review district plans every 10 years, with the effect that district plans would be kept under constant review. We note that the bill contains no similar provision to remove the parallel review requirement for regional plans, and agree that consistency between comparable plans is desirable. We accordingly recommend that the review provisions apply equally to regional plans, regional coastal plans, regional policy statements, and district plans.
We also recommend that clause 56 be further amended to allow local authorities to review their plans in any way they like provided that each provision of the plan is reviewed at least once every 10 years.
Combined regional and district planning documents
Clause 57, as introduced, seeks to enable and encourage local authorities to produce combined planning documents. It sets out a process for preparing, implementing, and administering combined regional and district planning documents under new section 80 of the principal Act. It would also require local authorities to consider combining plans where practicable.
We recommend that clause 57 be amended to require that combined planning documents identify clearly the provisions in the document that are to be treated as provisions of a regional policy statement, regional plan, regional coastal plan, or district plan, and the local authority responsible for enforcing the respective provisions.
Legal effect
Clause 59 would insert new sections 86A to 86G into the principal Act to change the point at which rules under a proposed plan and a proposed plan change are deemed to have a legal effect (and so must be complied with). As introduced, new section 86A would prevent new rules from having legal effect until decisions on submissions relating to those rules had been notified, unless specific exemptions regarding the protection of vulnerable resources applied. A local authority could also apply to the Environment Court to allow rules not covered by an exemption to take effect earlier.
Many submitters queried whether clause 59 would provide more certainty about which plans would apply to any assessment of proposals—operative plans, or proposed plans, or variations of proposed plans, severally or jointly.
We understand that the intent of clause 59 is to reduce the need to assess proposals against proposed rules that had not been through a public submission process, and to avoid the need to apply rules that were poorly drafted. However, we are concerned that in practice clause 59 might result in the development of a complex maze of rules. Nor are we convinced that clause 59 would provide a more robust regime than the status quo.
We therefore recommend amending clause 59 to set out the processes for triggering legal effect more clearly and to require local authorities to identify in their plans which rules have immediate effect, so that people do not have to work it out for themselves (new sections 86A to 86G). The bill as introduced specified rules that “expressly protect” particular resources. We believe that the wording, in respect of the resources of water, air, or soil (for soil conservation), has potential for litigation and recommend that rules that have immediate effect are those that “protect or relate to” these resources.
Appeals on plans restricted to points of law
The bill seeks to reduce the time involved in developing and adopting plan documents, and to reinforce the role of local authorities as the primary policy-making bodies. Clauses 132 and 136 would restrict appeals on plans to points of law unless an appellant successfully applied for leave from the Environment Court to appeal on merit. As introduced, the grounds for seeking leave to appeal a plan on the merits are broad and relate to impacts on property rights, the clarity of local authority decisions, and whether a decision fails to give effect to Part 2 of the principal Act.
We received many submissions on these clauses, most of which opposed their provisions on three grounds: the potential for greater costs and delays, the removal of the right to appeal on merit and its effect on access to justice, and the breadth of the grounds for appeals on merit.
We agree that the policy proposal poses some difficulties regarding the way the Environment Court would determine applications for leave to appeal on merit. We consider that such difficulties need to be addressed properly to ensure that significant savings in process time and costs are realised, and to reinforce the role of local authorities as primary policymakers. However, we accept that there are real difficulties in devising criteria to guide the court. On balance, we are not satisfied that the proposal, in its current form, will work as intended and deliver fairness and natural justice. The only exception to this arises in the context of giving effect to national policy statements, where it is appropriate to limit such appeals to points of law to maintain consistency in the way the national policy statements are applied in planning documents.
Accordingly, we recommend that clauses 132 and 136 (save for the provision relating to section 55(2B) matters) be deleted and that further consideration be given to ways of achieving the policy intentions, such as providing more guidance on plan development by non-statutory means, and further direction through national policy statements and national environmental standards. As the removal of clauses 132 and 136(2) would obviate the need for the transitional provision in clause 160, we recommend that clause 160 also be deleted.
Removal of non-complying category
Although non-complying activities are deemed to be inappropriate activities, the principal Act provides that consent may be given where their effects are minor or not contrary to a plan. We are advised that approximately 3,600 consent applications are processed each year for non-complying activities, representing 7 percent of all consents.
Clauses 147 and 152 seek to remove the non-complying activity category from the principal Act in order to make plans less complex by reducing the number of consent categories, reducing costs and delays for processing applications for non-complying activities, and preventing this class of activity from being used to deal with activities that are not contemplated in an operative plan. We understand that the policy intent is also to encourage better drafting of plan provisions for discretionary activities and to provide more guidance for plan users.
We received and considered a large number of submissions on the removal of the non-complying category, mostly in opposition. Submitters expressed practical concerns about the cost of changing plans, the consequences of losing important jurisprudence, a possible reduction in public participation, the loss of guidance as to what activities are acceptable, and the implications for adjacent land use.
In general, we are concerned that the proposed provisions have the potential to generate a number of unintended consequences, which could increase the complexity and costs of the planning process, rather than reduce them.
We do not consider the non-complying category to be synonymous with the discretionary category of activity—simply replacing references to non-complying activities with references to discretionary activities is too crude a mechanism and risks damaging the balance in plans between objectives, policies, and rules. We are concerned that councils may have to revise their tests for what would constitute a discretionary activity because non-complying activities would generally be required to meet a higher threshold than discretionary activities. We suspect that many councils would have to make significant adjustments to their plans at a cost in time and resources, and that the new tests could result in even more complex and inconsistent planning documents.
For these reasons, we recommend deleting clauses 147 and 152 (and the associated commencement clause 2(1)), which seek to remove the non-complying category of activity from the principal Act.
Making of submissions and public notice of submissions
Under the current legislation, councils prepare a summary of submissions and notify its availability before inviting further submissions. Clause 148(8) would replace this process by allowing councils discretion to seek the views of potentially affected parties.
Many submitters opposed the proposal on the grounds that it would breach the principle of natural justice. They argued that people have a right to respond to points raised in submissions when they relate to their land or may have implications for them. They also regard the further submission process as important for raising new issues arising from submissions, and providing an opportunity to participate in any subsequent hearing or appeal proceedings. We noted a common concern that submitters could request changes that were subsequently incorporated into the final plan provisions without being subject to a further submissions process, and that such changes could significantly affect people without providing them with an opportunity to respond.
Some submitters were concerned that the onus would now lie with council staff to identify potentially affected parties. Some local government submitters were also concerned that the discretionary process might incur a risk of liability and expose councils to more litigation. A number of organisations and iwi expressed concern that groups with limited resources would be excluded from participation if they missed the first round of submissions.
We consider that the issues of natural justice and fairness to parties who might be adversely affected by proposed plan provisions, together with the potential increase in local authorities’ workloads as a result of these provisions, warrant the development of an alternative to the current proposal.
We recommend amending clause 148(8) to require local authorities to prepare, and advertise the availability of, a summary of outcomes sought by submitters, and to allow anyone with an interest that is greater than that of the public generally, or representing a relevant aspect of the public interest, or the local authority itself, to lodge a further submission within 10 working days. Further submitters would have the right to be heard and have a right of appeal, subject to the trade competition restrictions provided for in this bill. Therefore, we recommend deleting clause 148(9). The requirements for further submissions would revert to those in the principal Act prior to amendment, with further submissions only being able to be in support of or opposition to submissions under clause 6, and must be in the prescribed form.
We believe that the modified provisions will balance more appropriately the rights of potentially affected parties with the need to ensure that the plan development process is not unduly burdensome or costly.
Ability to oppose and seek withdrawal of entire plans or policy statements
As introduced, clause 148(17) would allow an appeal only if it did not seek the withdrawal of the proposed plan or policy statement as a whole, and if the person appealing had already submitted on the particular matter. We understand that the policy intent is to avoid long delays in plans and policy statements becoming operative while appeals seeking the withdrawal of the whole document are being resolved.
We considered but rejected arguments against removing the ability to challenge and seek withdrawal of an entire plan or policy statement by appeal (under new clause 14(2)(b) of Schedule 1 of the principal Act). We concluded that the benefits (time and cost savings for councils, the court, and third parties) would outweigh any inconvenience arising from placing more responsibility on appellants to specify their concerns and propose possible solutions.
We recommend amending clause 148(17) to clarify that a variation or change to a plan would not be captured by the prohibition against seeking to withdraw an entire policy statement or plan. The ability to seek the withdrawal of entire private plan changes would remain unchanged. Because a private plan change can circumvent the need for resource consent, we consider this right should be preserved to avoid creating an incentive for applicants to lodge private plan changes rather than comprehensive resource consent applications.
Finally, given our recommendation not to proceed with the change in decision-maker for notices of requirement (clause 110(1), (3), (4), (5), (6)), we recommend deleting the ability under clause 14(2B) of Schedule 1 of the principal Act (as amended by clause 148(17)) for a requiring authority or a heritage protection authority to appeal to the Environment Court against a territorial authority’s decision under clause 9 of Schedule 1.
Resource consent processes
A number of provisions in the bill seek to reduce delays in resource consent processes, reduce the requirements on applicants and consent authorities for minor projects, and encourage compliance with statutory time-frames by revising the criteria for determining whether to notify an application or not (clause 68), simplifying the reporting and decision-making requirements for minor consents (clauses 28 to 32, 34, 64, and 66), removing blanket tree protection rules in urban areas (clauses 52 and 151), allowing consent authorities to stop the statutory clock once only to seek further information (clause 63), and providing a discount on administrative charges to applicants where consent authorities fail to process applications within the statutory time (clause 25).
The key changes we recommend to these provisions concern clauses 25, 28 to 32, 34, 52, 60, 62 to 64, 66, 145, and 151.
Discounting administrative charges for late consent processing
Most of us recommend amending clause 25 (new section 36AA) to refer to a new regulation-making power in section 360 of the principal Act to allow regulations to be made setting a default discount policy for late processing of consent applications. We recommend also that the Minister for the Environment be required to recommend the making of regulations within nine months after the amendment Act comes into force and following consultation with local authorities. While the regulations would set out when and to whom the discount would apply, the main intent would be to require a local authority to discount its administrative charges where, through its own fault, it has not processed a resource consent application within the statutory times.
With a default policy set by regulation, we see no need to make it mandatory for councils to set their own policies, and therefore recommend amending clause 25 to make it optional. Under clause 25 amended as we propose, a local authority policy could override the default policy set by regulation only if it was more generous than the default policy. If it became optional for a local authority to develop its own policy instead of adopting the default one, the imposition of a time-frame on councils who chose to set their own policy would become redundant, so we recommend deleting it from clause 25.
We consider that these amendments would provide a minimum sanction for late consent processing that would be applied consistently across the country, and thus relieve councils of the obligation to develop individual policies. We also believe that it would be easier to address the difficulty of determining where the fault lies for failure to meet statutory deadlines by leaving this to be addressed in detail by regulation. We understand that the regulations proposed would also set down dispute resolution mechanisms, and would be subject to a consultation process.
Extension of statutory time-frames
Under the current provisions of the RMA, councils may extend time-frames by not more than double, or, providing the applicant agrees, by more than double the current time-frames—currently 20 working days for non-notified applications and up to 70 days for notified or limited notified applications.
The recently published two-year survey of local authority performance under the RMA draws attention to the way different councils use section 37A for extending resource consent and other processing times. We are concerned that councils are regularly extending time-frames for relatively simple resource consent applications, and in some cases overuse the extension provisions as a way of dealing with large numbers of applications, or staffing and other resource issues.
We are not convinced that the measures in the bill as introduced will speed up processing while councils can avail themselves of the opportunity to grant themselves extensions of time. We therefore recommend amending section 37A of the principal Act (new clause 25A) by inserting a new subsection limiting further the ability to extend time-frames under section 37(1)(a) in the case of applications for resource consent and changes to consent conditions. The current provisions for extending time-frames for processing other matters would continue to apply. For consent applications the ability to extend time-frames up to double the statutory maximum would be limited to either special circumstances or to the applicant’s agreement to the extension. The intent is to ensure that lack of staffing capacity or access to expertise would not justify an extension without the applicant’s agreement unless this amounted to “special circumstances” such as might obtain during a pandemic. For a period to be extended beyond twice the statutory maximum, the applicant’s agreement would be required. In both cases the consent authority would also have to take into account the matters in sections 371(1)(a) to (c) of the principal Act.
The provision made in section 37A of the principal Act for the granting of waivers would remain the same, except that we recommend amending section 37A(3) of the principal Act to require an authority to notify directly affected persons of waivers as well as extensions to correct an omission. We also recommend amending section 35(5) through clause 23 to require decisions under section 37A to be documented.
Further information and reports
Clauses 28 to 32, 34, 64, and 66 seek to reorganise and amend sections 41, 41A, 41C, 42A, and 92 of the principal Act, and would insert new sections 41BA, 41BB, 41D, and 92AB into the principal Act. This suite of amendments relates to the provisions for authorities to request further information and to commission reports to support their consideration of proposed statements and plans (and changes), resource consent (and similar) applications, and requirements. Broadly speaking, the simplification would separate the reporting and further information provisions applying outside hearing situations into two categories: those that would apply where a hearing is required (new section 41BA) and those that would apply when none was required (new section 92AB). In addition, new sections 41BB and 41D would apply during hearings.
Submitters were confused by the substantial changes proposed and raised issues of workability. Some were concerned that these provisions, as introduced, would not address the circumstances where further information and reports were required in non-hearing situations before consent authorities decided whether to notify a resource consent application.
Our attention was drawn to an unintended consequence of the proposed new time-frame for submitting any further information or reports to consent authorities on an application that is not to be heard. Clauses 64 and 66, which introduce new sections 92 and 92AB of the principal Act, would impose a time-frame of no later than 10 working days before the consent authority makes its decision on the application. Decisions can already be made by consent authorities within 10 working days of receiving an application. There is no specific reason to provide the information or report 10 working days in advance of a decision, particularly for a non-notified application where there is no need to circulate the information to other parties. Moreover, the time-frame requirement would effectively delay a consent authority’s decision. We also understand that the time-frame would not be helpful for applicants, because they would not know when the decision on the application was to be made. We accordingly recommend removing this requirement from clauses 64 and 66.
We recommend abandoning the proposed reorganisation of sections 41, 41A, 41C, 42A, and 92, and making more limited amendments to sections 41C, 42A, and 92. This would result in the withdrawal of clauses 28 to 30, 32, and 66 of the bill as introduced.
In their place we recommend:
•an amended clause 31 to set out the new requirements for providing copies to the applicant and submitters of further information and reports received by an authority under subsections 41C(2) to (4)
•an amended clause 34 to retain the provision for planning reports under section 42A, continue to provide as in the bill as introduced that such reports need not repeat material from an applicant’s assessment of environmental effects, and continue to provide a new time-frame for the circulation of such reports to parties to the hearing if the authority directs pre-circulation of evidence, as well as a new requirement to notify submitters who do not wish to be heard of the receipt of the report
•an amended clause 64 to require consent authorities to notify submitters of the availability of further information or reports.
We do not recommend any amendments to section 41(4) of the principal Act, as proposed in the bill, relating to information and advice that may be requested during a hearing.
We recommend inserting new clause 27A to amend section 39(1), which applies to the conduct of hearings, to update references to the matters to which it relates as well as extending its scope beyond requirements for designation and heritage orders to include requirements for alterations to designations and heritage orders, which may also be the subject of hearings.
We consider that the proposed amendments would improve the workability of these provisions.
Tree protection rules
Clause 52 would amend section 76 of the principal Act by prohibiting local authorities from making blanket tree protection rules that would apply in an urban environment unless the tree or group of trees was specifically noted in a schedule to the district plan, or located within a reserve or area subject to a conservation management plan or strategy.
Clause 52 could remove the need to process more than 4,000 resource consent applications per year for pruning or removing trees in urban areas subject to blanket protection rules. Ample lead-in is provided by way of transitional provisions in clause 151, which would revoke existing general tree protection rules on 1 January 2012, and require local authorities to amend their plans during the transitional period.
Clause 52 refers only to trees or groups of trees “specifically identified in a schedule to the plan”. We are aware that most territorial authorities use schedules in conjunction with maps and symbols to identify a tree or group, and that although maps are useful aids for identification they are generally not included as a schedule but in the plan itself. We therefore recommend that clauses 52 and 151 be amended to refer to a plan, which would include any schedule in which trees were listed.
We consider that the scope of rules for the “protection” of trees could be regarded as unclear. We recommend that the clause be amended so that a district rule could not prohibit or restrict the felling, trimming, damaging, or removal of any tree or group of trees in an urban environment unless they were identified in the plan.
We recommend defining “urban environment” to relate to urban and suburban areas but not to rural or semi-rural areas, and consider that the definition should require such an environment to include all of the following elements:
•an allotment of 4,000 square metres or less
•containing a dwelling house or a building used for industrial or commercial purposes; and
•connected to a reticulated water supply system and a reticulated sewerage system.
We received many submissions on clause 52. Many submitters feared that clause 52 would lead to the wholesale destruction of trees or a reduction in the number of trees in urban environments. Some were concerned about the cost of preparing schedules, which would involve assessing individual trees. They were also concerned that the scheduling process would be slow to react to changes in the environment, as schedules can be updated only by way of a plan change.
We take the view that the intent of the proposed provisions is to reduce the time and cost of applying for and processing resource consents for relatively minor matters. Blanket protection rules could still apply to trees in an urban area that were located in a reserve or conservation area. For trees in other urban areas the bill would continue to allow individual trees and groups of trees to be protected by listing in a district plan. We also observe that the principal Act is not the only means of promoting tree coverage in urban areas and that the bill does not prevent councils from offering incentives for planting, maintenance, or voluntary protection by way of covenants.
We note that local authorities may need to review their current practices for listing trees and groups of trees, as the tree or group will have to be identified specifically in the plan if it is to be protected. To list a group of trees, considerable detail might be required, including the species, the number of trees, and their precise location. We also note that local authorities may need to update their plans for some groups of trees to make references to some protected groups of trees more specific.
On balance most of us supported prohibiting blanket tree protection rules in planning documents. A number of us, however, regard clause 52, as amended, as unsatisfactory and would have preferred a more comprehensive solution for protecting urban trees.
Types of activities and certain activities to be treated as discretionary or prohibited
New section 87A, to be inserted in the principal Act by clause 60, would bring all the provisions related to resource consent processes together and amend the resource consent application requirements applying to activities described in plans or regulations as permitted, controlled, restricted discretionary, discretionary, non-complying, or prohibited.
We note that proposed new section 87A(3)(a) covers both declining and granting consent to a restricted discretionary activity, whereas section 77B(3)(c) of the principal Act, which it replaces, covers only declining a consent. We understand that the intent of this change to the wording is to reverse the judgment of the High Court in Auckland City Council v John Woolley Trust.1
We also note that proposed new section 87A(5)(b)(ii) appears to require that an activity comply with section 104D of the principal Act in order to be a non-complying activity. This would add a new requirement to the description of the features of a non-complying activity, which is found in section 77B(5) of the principal Act, and might create uncertainty by suggesting that the activity’s status could not be determined until the application had been assessed. We understand it was intended that a resource consent for a non-complying activity could be granted only in accordance with section 104D, and we recommend amending new section 87A(5)(b)(ii) accordingly.
We also recommend amending proposed new sections 87A(2)(b) and (3)(a) to reflect the fact that limitations on a consent authority’s power to impose conditions on a resource consent for a controlled activity, or to determine an application for consent for a restricted discretionary activity, include any limitations imposed on the consent authority, for example by a national environmental standard.
Stopping the consent-processing clock
Clause 62 adds to the statutory time periods in section 88B that may be “paused” by the clock-stopping events listed in section 88C. Clause 63 adds further clock-stopping events in section 88C, but also provides that only the first request under section 92(1) for further information will stop the clock.
We recommend replacing clauses 62 and 63 with new clause 62, which would repeal sections 88B and 88C of the principal Act. The substitute new section 88B and substitute sections 88C and 88E would simplify the proposed amendments, and include other recommendations on these provisions. New clause 62 would then include the provisions formerly in clause 63.
We recommend amending section 88B to allow the clock to stop for the time limits for preparing direct referral reports in proposed section 87D (Now also sections 198C and 198J). This amendment would stop the clock while a consent authority requested further information or commissioned a report during the direct referral process.
We recommend adding an additional subsection to refer to sections 41B(6) and (7), which provide the time limits for commencing a hearing where directions have been issued under section 41B (exchange of evidence).
We recommend splitting the clock-stopping events in former section 88C into three separate sections: section 88C (further information and reports); section 88D (event associated with the direct referral processes); and section 88E (other events).
A number of adjustments are recommended to the exclusions for clarity and workability, and as a result of amendments we are recommending elsewhere in the bill.
We consider that the time spent on dealing with a request for direct referral (new section 88D(2) and 88D(8)) should not stop the clock for decisions on notification. Potentially it could do this if a request was received before a decision on notification was made. We therefore recommend including a new subsection in section 88D to provide for this.
In relation to further information requests under section 92 referred to in proposed section 88C, we consider that provision should be made to allow the clock to stop upon a second request for further information to be provided after the close of the submission period for notified applications, and recommend amending the bill accordingly. We further consider that the limit of two information requests should apply whether or not the information requested was provided.
In relation to events associated with direct referral, we recommend amending clause 63 of the bill (now proposed clause 62, inserting proposed new sections 88D(3) and (4)) to add the time taken to deal with an objection to refusal of a request for direct referral to the periods that must be excluded from the periods listed in section 88B. This would start with the date the applicant lodges an objection, and end when a decision on the objection is issued. This exclusion would apply when an applicant lodged an objection under section 87D (and also section 198B). We use the term “applicant” for convenience but note that the provisions applying to direct referral also apply to requirements for designations and heritage orders.
Also, we recommend amending clause 62 to reflect consequential changes resulting from recommended changes to the 10-working-day time-frame for making a decision on a request for direct referral. This would be extended to 15 working days after the request (if the request was made after the authority had decided to notify the application) and to 15 working days after the decision on notification (if the request was made before the authority had made a decision on notification).
We recommend that where a direct referral report is sent to the applicant and submitters, the statutory time-frame should start at the point when the report is sent out to the applicant and end when the consent authority knows that it will be determining the application. The statutory clock would then stop until the earlier of either the 10-working-day deadline for filing the notice of motion or the applicant advising the consent authority that it does not intend to proceed with direct referral to the Environment Court. This would apply in cases where the applicant, having seen the direct referral report, opted out of the direct referral process in favour of the standard process through the consent authority.
In relation to new section 88E, we recommend amendments so that when the processing of an application was paused pursuant to section 91, the excluded period would end when all, rather than “any 1 or more”, of the outstanding resource consent applications (for which the processing was paused) were received.
The changes we recommend to clauses 62 and 63, particularly the provision of a second opportunity for stopping the statutory clock for a further information request, would address our concern that the provisions in the bill as introduced are too blunt to apply to the processing of complex applications, which often require more than one request, or to applications that have not been prepared by a resource management professional, where the response to one request for information will often trigger the need for additional information.
Applications to be referred to Maritime New Zealand
New clause 63A would insert a new section 89A, providing for Maritime New Zealand to be notified of applications for resource consent affecting navigation. This would update and relocate section 395 of the principal Act, which is currently located in the transitional provisions because of a sunset clause that was repealed before coming into force. This amendment would require a consequential amendment to clause 146.
Public notification restricted
We recommend amending clause 68 to modify the proposed new rules for determining whether or not to notify an application for resource consent and the form in which notification must be made. As introduced, clause 68 would repeal sections 93 and 94 of the principal Act and substitute new sections 93 to 94AAE. Our recommended amendment would require the repeal of sections 93 to 95 and the substitution of new sections 93 to 95C to address our concerns on matters of substance and to restructure the new provisions to make them more readable.
Under the current law, the general rule is to notify unless consent authorities can demonstrate that the application meets certain tests. The process of assessing and justifying decisions not to notify imposes considerable costs and delays.
Under the bill as introduced, public notification would be required if the consent authority was “satisfied that the adverse effects of the activity beyond the immediate environment will be more than minor” (now new section 94). We consider that new section 94 would prescribe a very high threshold of certainty, and recommend that the words “will be more than minor” be replaced with “may be more than minor”. We also consider that the proposed test leaves too many questions unanswered about the application of the term “beyond the immediate environment”. Because this test would seem contingent on the circumstances of each particular case, we acknowledge that it cannot be defined satisfactorily by statute. We therefore recommend substituting a new test that would require a consent authority to publicly notify a consent application if it decides that the adverse effects of the activity on the environment may be more than minor but would exclude effects on persons who own or occupy the land where the activity will occur or any adjacent land owners or occupants.
In relation to limited notification, some submitters expressed concern at the raised threshold of “more than minor” effects for determining who is an affected person. We are also concerned that, as introduced, clause 68 could discourage the participation of parties who might genuinely be affected by a proposal. We therefore recommend that the point at which a person is considered to be an “affected party” be set higher than the current test, but lower than that proposed in the bill as introduced (now new section 95B).
We also note that new section 93A(2) (in the bill as introduced) would make it mandatory to apply the permitted baseline test when considering whether a person was affected. We are advised that the policy intention was to retain this test as discretionary, and recommend that the section be reworded so that it is clear that a person “may” (rather than “must”) be treated as not being adversely affected if the plan permits an activity with that effect (now new section 95B(2)).
We also recommend the insertion of new clause 4A for ease of reference. This new clause would cover all definitions relating to notification.
We consider that the amendments we recommend will improve the workability of the new notification procedures, and address some of the concern regarding effects on community participation. Some of us remain concerned that the proposed changes would unduly restrict participation. However, the majority of us feel that given that approximately 95 percent of resource consents are processed without public notification, we are not concerned that clause 68 will severely reduce the opportunity for public participation except at the level of affected parties and providing associated approvals. We consider that any remaining concern about the impact of the new notification procedures should be reduced by the opportunities for community engagement at the plan development stage.
Consideration of applications
We recommend deleting clause 77(2) and inserting a new subsection in section 104 to make it clear that a consent authority could decline an application for a resource consent because of inadequate information, and for that purpose to take account of whether applicants had responded to requests for further information or for agreement to the commissioning of further reports. We consider that this would clarify the relationship between insufficiency of information and other factors bearing on the exercise of the authority’s decision-making power on consent applications.
Outstanding applications for resource consent where further information requested
Clause 161 seeks to address a processing inconsistency between resource consent applications lodged prior to 10 August 2005 (the commencement of the Resource Management Amendment Act 2005) and those received after that date, by deeming any application received prior to the 2005 amendments to have lapsed if it was “on hold” awaiting further information, and the applicant had failed to respond for 12 months or more. A lapsed application would be treated as a new application if it was lodged again, to ensure that such applications could be assessed under current planning frameworks.
In the bill as introduced the 12-month period could have begun and lapsed before clause 161 was enacted. We recommend amending clause 161 to make it clear that the applicant would have 12 months from the making of the request to comply with it if the request is made after the enactment of clause 161 and (where the request was made before clause 161 was enacted) the period would begin when the provision comes into force.
We note that clauses 155, 156, 157, and 162 set out other transitional provisions regarding applications for resource consents filed and accepted under section 88 of the principal Act before clause 2(3) of the bill comes into force. We recommend that clause 155 be deleted and other transitional clauses amended. We understand that a current application for a resource consent lodged before the 2005 amendments came into force may come within some of these general transitional provisions, and recommend amending the bill to clarify that clause 161 overrides clause 62, the general transitional provision relating to applications for resource consent in the specific circumstance to which it applies.
We recommend also clarifying that the clause is intended to apply where the applicant has failed or refused to comply with the request and has not had any objection upheld.
Two-yearly survey of local authorities
We recommend amending clause 145 to provide for regulations under section 360(1) to make it mandatory for local authorities to provide information to the Minister for the Environment under sections 35 and 35A within specified time limits. This would allow the collection of complete information for the Ministry for the Environment’s two-yearly survey of local authority performance under the principal Act.
Local authorities currently supply information voluntarily through a two-yearly survey. The survey gauges RMA process workloads across the country, assesses councils’ management of their workload, and provides data to the ministry on problem areas and opportunities for improvement. It is an important means by which the Minister can exercise the statutory function of monitoring the effects and implementation of the Act under section 24(f). Because it is not mandatory, however, not all local authorities respond to the survey. While most of them do, we understand that there is much variation in the ways individual local authorities collect and record data, which affects the quality and timeliness of the survey.
We consider that it would be more appropriate to specify the type of information required and conditions on its collection and provision by way of regulation than to include this level of detail in statute.
National instruments
The bill seeks to remove barriers to developing and applying national instruments such as national policy statements (NPS) and national environmental standards (NES) at the least possible cost. New provisions would expand ministerial powers for developing these instruments, clarify the relevant duties, functions, and powers, and improve the processes used by local authorities to integrate national policies into their planning documents.
The new mechanisms include powers for the Minister to cancel, postpone, and restart an NPS development process (clauses 43 and 47). Planning documents could be changed without further formality in certain circumstances (clause 48), and appeals on plan changes to implement an NPS would be restricted to points of law only. The bill would also clarify the interface between national instruments and local instruments (clauses 40, 77(1), and 90).
The key changes we recommend to these provisions concern clauses 4, 10, 38 to 40, 44, 47, and 90.
Definition of contaminated land
We recommend that the definition of contaminated land in section 2(1) of the principal Act be replaced with a new definition, to be inserted into clause 4 of the bill.
Section 2 defines contaminated land as land of one of the following kinds:
•If there is an applicable national environmental standard on contaminants in soil, land that is more contaminated than the NES allows.
•If there is no applicable NES, land that has in or on it a hazardous substance that has, or is reasonably likely to have, significant adverse effects on the environment.
There is no NES for soil contaminants. We understand that it is unlikely that such an NES, when developed, will set soil contaminant values that define contaminated land. We would be concerned that, if a standard were released that describes soil guideline values, the current definition under section 2 could lead to confusion and the misapplication of the standard to defining contaminated land.
We therefore consider it appropriate to remove any reference to national environmental standards in the definition. Contaminated land would be redefined as land that has in or on it a hazardous substance that has, or is reasonably likely to have, significant adverse effects on the environment.
Restrictions on the use of sensitive environments
We recommend amending clause 10 to ensure that proposed activities affecting the coastal marine area would be subject to operative and proposed regional coastal plans. The proposed amendment would clarify the requirement to comply with both operative and proposed regional plans, and would reflect more clearly the policy intent that an activity should be permitted under all relevant documents, or authorised by resource consent.
We similarly recommend amending clauses 9 and 11 to 13 to require that proposed activities affecting proposed subdivision of land, beds of lakes and rivers, water, and discharge of contaminants also comply with operative and proposed plans as currently provided for in the principal Act, in addition to the other restrictions set out in these provisions.
Additional powers to implement national environmental standards
We recommend amending clauses 38 to 40 to clarify the way that rules and a NES interact in exceptional circumstances, and to allow the establishment of a notification pathway for activities specified in a NES. This would align the notification track for a NES with rules in plans.
The recommended changes would allow councils to refer to a NES in their planning documents, and to remove any duplication of provisions in the NES and planning documents without having to go through the full notification process that would otherwise apply to proposed changes to planning documents as set out in Schedule 1 of the principal Act.
Conduct of hearing
As introduced, clause 44 amends section 50 of the principal Act to explicitly provide the power for the Minister for the Environment to be heard at a board of inquiry hearing into a NPS, irrespective of whether the Minister has made a submission on the proposed NPS. We are advised that the intention of this additional power is to provide the Minister with an opportunity to clarify the Government’s position on a proposed NPS in certain circumstances.
We recommend amending clause 44 to make it clear that there is no intention to remove the right of submitters to be heard at a board of inquiry hearing into a NPS by virtue of clause 44(2), and that the new power under clause 44 would be additional to the rights of submitters under section 40 of the principal Act.
Consideration of board of inquiry recommendations
Clause 47 of the bill provides options for the Minister to consider in response to recommendations made by a board of inquiry. The power for the Minister to withdraw all or part of a proposed NPS would be provided in clause 46.
We recommend amending clause 47 to require the Minister to give reasons for not accepting the recommendations of a board of inquiry (or process) in respect of a proposed NPS, in order to improve the transparency and accountability of such decision-making powers under the principal Act.
Consent authorities and Environmental Protection Authority to grant certificates of compliance
Clause 90 seeks to amend section 139 of the principal Act to reflect the ability of the EPA to grant certificates of compliance in limited circumstances and to make it clear that consent authorities could process, consider, and grant certificates of compliance where an activity complied with a NES and did not need a resource consent, if an applicant requested such a certificate. The effect of clause 90 would be to deem a certificate of compliance to be a resource consent, issued subject to any conditions specified in the NES or the local authority’s plan.
Some submitters were concerned about certificates of compliance being issued where an activity complied with a plan and not a NES or vice-versa. We believe that the hierarchy governing rules in plans and national environmental standards is well established in other sections of the Act, making it clear that the NES would prevail and a rule could not be more lenient.
We recommend reworking clause 90 to make it easier to follow and to clarify that it would apply whenever an activity could be lawfully carried out without a resource consent.
Enforcement and penalties
The bill seeks to improve deterrence by strengthening the compliance and enforcement provisions of the principal Act. It would provide the District Court with more penalty options than fines or imprisonment. Key provisions for achieving these policy goals include enabling councils to take action against the Crown for non-compliance (clause 5), increasing the maximum fines to $300,000 for individuals and $600,000 for corporates (clause 141), and enabling the District Court to require a resource consent to be reviewed (clause 86).
The key changes we recommend to these provisions concern clauses 5, 86, 140, and 141.
Act to bind the Crown
As introduced, clause 5 would repeal subsections (1) and (5) of section 4 of the principal Act and insert new sections 4(1) and 4(5) to (9), which would:
•allow an abatement notice, excessive noise direction, or enforcement order to be made against the Crown (all of which may be brought only by a local authority or enforcement officer)
•provide for Crown organisations to be served with infringement notices or be prosecuted (only by a local authority or enforcement officer).
Under the bill as introduced, enforcement orders, abatement notices, and excessive noise directions would be available against “the Crown” generally.
We recommend amending clause 5 to substitute “Crown organisation” for “the Crown” in sections 4(5) to (8) of the principal Act, as amended by clause 5. This reflects the policy intent that enforcement action should be available against the Crown in a similar way to the imposition of criminal liability on the Crown under the Crown Organisations (Criminal Liability) Act 2002. Consequential amendments are proposed to clarify the process for proceeding against a Crown organisation.
We recommend a new provision to provide expressly that enforcement action may be taken against a Crown organisation despite the provision of section 17(1)(a) of the Crown Proceedings Act 1950, which limits the ability to issue an injunction against the Crown.
We also recommend a new subclause making it clear that the right to bring enforcement action against a Crown organisation would be subject to section 8(4) of the Crown Organisations (Criminal Liability) Act, which provides that a court may not sentence a Crown organisation to pay a fine.
Circumstances in which consent conditions can be reviewed
Clause 86 would require a consent authority to review the conditions of a resource consent if the District Court ordered a review as a result of convicting the consent holder for conduct involving a contravention of the resource consent. This change would implement a new power provided to the court by clause 141(2) of the bill.
We recommend amending clauses 25, 88, and 89 to widen further the effectiveness and deterrent effect of ordering a review of resource consent conditions under the principal Act by
•requiring a consent authority to have regard to any reasons for which the District Court ordered a review of resource consent conditions when reviewing those conditions
•allowing a consent authority to cancel a resource consent where the court had ordered a review of conditions and significant adverse effects resulted from the exercise of the consent
•allowing a consent authority to recover from the consent holder any costs associated with a review of consent conditions ordered by the District Court.
Penalties
The bill proposes a differential fines regime according to whether the offender is an individual or a corporate. We recommend amending clause 141 to allow the penalty regime to distinguish instead between natural persons and persons other than natural persons. For a natural person, clause 141 as amended would impose a maximum prison term of no more than two years and a fine not exceeding $300,000. Persons other than natural persons would be subject to a fine not exceeding $600,000.
The recommended amendment would clarify the application of the penalties regime to an unincorporated group of people, which is covered by current section 339(1) in the Act that refers to a “person”, but not by the new section 339(1) proposed in the bill.
We recommend the insertion of new clause 141A to ensure that legal persons that are neither natural persons nor bodies corporate (actual or deemed) such as unincorporated bodies, have the same defence as a body corporate. Under current law, section 340(2) of the principal Act provides a defence when “innocent” defendants were held liable for the acts of their agents or employees, or persons in charge of a ship belonging to them. Paragraphs (a) and (b) of section 340(2) impose requirements on natural persons and bodies corporate respectively who might wish to avail themselves of the defence, but these requirements are not currently extended to other types of legal person.
Clause 141A would also amend section 340(3) of the principal Act to extend criminal liability to directors and managers of non-natural persons who are convicted of offending against the Act if the director or manager authorised and knew of the offending by the principal offender, not limited to directors and managers of bodies corporate. This would extend the scope of the section to directors and managers of Crown organisations that were not bodies corporate, and to unincorporated groups.
Limitation period for criminal proceedings
We recommend amending section 338(4) through new clause 140A to correct a historical omission in the principal Act as amended in 1994. Section 338(4) of the principal Act would then apply in place of the normal time limit for bringing criminal proceedings under the Summary Proceedings Act 1957 of six months from the occurrence of an offence, an extended time limit of six months from when the contravention first became known, or should reasonably have become known, to the prosecuting authority. As it would apply only to prosecutions for offences under section 338(1), we recommend its extension to prosecutions for offences under section 338(1A) and 338(1B) of the principal Act. We also recommend amending clause 159 to provide transitional arrangements applying the extended time limit only to offences committed after the bill comes into force.
We recommend further amendment to clause 159 to ensure that criminal proceedings and proceedings for enforcement orders are conducted under the current law where the relevant act or omission occurred before the commencement of this section, even if the proceedings began only after the amendment Act commenced.
Decision-making roles and processes
The bill seeks to improve the quality of decisions, the efficiency of decision-making processes, and confidence in decision makers, by reducing costs, duplication of processes, and delays. The key provisions for these purposes include a requirement that hearing panels consist of at least one independent commissioner if this is requested by applicants or submitters (clause 73), the ability for applicants to bypass the local authority and refer their applications directly to the Environment Court should the local authority decide to grant the request (clause 60), removing the Minister of Conservation’s decision-making power on coastal permits (clause 20), and requiring councils to make decisions on notices of requirement and outline plans (clauses 110, 116, and 120).
The key changes we recommend to these provisions concern clauses 22, 60, 73, 108 to 110, 114, 116, 117 to 119, 122, 148, and 155.
The direct referral process
We recommend a number of amendments to new sections 87C to 87G, included in the bill as clause 60.
In the bill as introduced, sections 87C to 87G would apply to applications for resource consent, reviews of consent conditions, applications to change or cancel or change consent conditions, and requirements for designations or heritage orders. We recommend deleting the reference to reviews of consent conditions, which are processes initiated by consent authorities and should not be subject to direct referral on the authority’s initiative. We also recommend extending the provisions to requirements for alterations to designations and heritage orders.
We also recommend splitting sections 87C to 87G into provisions dealing separately with applications associated with resource consents (sections 87C to 87G); requirements associated with designations under section 168 and heritage orders under section 189 (clause 122B, proposed new sections 189A to 189G); and requirements associated with designations under section 168A and heritage orders under section 189A (clause 122B, proposed new sections 189H to 189N). While these sets of provisions for direct referral would be broadly similar, they would not be identical because of differences in the provisions for processing the underlying substantive matter.
We recommend providing expressly (through proposed new sections 87BA(2), 198A(2), and 198H(2)) that direct referral does not apply to any matter called in under section 141B.
We recommend amending new section 87C (and the equivalent provisions applying to requirements) so that direct referral would be available only for matters that were notified, because it is not appropriate for a matter that will not be contested to be determined by the Environment Court. We also recommend extending the time period during which a request for direct referral may be made from the time of lodging the substantive matter (as in the bill as introduced) until five working days after the close of submissions, to align it with the time-frame for seeking call-in under amendments we propose to the bill.
Allowing a request for direct referral to be made before a decision has been made on notification means that the time-frames for decisions on such requests will need to be amended. We therefore recommend that, where a request for direct referral is made before it is known whether the substantive matter will be notified, a time-frame of five working days after the decision on notification has been made be allowed for a decision on the direct referral request. In other circumstances we recommend extending the time-frame for making a decision on the request for direct referral from 10 to 15 working days. We consider 10 working days to be insufficient, particularly as there is no provision in section 88B to stop the clock for this time-frame.
We also recommend that the council be required to give reasons for its decision on a request for direct referral, which would assist applicants wishing to exercise their right to object to a refusal to agree to direct referral.
Section 87D provides for the authority that would otherwise hear the matter to prepare a report on it for the court. In the bill as introduced the report must include the conditions which the authority would have wished to attach if it granted the application or requirement or made a recommendation for the requirement to proceed. We consider that it would be helpful if the bill provided more guidance for councils on the content of the report, which is for the assistance of the court, but that it should not make it mandatory to include proposed conditions. We therefore recommend amending the bill to provide in proposed new section 87D(4) (and the equivalent proposed sections applying to requirements) that the report may address relevant issues in the provisions under which the substantive matter is to be considered, and may also contain the conditions the authority would wish to see attached.
We recommend amending and extending the time-frames for the preparation of this report in proposed new section 87D(3) (and the equivalents for requirements) because of the extension of the time allowed for making the request for direct referral.
We recommend amending new section 87E(4) to provide that section 274 applies to proceedings commenced under section 87E, instead of sections 291(3) and (4) (with similar amendments to the equivalent provisions applying to requirements). This is necessary because sections 291(3) to (4) and section 274, which also applies to proceedings in the Environment Court on direct referral, impose different and conflicting obligations on submitters wishing to become a party to the proceeding.
Finally, we recommend amending new section 87G (and the equivalent provision for requirements under sections 168 and 189) to recognise that an applicant who, having received the council’s direct referral report under section 87D, decided to proceed before the council instead of going to the court, might wish to notify the council of that decision before the period of 10 working days allowed for filing in the court had elapsed so that the council could continue to process the matter. If the applicant did so, the “stopping the clock” periods allowed in proposed new sections 88D(6) and (12) would end when the council is notified by the applicant, instead of running until the time period for filing proceedings in the court ends.
We consider that special time-frames are needed for the commencement of hearings, and notification of decisions on proceedings that are not heard, where a request for direct referral is granted but the applicant decides nonetheless to proceed before the council. The time-frames in sections 41B(5), 101, and 115 may not be adequate. We recommend that a consent authority be required to hold a hearing within 15 working days or, where pre-circulation of evidence is ordered under section 41B, within 30 working days, of becoming aware that it will be hearing the matter. The current requirement is to hold the hearing within 25 working days from the close of submissions or 40 working days where pre-circulation of evidence is ordered. We recommend consequential amendments to section 115 to provide a time-frame of 10 working days for decisions to be issued where no hearing is to be held, commencing from the time the council becomes aware it will be determining the application.
We consider these changes would ensure that the new mechanisms would work more smoothly with the new provisions under clauses 62 and 63, which would restrict the opportunities for consent authorities to extend their processing times without good cause. They also provide better linkages between the direct referral path and the standard referral path for the processing of consents.
Removal of Minister of Conservation’s final decision-making power
By repealing section 28(c) and sections 118 to 119 of the principal Act, clauses 20 and 83 would remove the Minister of Conservation’s power to make decisions on recommendations by the Environment Court in respect of applications for restricted coastal activities (commonly referred to as the “ministerial veto”). It would, however, retain the Minister’s power to grant coastal permits under section 31A of the principal Act (for offshore islands where the Minister is acting as either the regional council or the territorial authority).
We recommend amending clause 20 to remove the reference to the Minister of Conservation’s power to grant coastal permits under section 31A to ensure that the Minister of Conservation’s function in relation to monitoring the effect and implementation of New Zealand coastal policy statements and coastal permits is not limited to only those coastal permits granted by the Minister of Conservation under section 31A but to all coastal permits for restricted coastal activities. We consider it is appropriate for regional councils to be responsible as the consent authority for those coastal permits that were previously issued by the Minister of Conservation under repealed section 119. This is now clarified in amended section 119A (clause 83A).
The bill’s provisions for decision-making on coastal permits for restricted coastal activities limit the Minister of Conservation’s role to a monitoring one in respect of restricted coastal activities. We recommend inserting new section 28A into the principal Act to require regional councils to provide information to the Minister of Conservation in relation to any coastal permits issued, and to clarify requirements for the Minister to request such information and for the regional council to respond. This would ensure consistency with the Minister for the Environment’s powers to request information and the obligation on councils to supply it within time-frames and without charge as set out in existing section 28 of the Act.
The effect of clause 20 and related clauses (particularly clause 82) would be that the final decision-making power on coastal permits for restricted coastal activities would lie with the regional council (through a committee including a ministerial appointment, however) or the Environment Court through call-in, direct referral, or on appeal, or a board of inquiry through call-in.
Many submitters opposed the removal of the “ministerial veto” on the basis that the Minister of Conservation plays an important role in representing public interests in the coastal environment and is effectively exercising “landowner” interests on behalf of the public. Some submitters feared that removal of this power would prejudice any future iwi or hapū rights to protect the seabed and foreshore, and others feared that regional councils would fail to protect the interests of the community in making decisions on coastal matters, or have conflicts of interest. There was also concern expressed that councils do not share the Crown’s obligation to acknowledge or accommodate present or future Treaty of Waitangi claims.
We are advised that the Minister of Conservation retains adequate powers under the principal Act including powers to express the national interest and to safeguard the sensitive coastal marine environment. Planning instruments include preparing and recommending the New Zealand coastal policy statement to restrict certain coastal activities, and approving the content of and directing the review of regional coastal plans. The regional council must also delegate decision-making powers in relation to the hearing and deciding of applications for restricted coastal activities to at least one representative appointed by the Minister of Conservation. The Minister of Conservation retains power to impose controls on recognised customary activities, control the tender of certain extraction rights within the coastal marine area, influence the way space is allocated in the coastal marine area, and appeal local authority decisions to the Environment Court.
We note that the Minister of Conservation’s functions, duties, and powers under the Foreshore and Seabed Act 2004 would remain unaltered by the bill, and we have been assured that the changes proposed to the Minister of Conservation’s powers under clauses 20, 82, 83, and 83A would not affect the implementation of existing settlement redress agreements. However, some of us are not confident that the Minister of Conservation’s new role would adequately represent the interests of the Crown in the seabed and foreshore.
In relation to the treaty obligations placed on local authorities, we note that the principal Act requires regional councils when making decisions or carrying out functions under the Act to take the principles of the Treaty of Waitangi into account, and that other provisions in the Act give effect to this requirement. Should the Minister of Conservation consider that Māori interests were not being given sufficient weight in respect of decisions in the coastal environment, the Minister would still have the power to provide stronger direction in the form of specific, directive policies in the New Zealand coastal policy statement.
In summary, we consider it preferable for national policy direction and expression to be provided through policy instruments—particularly the New Zealand coastal policy statement, which establishes clear national interests for all activities in all regional coastal plans. We consider that more consistent outcomes would be achieved by relying on national policy instruments than by trying to determine the national interest in an ad-hoc response to individual consent applications, where the Minister’s decision-making discretion is narrow.
We are concerned that there appear to be inconsistencies in the way issues of public ownership and representation are dealt with in the coastal marine area, compared with non-coastal land, and believe these matters warrant further analysis. We consider that a review of the appropriate role for the Minister of Conservation in the coastal marine area should be undertaken in the second phase of reforming the RMA.
Delegation of powers and functions to employees and other persons
We recommend deleting clause 22(2) of the bill. This provision seeks to prevent local authorities from delegating their decision-making powers on requirements for a designation, and is a consequential change arising from the transfer of the decision-making role on notices of requirement given under section 168 of the principal Act from requiring authorities to territorial authorities. We recommend that provisions providing for the transfer of the decision-making role not proceed, and therefore that this subclause not proceed.
Hearing by commissioner if requested by applicant or submitter
Clause 73 inserts new section 100A into the principal Act to allow an applicant, or a submitter to a notified resource consent application or a notice of requirement, to request that a consent application or requirement be heard (and decided or recommended upon) by at least one hearings commissioner who is not a member of the local authority or one or more persons permitted by section 34A, including one independent commissioner.
We consider that the presence of one independent commissioner where a hearing panel consisted of three or more might not provide the necessary independence, or relevant expertise and experience as they may be in the minority.
We recommend replacing proposed section 100A(3), which refers to the delegation of the local authority’s functions and duties to one independent commissioner, with a new 100A(3) that requires a local authority to delegate functions, powers, and duties to one or more commissioners who are not members of the local authority. We also recommend amending section 100A to provide that a request for independent commissioners can be made any time up until five working days after the closing date for submissions.
We note that there is also provision in the bill for local authorities to recover costs from appellants or submitters who requested independent commissioners for the additional costs of the application or requirement being heard and decided, or recommended on, in accordance with the administrative charges provisions (in clause 24 as amended).
Notice of requirement by territorial authority
We recommend amending clauses 108(2) and 109(1) to remove references applying the direct referral process located in Part 6 of the principal Act (which is concerned with resource consent applications) to notices of requirement for designations under section 168(1) or (2) or section 168A(1). These references are unnecessary if the bill is amended, as we recommend, to make specific and direct provision in Part 8 for direct referral of notices of requirement (new clause 122B).
We also recommend amending the title of clause 108 to refer to a “territorial authority”, rather than “local authority”, for accuracy.
We consider that the bill should provide expressly that trade competition and the effects of trade competition are not relevant to decisions on requirements issued under section 168A of the principal Act, which mirrors the bill’s provision in relation to recommendations on requirements under section 168, and recommend that clause 108 be amended accordingly.
We note that some submitters are concerned generally about the policy underlying the powers in clauses 108 and 109, which would give territorial authorities discretion in relation to notification of notices of requirement for designations, and the process for direct referral. We do not accept that mandatory notification of notices of requirement should be retained. Providing for non-notification as appropriate would streamline and simplify processes, reducing unnecessary procedures and documentation. We note that designations tend to involve proposals attracting a high level of public interest, which means that notification decisions will have to be robust and well explained.
We consider there will be a need for the Ministry for the Environment to provide comprehensive guidance to practitioners to reduce costs and delays associated with documenting the notification decisions. We also consider that the powers of requiring authorities should be reviewed in the second phase of the reform of the principal Act.
Recommendation by territorial authority
Clause 110 of the bill proposes that the decision-making authority for notices of requirement under section 168 be transferred from the requiring authority to the territorial authority to whom notice of the requirement was given.
We have some concerns about the practicality of transferring the decision-making power on notices of requirement for designations in the absence of a wider review of the way in which major infrastructure projects are managed. We also note that there is potential for increased costs and inefficiencies resulting from network operators having to comply with diverse and potentially conflicting territorial requirements. We consider there would be a risk that more time and money could be taken up in the Environment Court as requiring authorities appealed decisions or particularly onerous conditions in order to safeguard the viability of their operations.
On balance, we consider that potential difficulties and risks of the proposal would be better addressed as an integrated infrastructure package in phase two of the RMA reforms, which is to include a review of the role of designations and to examine other ways of planning for and managing the effects on network infrastructure.
We recommend deleting clauses 110(1), (3), (4), (5), and (6) and deferring consideration of changes to the decision-maker role in the designations process to phase two. We also recommend merging the provisions of clause 110(2) with the existing section 171 to preserve the prohibition against territorial authorities having regard to trade competition or its effects when considering a requirement and any submissions received. We similarly recommend extending this prohibition to existing section 168A to ensure that it would apply to consideration of a territorial authority’s own notices of requirement.
We recommend deleting clauses 111, 112, and 113 as a consequence of our recommendation to delete those parts of clause 110 concerned with the decision-maker role, and consequential amendments to Schedule 1 of the principal Act.
Designation to be provided for in district plan
Clause 114 would amend section 175 of the principal Act, which states when a territorial authority must include a designation and (by cross-reference) a heritage order in its plan once the requirement has been confirmed or modified.
The changes to section 175 put forward by clause 114 are linked to the changes proposed under clause 110 (giving territorial authorities the decision-making role in respect of notices of requirement) and also the provisions providing for call-in of requirements. Because we have recommended that clause 110 not proceed, clause 114 should be amended to recognise that the decision-making power would remain with the requiring authority.
We also recommend amending clause 114 to change the consequences of a designation or heritage order being granted by a board of inquiry following call-in. Under the bill as introduced, while a decision of the board was under appeal the territorial authority was not required to include the designation or heritage order in the plan, but the bill was silent regarding decisions by the Environment Court either on direct referral or following call-in. We consider that designations and heritage orders granted by a board of inquiry or the Environment Court should be included in the plan with immediate effect, without any need to await the outcome of appeals. This is different from the situation regarding designations and heritage orders resulting from recommendations or decisions of territorial authorities, as such decisions are subject to appeal de novo, and not just on points of law.
Outline plan
Clause 116 would amend section 176A of the principal Act so that a territorial authority could require (rather than request) a requiring authority to change an outline plan that had been submitted to the territorial authority. Clause 116(2) would allow the requiring authority to appeal a territorial authority’s decision on an outline plan to the Environment Court.
We recommend that clause 116 be deleted from the bill because we consider that it could lead to an increase in appeals and thus delay projects.
Interim effect
As a result of the availability of direct referral and call-in via the EPA for requirements for designations, and changes to the provisions governing notification of requirements, the provisions relating to the interim effect of requirements for designations and heritage orders have been reviewed and redrafted (clauses 117A and 122 respectively).
Notice of requirement by territorial authority
Clause 118 seeks to amend section 189A of the principal Act to clarify that it applies to requirements initiated under section 189A, not section 189, and to update cross-references to the criteria to be applied in making decisions on notification.
Clause 119 would replace section 190(2) of the principal Act to allow a territorial authority to decide whether a notice of requirement from a heritage protection authority (other than the territorial authority itself) should be notified, instead of notification being mandatory, as it is in the principal Act.
We recommend substituting section 190 through new clause 119A to set out the requirements on territorial authorities for further information, notification, submissions, and hearing. Section 96 of the bill, which is to be amended through clause 72, cannot be applied in its amended form to the processing of requirements under section 189 of the principal Act, because the restrictions it contains on submissions relating to trade competition are not applicable to requirements for heritage orders.
Requirements for alterations to heritage orders
In the principal Act requirements for alterations to heritage orders are provided for in section 192(f). Section 192(f) applies section 181, which relates to requirements for designations. Section 181 in turn applies other provisions of the Act applying to requirements for original designations. We consider that the process for alterations to heritage orders would be easier to understand if requirements for such alterations were dealt with in a new, stand-alone section, and recommend inserting new clause 122A (proposed new section 195A) to achieve this.
Amendments to Schedule 1 of the principal Act
Clause 148 seeks to amend the process for decision-making as set out in Schedule 1 of the principal Act. Subclauses (10), (11), (14), and (16) to (19) set out new processes and requirements associated with the transfer of responsibility for making the final decisions on designations and heritage orders from the requiring authority (or heritage protection authority) to the local authority.
We recommend deleting subclauses (10), (11), (14), (16), (18), and (19), and amending subclause (17), as a consequence of recommending that these responsibilities under clauses 110 and 120 of the bill not be transferred. We reiterate our view that any changes to designation processes would benefit from further analysis in the wider context of a review of the way the RMA manages infrastructure as a whole.
Matters referred directly to Environment Court
Clause 155 would require any resource consent or notice of requirement that was lodged and accepted before the day after the date of Royal assent (clause 2(3) of this bill) to be determined in accordance with the principal Act prior to the amendment.
We recommend deleting clause 155, as it is a transitional clause that duplicates clauses elsewhere.
Green Party minority view
The Green Party supports the aim of simplifying and streamlining the RMA so long as that can be achieved without compromising its fundamental purpose of protecting the environment, and the rights of people and communities to have input to planning decisions. We note that this bill adds many pages to the original bill and do not believe it will achieve its purpose of simplifying planning law. In some cases the amendments make it more complex, and as introduced it created considerable uncertainty with new wording that had not been tested by case law. We are glad that the select committee’s work has reduced those instances.
In particular we believe the bill has been improved by the deletion of many of the proposed changes to the plan making process. These included changes to restrict plan appeals that were labelled “a fundamental right to justice” by Ministry of Justice officials, and the removal of the non-complying activity category that fills an important niche for activities that are undesirable but inappropriate for complete prohibition. Public submissions on these matters were overwhelming and persuasive, and we are pleased that they have been removed. However, we have some specific concerns that remain, despite, in most cases, vast public objection in submissions.
Security for costs
While experienced RMA parties know that the courts have rarely awarded security for costs against bona fide community groups, we are concerned that applicants may, as they have in the past, use the threat of this provision to deter submitters from taking part in the process at all. That is why Parliament removed that provision from the bill in 2003.
The court already has power to strike out appeals that are frivolous, vexatious, or without merit and we believe that appeals which do not fall at these hurdles should be allowed to proceed without further hindrance to the democratic process.
This bill goes much further than the pre-2003 provision, which allowed security for costs to be awarded only for appeals. With the new provisions for direct referral to the Environment Court, appellants do not even get a hearing at the council level before they face this barrier at the first hearing.
Clause 131—joining appeals, section 274
The Green Party opposes clause 131 and believes focus on excluding trade competitors will also exclude genuine community groups. The ability to join appeals brought by other participants has been a valuable safeguard of democracy for parties who are voluntary and unresourced, not focused full-time on RMA matters, who may not hear of an appeal deadline in time to participate.
We are not convinced that the Attorney-General will necessarily be proactive enough to defend the public interest if community groups are excluded.
Discounts for late consent processing (clause 25)
A mandatory discount is to be set for late consent processing that is the fault of the council. Regulations are to be made to determine how fault is to be assessed, and to set dispute resolution procedures. We are concerned that a contestable process for determining fault and dispute resolution processes will take up valuable time for the council and the applicant that would be better spent getting on with the job. Parliament is unable to assess the workability of the regulations as we will not see them. In general, we prefer such matters to be dealt with in primary legislation.
Tree protection rules
The Green Party shares the desire to reduce the cost and time delays of 4,000 consent applications for tree work, but believes the blanket protection provision could be streamlined to allow trimming as a permitted activity, except for trees specifically scheduled. Applications for tree removal, other than for specifically scheduled trees, could be made on site by delegated authority.
We are concerned that it is those urban areas undergoing the most rapid densification where trees are most valued by the community and are most at risk from new development.
This legislation replaces the cost and complexity of many resource consent applications with the cost and complexity of individually identifying and scheduling all important trees. There is no doubt, in our view, that valued urban trees will be lost under this amendment.
Public notification restricted
The amendments to sections 93 and 94 are less complex than in the bill as introduced, and their effect may be little different from the status quo, but once again the changed wording creates uncertainty. It is hard to discern the real purpose of the changes—whether it is, as the heading in the commentary states, to restrict public notification, or, as the Minister told us in the committee, to give councils discretion to use their judgement so that they have to spend less time writing a long report to justify their decision. The Minister explicitly told us his purpose is not to see fewer applications notified.
We note that there have been some very poor council judgements on notification in the past, and that these can be challenged only by judicial review as successive Governments have not brought into force section 115(3) of the Resource Management Amendment Act 2005 that would allow appeals on notification decisions to the Environment Court. To further restrict grounds for judicial review, which happens rarely anyway, is to impose even less discipline on councils’ notification decisions and encourages councils to err further towards not notifying.
Minister of Conservation’s power in the coastal marine area
The Minister of Conservation’s role in decisions on restricted coastal activities is that of the landowner, on behalf of the public. Restricted coastal activities are major works in public space for private benefit and it is appropriate that the Minister exercise this role. We agree that the end of the hearings process is not the best place to do it, and welcome the suggestion that the role of the Minister in relation to coastal consents be reviewed in phase two of the reforms, but believe it would have been appropriate to leave this provision unamended until decisions had been made on the wider issues, not least of which is the review of the Foreshore and Seabed Act 2004 and the role of Māori customary title in the coastal marine area.
Requiring authorities
One matter where we welcomed the bill as introduced was the removal of the consenting powers of requiring authorities. These powers were designed for public authorities, that is, the Crown, for projects of public good, and include the power to take land (with compensation). These days, requiring authorities are increasingly private organisations acting in their private, for-profit interests and we believe it is not appropriate for them to have such sweeping powers. We are disappointed the committee has chosen to remove this provision. We note that this will form part of the phase two considerations, as giving this role to an Environmental Protection Authority could address concerns that a public authority is required, while ensuring national consistency and avoiding council-vested interest.
Conclusion
The bill is much improved as it leaves select committee and many of our most serious criticisms have been addressed. However, the issues outlined above, our lack of confidence that the bill will make the consenting process any easier or faster, and our belief that many of its components will weaken New Zealand’s environmental protection laws and restrict the community’s participation in their own places and use of their own natural resources, lead to our decision to continue to oppose the bill.
Appendix A
Committee process
The Resource Management (Simplifying and Streamlining) Amendment Bill was referred to us on 19 February 2009. The closing date for submissions was 3 April 2009. We received and considered 840 submissions from interested groups and individuals. We heard 339 submissions, which included holding hearings in Auckland and Christchurch.
We received advice from the Ministry for the Environment.
Committee membership
Chris Auchinvole (Chairperson)
Dr Cam Calder (from 24 June 2009)
Hon Steve Chadwick (until 6 May 2009)
David Garrett
Hon George Hawkins (from 6 May 2009)
Hon Shane Jones
Rahui Katene
Nikki Kaye
Sue Kedgley
Hon Nanaia Mahuta (until 6 May 2009)
Phil Twyford (from 6 May 2009)
Louise Upston
Nicky Wagner
Jonathan Young (until 24 June 2009)
Dr Russel Norman and Jeanette Fitzsimons replaced Sue Kedgley for this item of business.
Appendix B