Biosecurity (National American Foulbrood Pest Management Plan) Order 1998

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Reprint
as at 18 September 2012

Coat of Arms of New Zealand

Biosecurity (National American Foulbrood Pest Management Plan) Order 1998

(SR 1998/260)

Michael Hardie Boys, Governor-General

Order in Council

At Wellington this 7th day of September 1998

Present:
The Right Hon Jenny Shipley presiding in Council

  • Order name: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).


Note

Changes authorised by section 17C of the Acts and Regulations Publication Act 1989 have been made in this reprint.

A general outline of these changes is set out in the notes at the end of this reprint, together with other explanatory material about this reprint.

This order is administered by the Ministry for Primary Industries.


Pursuant to section 68 of the Biosecurity Act 1993, His Excellency the Governor-General, acting by and with the advice and consent of the Executive Council, and on the recommendation of the Minister of Agriculture, makes the following order.

Contents

1 Title and commencement

2 Interpretation

Plan

3 National American Foulbrood Pest Management Plan

4 Pest

5 Objectives of plan

6 Management agency

7 Term of plan

8 Powers used to implement plan

9 Plan rules

General obligations

10 Obligation to supply information

11 Obligation to keep honey bees in moveable-frame hives

12 Exemption from obligation to keep honey bees in moveable-frame hives

13 Access to beehives

14 Restrictions on use of drugs

Notification of places as apiaries

15 Prohibition on keeping bees in place other than apiary

16 Transitional provision for notification of apiaries

17 Place may be notified as apiary

18 Seasonal apiaries

19 Allocation of identification code

20 Marking of apiaries

21 Removal of identification code

22 Use of marks similar to identification codes

23 Register of apiaries

24 Place ceasing to be apiary

25 Destruction of beehives posing risk

26 Notification of American foulbrood

27 Annual Disease Return

28 Obligation of beekeeper to destroy honey bees and materials

29 Prohibition on dealings with materials associated with American foulbrood

30 Exemptions for research, education, and training

31 Dealing with products from honey bee colony with American foulbrood

Inspection

32 Certificate of Inspection

33 Statement by person inspecting honey bee colonies

34 Obligation to notify beekeeper of American foulbrood case

35 Obligation to specify approved methods

Certificate of Inspection Exemption

36 Certificate of Inspection Exemption

37 Disease Elimination Conformity Agreement

38 Amendment of Disease Elimination Conformity Agreement by management agency

39 Review of Certificate of Inspection Exemption

Inspections and audits

40 Inspections and audits

Funding and compensation

41 Funding of plan

42 Compensation


Order

1 Title and commencement
  • (1) This order may be cited as the Biosecurity (National American Foulbrood Pest Management Plan) Order 1998.

    (2) This order comes into force on 1 October 1998.

    Clause 1(1): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

2 Interpretation
  • (1) In this order, unless the context otherwise requires,—

    Act means the Biosecurity Act 1993

    American foulbrood case means a honey bee colony displaying any of the clinical symptoms of American foulbrood

    apiary means a place to which clause 16 applies or a place notified as an apiary in accordance with clause 17

    appliance means any beehive, comb, extractor, or other object, that is being or has been used in connection with beekeeping

    authorised person means a person appointed under section 103(1)(b) of the Act for the purposes of the plan

    bee product means honey, honeydew honey, beeswax, venom propolis, pollen, or royal jelly; and includes any other product collected by honey bees, derived from honey bees, or derived from a bee product

    beehive means a thing constructed for the keeping of honey bees and that is being used or has been used for that purpose; but does not include an introduction cage or a mailing cage

    beekeeper means a person who owns beehives

    Certificate of Inspection Exemption means an exemption granted under clause 36

    Disease Elimination Conformity Agreement means the document signed in accordance with clause 37

    honey means the fluid, viscous, or crystallised substance produced by honey bees from the nectar of blossoms or from secretions of, or on, living parts of plants other than blossoms, which honey bees collect, transform, or combine with substances of their own, and store in combs

    honey bee means Apis mellifera; and includes its eggs, larvae, pupae, and semen

    honey bee colony means a group of honey bees living in a beehive; but does not include a queen honey bee and attendant worker honey bees for the time being held in a mailing cage or an introduction cage

    identification code means the code given to or used by a beekeeper in accordance with clause 19

    introduction cage means a cage used for introducing a queen honey bee to a beehive

    mailing cage means a cage used for transporting a queen honey bee and attendant worker honey bees

    moveable-frame hive means a beehive containing frames in which the combs are built, and where the frames may be separately and easily removed from the beehive for examination without causing damage to the combs.

    (2) Unless the context otherwise requires, terms and expressions used in this order have the same meaning as in the Act.

    Clause 2(1) authorised person: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

Plan

  • Heading: replaced, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

3 National American Foulbrood Pest Management Plan
  • This order makes the National American Foulbrood Pest Management Plan.

    Clause 3 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 3: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

4 Pest
  • The organism Paenibacillus larvae larvae, also known as Bacillus larvae, the cause of the disease known as American foulbrood, is the pest to be managed in accordance with the plan.

    Clause 4: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

5 Objectives of plan
  • (1) The primary objective of the plan is to manage American foulbrood to reduce the reported incidence of American foulbrood,—

    • (a) during the 4 years beginning on 1 July 1999, by an average of 10% each year of the reported incidence of American foulbrood cases in the year beginning on 1 July 1999; and

    • (b) during the 5 years beginning on 1 July 2003, by an amount sufficient to ensure that the reported incidence of American foulbrood cases in the year beginning on 1 July 2007 is 0.1% or less.

    (2) The secondary objectives of the plan are—

    • (a) to locate all places where beehives are situated and ensure that each honey bee colony is inspected at least once each year for American foulbrood; and

    • (b) to identify American foulbrood cases in beehives; and

    • (c) to eliminate American foulbrood in beehives by destroying any American foulbrood cases and associated bee products, and destroying or sterilising associated appliances.

    (3) For the purposes of this clause, reported incidence means, for each period of the 12 months beginning on 1 July in any year, the number of American foulbrood cases expressed as a percentage of the total number of honey bee colonies notified to the management agency.

    Clause 5 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 5(1): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 5(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

6 Management agency
  • The management agency responsible for implementing the plan is the National Beekeepers' Association of New Zealand Incorporated.

    Clause 6: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

7 Term of plan
  • The plan remains in force until 30 September 2008.

    Clause 7 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 7: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

8 Powers used to implement plan
  • (1) The powers conferred on a management agency under sections 128, 135, and 136 of the Act may be exercised to implement the plan.

    (2) The powers conferred on an authorised person under sections 106, 109, 119, 121, 122, and 130 of the Act may be exercised to implement the plan.

    Clause 8 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 8(1): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 8(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

9 Plan rules
  • Clauses 10 to 40 contain the plan rules.

    Clause 9 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 9: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

General obligations

10 Obligation to supply information
  • (1) This clause applies to—

    • (a) beekeepers:

    • (b) persons who own or occupy land or have owned or occupied land on which a honey bee colony, bee product, or appliance is or has been located:

    • (c) persons who are or have been in charge of a honey bee colony, bee product, or appliance:

    • (d) persons who are or have been in charge of the keeping of honey bees:

    • (e) persons who are or have been in charge of a diagnostic laboratory.

    (2) An authorised person may require a person to whom this clause applies to provide information held by that person that the authorised person believes, on reasonable grounds, is necessary for the purpose of monitoring the presence, former presence, absence, or distribution of Paenibacillus larvae larvae or the honey bee.

    (3) A person required to provide information in accordance with this clause must provide that information within the time specified by the authorised person.

    (4) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 10(4): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

11 Obligation to keep honey bees in moveable-frame hives
  • (1) A person who keeps honey bees must keep those honey bees in moveable-frame hives.

    (2) A person who keeps honey bees and who has an exemption in accordance with clause 12 is exempt from the obligation in subclause (1) of this clause if those honey bees are kept in accordance with the exemption.

    (3) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 11(3): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

12 Exemption from obligation to keep honey bees in moveable-frame hives
  • (1) An authorised person may exempt a person from the obligation in clause 11(1) if that person has applied in writing for an exemption and the exemption is required for 1 or more of the following purposes:

    • (a) scientific research:

    • (b) rearing of queen honey bees:

    • (c) packages of honey bees for stocking beehives:

    • (d) public display.

    (2) The exemption must be given in writing and must specify the period of time for which the exemption applies and may specify conditions on which the exemption is granted.

13 Access to beehives
  • (1) Every person in charge of the keeping of honey bees must ensure the normal access to honey bees, bee products, and appliances is kept free from vegetation that would impede or prevent inspection.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 13(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

14 Restrictions on use of drugs
  • (1) No person may use any drug, substance, or mixture of substances in relation to apiaries, honey bees, appliances, or bee products that has the effect of masking, obscuring, or concealing symptoms of American foulbrood or increasing the difficulty of detecting the disease or Paenibacillus larvae larvae.

    (2) The provisions of subclause (1) do not apply where a drug is used in accordance with an approval granted under section 25(2) of the Apiaries Act 1969, or with a standard or specification made under Part 4 of the Animal Products Act 1999 or a regulated control scheme made under Part 3 of that Act.

    (3) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 14(2): amended, on 1 November 1999, by section 8(2) of the Animal Products (Ancillary and Transitional Provisions) Act 1999 (1999 No 94).

    Clause 14(3): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

Notification of places as apiaries

15 Prohibition on keeping bees in place other than apiary
  • (1) No beekeeper may permit beehives owned by that beekeeper to be situated in a place for more than 30 consecutive days unless—

    • (b) that place has been notified as an apiary, in accordance with clause 17, by that beekeeper.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 15(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

16 Transitional provision for notification of apiaries
  • (1) A beekeeper is not obliged to notify the management agency of a place as an apiary if—

    • (a) that place was registered as an apiary under the Apiaries Act 1969; and

    • (b) that beekeeper was the person who registered the apiary under the Apiaries Act 1969 or the person who had notified the Registrar of his or her occupancy under section 6(2) of the Apiaries Act 1969; and

    • (c) that beekeeper owned the beehives in that apiary on 1 October 1998 and continues to own those beehives; and

    • (d) where there is more than 1 beehive in that apiary, each beehive owned by the beekeeper is situated 200 metres or less from another beehive owned by the same beekeeper.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 16(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

17 Place may be notified as apiary
  • (1) A place may be notified as an apiary by a beekeeper if—

    • (a) 1 beehive or a group of beehives owned by the beekeeper is situated in that place; and

    • (b) in the case of a group of beehives, each beehive within that group is situated 200 metres or less from another beehive owned by the same beekeeper.

    (2) Where the beehives in a place are owned by more than 1 beekeeper, that place must be notified as a separate apiary by each beekeeper.

    (3) The notification of an apiary must be in writing and must include the full name and address of the beekeeper and the number of honey bee colonies in the apiary, the name and initial of the occupier of the place where the apiary is situated, the road name (if any) and address of the place where the apiary is situated, and a written description of the location of the apiary, including a Land Information New Zealand Topographic Map 260 Series grid reference.

    (4) The notification must state whether the beehives are situated in the apiary for all of the calendar year or for specified months of the calendar year.

18 Seasonal apiaries
  • (1) A place notified to the management agency as an apiary where the beehives are situated for specified months of the calendar year is a seasonal apiary.

    (2) Despite anything to the contrary in this order, a seasonal apiary continues to be an apiary as long as beehives owned by the beekeeper who notified the place to the management agency as an apiary are situated in that place for more than 30 consecutive days in any year beginning on 1 July.

19 Allocation of identification code
  • (1) When a beekeeper first notifies a place to the management agency as an apiary, the management agency must give that beekeeper written notice of a code to be used as an identification code for that beekeeper.

    (2) Where a code number was allocated to a beekeeper under section 5 of the Apiaries Act 1969, the beekeeper may continue to use that code.

20 Marking of apiaries
  • (1) Where the beekeeper does not have an identification code at the time that beekeeper notifies a place to the management agency as an apiary, the beekeeper must, within 30 days of the receipt of that identification code, mark the identification code on the outside of a beehive within that apiary or on a sign within that apiary.

    (2) Unless subclause (1) applies, a beekeeper must mark the beekeeper's identification code on the outside of a beehive within each apiary or on a sign within each apiary, where the beehives are owned by that beekeeper,—

    • (a) within 7 days of the date that apiary is notified to the management agency; or

    • (b) on or before 31 October 1998, if clause 16(1) applies.

    (3) The identification code must be marked on the beehive or the sign in such a manner that a person may, at any time, readily locate and read the identification code for that apiary.

    (4) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 20(4): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

21 Removal of identification code
  • (1) Unless subclause (2) applies, no person other than the beekeeper may, without the written permission of the management agency, remove the beekeeper's identification code marked on a beehive or in an apiary or alter it in such a way that the identification code no longer clearly applies to that beehive or apiary.

    (2) Where a beekeeper transfers the ownership of a beehive marked with identification codes, the beekeeper must—

    • (a) remove all the identification codes or alter all the identification codes in such as way as to make it clear that identification codes no longer apply to that beehive; and

    • (b) notify the management agency of—

      • (i) the name and address of the transferee; and

      • (ii) the alteration or removal of the identification codes.

    (3) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 21(3): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

22 Use of marks similar to identification codes
  • (1) No person may knowingly mark a beehive or an apiary or knowingly use a mark on a beehive or in an apiary where—

    • (a) that mark is likely to be mistaken for, or confused with, an identification code; or

    • (b) that mark is an identification code, and that identification code was not allocated to the person marking or using the code.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 22(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

23 Register of apiaries
  • (1) The management agency must keep a register of all apiaries notified to the management agency or registered under the Apiaries Act 1969, and may from time to time amend or delete any entry in the register.

    (2) The register must include all the information supplied to the management agency in accordance with clause 17 and all other relevant information supplied to the management agency or to an authorised person in accordance with the plan rules.

    Clause 23(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

24 Place ceasing to be apiary
  • (1) Unless that place is a seasonal apiary, a place notified to the management agency as an apiary ceases to be an apiary if no beehives owned by the beekeeper who notified that apiary are situated in that place.

    (2) Where an apiary has been notified to the management agency as a seasonal apiary, that place ceases to be an apiary if no beehives owned by the beekeeper who notified that apiary have been situated in that place for more than 30 consecutive days in any year beginning on 1 July.

    (3) When a place ceases to be an apiary, the beekeeper must notify the management agency in writing within 30 days.

    (4) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 24(4): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

25 Destruction of beehives posing risk
  • (1) Where—

    • (a) 1 or more beehives have been situated for more than 30 consecutive days in a place that has not been notified to the management agency as an apiary; and

    • (b) the provisions of clause 16 do not apply; and

    • (c) an authorised person has complied with subclause (2); and

    • (d) the beekeeper has not notified the management agency of that place as an apiary before the expiry of the time limits in subclause (2)(b) or (c), whichever is the later,—

    an authorised person may destroy the beehives and all honey bees, bee products, and appliances associated with those beehives.

    (2) Before action is taken under subclause (1), an authorised person must make reasonable attempts to find the owner of the beehives by—

    • (a) making inquiries, including inquiries of the occupier of the place where the beehives are situated; and

    • (b) fixing 1 weatherproof notice to one of the beehives instructing the owner to notify the management agency of that place as an apiary within 30 days of the date of the notice; and

    • (c) publishing a notice in a daily newspaper circulating in the place where the beehives are situated and a notice in the official journal of the management agency; and each notice must include the location of the beehives and an instruction to the owner of the beehives to notify the management agency of that place as an apiary within 30 days of the date of the last publication of that notice.

26 Notification of American foulbrood
  • (1) Where an American foulbrood case is discovered in a beehive, the person in charge of the keeping of the honey bees must, within 7 days of becoming aware of the case, notify the management agency and the beekeeper, in writing, of the American foulbrood case.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 26(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

27 Annual Disease Return
  • (1) On or before 1 June in each year, every beekeeper must, for all beehives owned by that beekeeper, complete and send to the management agency an Annual Disease Return.

    (2) An Annual Disease Return must be in the form provided by or obtained from the management agency and must contain—

    • (a) the number of honey bee colonies in beehives owned by that beekeeper; and

    • (b) the location of each beehive where an American foulbrood case was found and the dates on which those cases were discovered; and

    • (c) the dates on which the ownership of any beehives was transferred to or from the beekeeper and, in each case, the number of beehives transferred and the name and address of the transferee and transferor; and

    • (d) any change to the information supplied to the management agency in accordance with clause 17.

    (3) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 27(3): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

28 Obligation of beekeeper to destroy honey bees and materials
  • (1) Where an American foulbrood case is discovered in a beehive, the beekeeper who owns that beehive must, within 7 days of becoming aware of that case, destroy by burning all honey bees, bee products, and appliances associated with that honey bee colony unless directed otherwise by an authorised person.

    (2) The provisions of this clause do not apply to—

    • (a) a beekeeper who is acting in accordance with the relevant provision of a Disease Elimination Conformity Agreement between the beekeeper and the management agency; or

    • (b) a person acting in accordance with a permission, regulation, or authorisation provided for in sections 52 or 53 of the Act; or

    • (c) a person acting in accordance with an exemption given under clause 30.

29 Prohibition on dealings with materials associated with American foulbrood
  • (1) No person who suspects or knows that a honey bee colony is or was displaying any of the clinical symptoms of American foulbrood may use or expose—

    • (a) a bee product associated with that honey bee colony; or

    • (b) an appliance associated with that honey bee colony, other than an appliance sterilised by a method approved by the management agency,—

    in a manner that allows honey bees access to that product or appliance.

    (2) The method approved by the management agency must be a method generally recognised by the scientific community as effective in sterilising appliances contaminated with American foulbrood.

    (3) The provisions of this clause do not apply to a person referred to in clause 28(2).

    (4) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 29(4): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

30 Exemptions for research, education, and training
  • (1) The management agency may, by notice in writing, exempt any person from the obligations in clause 28, the prohibition in clause 29, or the prohibition in clause 31, for the purpose of research, education, or training relating to American foulbrood or Paenibacillus larvae larvae for such a time not exceeding 12 months and on such conditions as the management agency thinks fit.

    (2) The management agency may grant an exemption only if, in the opinion of the management agency, the exemption will not allow the exposure or spread of American foulbrood or Paenibacillus larvae larvae beyond the area specified in the exemption.

    (3) The management agency may at any time withdraw or amend the exemption—

    • (a) if the management agency is satisfied on reasonable grounds—

      • (i) that the conditions on which the exemption was granted have been breached; or

      • (ii) that the exemption is resulting, is likely to result, or has resulted in the exposure or spread of American foulbrood or Paenibacillus larvae larvae beyond the area specified in the exemption; or

    • (b) at the request of the holder of the exemption.

    (4) American foulbrood may be communicated, released, or spread for the purposes of section 52(a) of the Act in the circumstances set out in an exemption given under this clause.

31 Dealing with products from honey bee colony with American foulbrood
  • (1) No person may transfer ownership or possession to any other person, or remove from the place where they are situated, any honey bees, bee products, or appliances associated with any honey bee colony where that person knows or suspects that the honey bee colony is or was displaying any of the clinical symptoms of American foulbrood.

    (2) A person is exempt from the prohibition in subclause (1) if that person—

    • (b) is acting in accordance with the written consent of an authorised person.

    (3) An authorised person may grant consent only if, in the opinion of that authorised person, there is unlikely to be any significant risk of exposure or spread of American foulbrood to any beehives or honey bee colonies caused by the actions authorised by the consent.

    (4) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 31(4): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

Inspection

32 Certificate of Inspection
  • (1) Every beekeeper must ensure that every honey bee colony in every beehive owned by that beekeeper is inspected for American foulbrood cases by an authorised person on or after 1 August and on or before 30 November each year commencing in 1999.

    (2) The inspection specified in subclause (1) may, if the beekeeper agrees, be carried out by a person named as a person responsible for disease management in a Disease Elimination Conformity Agreement between any other beekeeper and the management agency.

    (3) Within 14 days after the inspection is completed or before 15 December of each year, whichever is the earlier, every beekeeper must complete a Certificate of Inspection in a form provided by or obtained from the management agency and forward to the management agency the Certificate of Inspection together with the statement made in accordance with clause 33.

    (4) The obligations in subclauses (1) and (3) do not apply to a beekeeper who holds a Certificate of Inspection Exemption from the management agency.

    (5) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 32(5): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

33 Statement by person inspecting honey bee colonies
  • (1) Every authorised person, or person referred to in clause 32(2), who carries out an inspection under clause 32 must complete and sign a statement confirming—

    • (a) that the inspection of the honey bee colonies was carried out by that person; and

    • (b) the location (including the road name, if any, and the address of the place) of the honey bee colonies inspected; and

    • (c) the number of honey bee colonies inspected in each place; and

    • (d) the name and initial of the occupier of the place where the honey bee colonies are situated; and

    • (e) the date of the inspection; and

    • (f) the location and number of American foulbrood cases (if any) and the dates on which those cases (if any) were found; and

    • (g) a record of the actions taken (if any) by the person inspecting, in respect of each American foulbrood case found.

    (2) A breach of this rule is an offence under section 154N(18) of the Act.

    Clause 33(2): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

34 Obligation to notify beekeeper of American foulbrood case
  • Where an authorised person, or person referred to in clause 32(2), discovers an American foulbrood case during any inspection carried out under this plan, the person who found that case must notify in writing the beekeeper who owns the beehive in which that case was found of the case.

    Clause 34: amended, on 18 September 2012, pursuant to section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

35 Obligation to specify approved methods
  • (1) The management agency must approve the methods by which an inspection under clause 32 must be carried out.

    (2) The methods approved by the management agency must be methods generally recognised by the scientific community as effective in the detection of American foulbrood.

Certificate of Inspection Exemption

36 Certificate of Inspection Exemption
  • (1) The management agency must, from time to time, notify beekeepers of the opportunity to obtain a Certificate of Inspection Exemption.

    (2) The management agency must grant a Certificate of Inspection Exemption to any beekeeper in relation to beehives owned by that beekeeper if that beekeeper enters into a Disease Elimination Conformity Agreement with the management agency.

    (3) The management agency must, by notice in writing to the beekeeper, revoke a Certificate of Inspection Exemption if requested, in writing, at any time, by the beekeeper to do so, and the Disease Elimination Conformity Agreement is cancelled at the time of the revocation.

37 Disease Elimination Conformity Agreement
  • (1) A beekeeper and the management agency may at any time enter into, or amend, a Disease Elimination Conformity Agreement if—

    • (a) the beekeeper agrees to implement the agreement by ensuring that the persons named in the agreement as the persons responsible for disease management supervise or carry out the procedures and practices specified in that agreement; and

    • (b) the management agency is satisfied—

      • (i) that the practices and procedures set out in the agreement are, if carried out, sufficient to reduce or maintain at zero the overall annual rate of American foulbrood cases in beehives owned by the beekeeper; and

      • (ii) the beekeeper is likely to implement the practices and procedures set out in the agreement; and

      • (iii) the persons named in the agreement as responsible for disease management are sufficiently familiar with and are suitable persons to supervise or carry out the practices and procedures specified in the agreement.

    (2) The Disease Elimination Conformity Agreement must specify—

    • (a) the methods to be used for the inspection of honey bee colonies for American foulbrood; and

    • (b) the number of inspections to be carried out each year; and

    • (c) the times during the year when the inspections will be carried out; and

    • (d) the systems to be used to record the time of inspections, the results of inspections, and the actions taken in respect of American foulbrood cases and associated bee products and appliances; and

    • (e) the systems to be used to record movements of appliances and bee products in and out of an apiary; and

    • (f) the methods to be used to destroy American foulbrood cases and associated appliances and bee products, including, where necessary, the movement of such cases, appliances, and bee products; and

    • (g) the methods to be used to sterilise appliances salvaged in relation to any American foulbrood case; and

    • (h) the methods to be used to sterilise and disinfect appliances used in inspecting honey bee colonies for American foulbrood; and

    • (i) the name of the natural persons who are—

      • (i) responsible for disease management; and

      • (ii) responsible for liaising with the management agency in relation to the agreement.

    (3) The Disease Elimination Conformity Agreement must require the destruction of American foulbrood cases and associated bee products.

    (4) The methods specified by a Disease Elimination Conformity Agreement for inspection or sterilisation are not required to be methods approved under clause 29 or clause 35, but must be methods generally recognised by the scientific community as methods effective in detecting American foulbrood or in sterilising appliances contaminated with American foulbrood.

38 Amendment of Disease Elimination Conformity Agreement by management agency
  • (1) The management agency may, at any time and by written notice to a beekeeper given in accordance with subclause (2), amend a Disease Elimination Conformity Agreement if, following consultation with the beekeeper, the management agency is satisfied on reasonable grounds that the overall annual rate of American foulbrood cases in the beehives owned by the beekeeper is—

    • (a) not zero and is not decreasing; or

    • (b) not zero and is not likely to decrease unless the amendment is made.

    (2) If the management agency amends a Disease Elimination Conformity Agreement, it must give written notice to the beekeeper specifying the decision and the reasons for the decision.

39 Review of Certificate of Inspection Exemption
  • (1) The management agency must review each Certificate of Inspection Exemption annually and may at any time revoke it by written notice to a beekeeper given in accordance with subclause (2) if, following consultation with the beekeeper, the management agency is satisfied on reasonable grounds that—

    • (a) the beekeeper has breached the Disease Elimination Conformity Agreement; or

    • (b) the overall annual rate of American foulbrood cases is increasing in the beehives owned by that beekeeper.

    (2) If the management agency revokes a Certificate of Inspection Exemption, it must give written notice to the beekeeper specifying the decision and the reasons for the decision.

    (3) The Disease Elimination Conformity Agreement is cancelled at the time of the revocation.

Inspections and audits

40 Inspections and audits
  • (1) On or after 1 September each year and on or before 31 May of the following year, the management agency must—

    • (a) audit beekeepers' compliance with their obligations in accordance with the plan to complete and send to the management agency Annual Disease Returns, Certificates of Inspection, and notifications of American foulbrood cases; and

    • (b) audit the accuracy of the statements regarding American foulbrood made in Annual Disease Returns, Certificates of Inspection, and notifications of American foulbrood cases; and

    • (c) audit beekeepers' compliance with the provisions of clauses 28, 29, and 31 and the obligations in any applicable Disease Elimination Conformity Agreements, and

    • (d) carry out surveillance of beehives to detect American foulbrood cases; and

    • (e) carry out work, other than the work specified in paragraphs (a), (b), (c), or (d), to enable the management agency to measure the success of the plan in achieving its primary objective.

    (2) In carrying out the matters specified in subclause (1)(b) to (e), the management agency must ensure that a selection of honey bee colonies is inspected based on the results of the actions taken under subclause (3).

    (3) In carrying out the matters specified in subclause (1)(b) to (e), the management agency must—

    • (a) take samples for spore testing from honey bee colonies and beehives selected in a manner to be determined by the management agency; and

    • (b) carry out statistically significant sampling to verify the statements regarding American foulbrood made in Annual Disease Returns, Certificates of Inspection, and notifications of American foulbrood cases; and

    • (c) analyse the Annual Disease Returns, Certificates of Inspection, notifications of American foulbrood cases, and the results of the spore testing conducted under paragraph (a).

    Clause 40(1)(a): amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 40(1)(e): amended, on 18 September 2012, pursuant to section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

Funding and compensation

41 Funding of plan
  • The plan is to be funded by the National Beekeepers' Association of New Zealand Incorporated from the levy paid under the Biosecurity (American Foulbrood – Apiary and Beekeeper Levy) Order 2003.

    Clause 41 heading: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 41: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

    Clause 41: amended, on 20 November 2003, by clause 3 of the Biosecurity (National American Foulbrood Pest Management Strategy) Amendment Order 2003 (SR 2003/284).

42 Compensation
  • No compensation is payable by the management agency in respect of losses incurred as a direct result of the plan.

    Clause 42: amended, on 18 September 2012, by section 93 of the Biosecurity Law Reform Act 2012 (2012 No 73).

Marie Shroff,
Clerk of the Executive Council.


Issued under the authority of the Acts and Regulations Publication Act 1989.

Date of notification in Gazette: 10 September 1998.


Contents

  • 1General

  • 2Status of reprints

  • 3How reprints are prepared

  • 4Changes made under section 17C of the Acts and Regulations Publication Act 1989

  • 5List of amendments incorporated in this reprint (most recent first)


Notes
1 General
  • This is a reprint of the Biosecurity (National American Foulbrood Pest Management Plan) Order 1998. The reprint incorporates all the amendments to the order as at 18 September 2012, as specified in the list of amendments at the end of these notes.

    Relevant provisions of any amending enactments that contain transitional, savings, or application provisions that cannot be compiled in the reprint are also included, after the principal enactment, in chronological order. For more information, see http://www.pco.parliament.govt.nz/reprints/ .

2 Status of reprints
  • Under section 16D of the Acts and Regulations Publication Act 1989, reprints are presumed to correctly state, as at the date of the reprint, the law enacted by the principal enactment and by the amendments to that enactment. This presumption applies even though editorial changes authorised by section 17C of the Acts and Regulations Publication Act 1989 have been made in the reprint.

    This presumption may be rebutted by producing the official volumes of statutes or statutory regulations in which the principal enactment and its amendments are contained.

3 How reprints are prepared
  • A number of editorial conventions are followed in the preparation of reprints. For example, the enacting words are not included in Acts, and provisions that are repealed or revoked are omitted. For a detailed list of the editorial conventions, see http://www.pco.parliament.govt.nz/editorial-conventions/ or Part 8 of the Tables of New Zealand Acts and Ordinances and Statutory Regulations and Deemed Regulations in Force.

4 Changes made under section 17C of the Acts and Regulations Publication Act 1989
  • Section 17C of the Acts and Regulations Publication Act 1989 authorises the making of editorial changes in a reprint as set out in sections 17D and 17E of that Act so that, to the extent permitted, the format and style of the reprinted enactment is consistent with current legislative drafting practice. Changes that would alter the effect of the legislation are not permitted.

    A new format of legislation was introduced on 1 January 2000. Changes to legislative drafting style have also been made since 1997, and are ongoing. To the extent permitted by section 17C of the Acts and Regulations Publication Act 1989, all legislation reprinted after 1 January 2000 is in the new format for legislation and reflects current drafting practice at the time of the reprint.

    In outline, the editorial changes made in reprints under the authority of section 17C of the Acts and Regulations Publication Act 1989 are set out below, and they have been applied, where relevant, in the preparation of this reprint:

    • omission of unnecessary referential words (such as of this section and of this Act)

    • typeface and type size (Times Roman, generally in 11.5 point)

    • layout of provisions, including:

      • indentation

      • position of section headings (eg, the number and heading now appear above the section)

    • format of definitions (eg, the defined term now appears in bold type, without quotation marks)

    • format of dates (eg, a date formerly expressed as the 1st day of January 1999 is now expressed as 1 January 1999)

    • position of the date of assent (it now appears on the front page of each Act)

    • punctuation (eg, colons are not used after definitions)

    • Parts numbered with roman numerals are replaced with arabic numerals, and all cross-references are changed accordingly

    • case and appearance of letters and words, including:

      • format of headings (eg, headings where each word formerly appeared with an initial capital letter followed by small capital letters are amended so that the heading appears in bold, with only the first word (and any proper nouns) appearing with an initial capital letter)

      • small capital letters in section and subsection references are now capital letters

    • schedules are renumbered (eg, Schedule 1 replaces First Schedule), and all cross-references are changed accordingly

    • running heads (the information that appears at the top of each page)

    • format of two-column schedules of consequential amendments, and schedules of repeals (eg, they are rearranged into alphabetical order, rather than chronological).

5 List of amendments incorporated in this reprint (most recent first)