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Wagering Regulation 1999

Legislation · Queensland · 2024
View - Queensland Legislation - Queensland Government Skip to main content Site header Glossary --> About Site map Related links Contact us Help Search Toggle navigation Site navigation Home In force legislation Acts as passed SL as made Bills Repealed legislation Legislative tables Notifications Information Historical information Search Feedback Glossary --> About Site map Related links Contact us Help Table Of Contents Toggle navigation View whole SL Authorising Act Turn history notes on Legislative history Search SL PDF A Results: match 0 of 0 provisions Previous Hit Next Hit Return to search results 0 hits in page: First Last Wagering Regulation 1999 Wagering Regulation 1999 1 Short title This regulation may be cited as the Wagering Regulation 1999 . 2 Commencement This regulation commences on 1 July 1999. 3 Definitions In this regulation— 2 dividend race means a race— (a) where— (i) there are 5, 6 or 7 runners in the race at the time an authority operator is notified, by the race club conducting the race, of scratchings for the race; and (ii) at least 4 runners start in the race; or (b) where— (i) there are at least 8 runners in the race at the time an authority operator is notified, by the race club conducting the race, of scratchings for the race; and (ii) 4, 5 or 6 runners start in the race. s 3 def 2 dividend race ins 2012 SL No. 7 s 3 3 dividend race means a race where— (a) there are at least 8 runners in the race at the time an authority operator is notified, by the race club conducting the race, of scratchings for the race; and (b) at least 7 runners start in the race. s 3 def 3 dividend race ins 2012 SL No. 7 s 3 advanced evaluation means an evaluation of any of the following things relating to regulated wagering equipment— (a) communications protocols; (b) monitoring systems; (c) random number generators. s 3 def advanced evaluation ins 2002 SL No. 128 s 26 any 2 ... s 3 def any 2 ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 automated device means a device to transmit investments to the licence operator electronically. s 3 def automated device ins 2010 SL No. 198 s 18 basic evaluation means an evaluation of any of the following things relating to regulated wagering equipment— (a) artwork; (b) cabinet design; (c) documentation, including for example, operational manuals. s 3 def basic evaluation ins 2002 SL No. 128 s 26 casino licensee means a casino licensee under the Casino Control Act 1982 . casino operator means a casino operator under the Casino Control Act 1982 . closing time has the meaning given by section 15D . s 3 def closing time ins 2010 SL No. 198 s 18 commercial special facility licence means a commercial special facility licence under the Liquor Act 1992 . s 3 def commercial special facility licence ins 2008 SL No. 418 s 48 (2) commercial special facility premises means premises to which a commercial special facility licence relates. s 3 def commercial special facility premises ins 2008 SL No. 418 s 48 (2) competitor , for an event, means a person, team of persons, animal or object that the licence operator conducting wagering on the event expects to compete in the event. s 3 def competitor ins 2010 SL No. 198 s 18 credit ticket means a voucher for use in place of money to make an investment. s 3 def credit ticket ins 2010 SL No. 198 s 18 customer input system means a computer or other device and any software installed on the computer or device that— (a) is used by a wagering licensee for the conduct of wagering; and (b) requires a person who makes an investment to input information for the investment into the computer or device. s 3 def customer input system ins 2010 SL No. 225 s 3 deposit account means an account in the name of an investor with a licence operator. s 3 def deposit account ins 2010 SL No. 198 s 18 double ... s 3 def double ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 double trio ... s 3 def double trio ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 event means— (a) for an event on which wagering is conducted by a licence operator under a race wagering licence—an event that— (i) is, or relates to, thoroughbred, harness or greyhound racing; and (ii) may be lawfully held in Queensland or elsewhere; or (b) for an event on which wagering is conducted by a licence operator under a sports wagering licence— (i) a sporting event or sporting contingency; or (ii) a simulated event or simulated contingency approved for the licence under the Act , section 57; or (iii) a non-sporting event, or a contingency relating to a non-sporting event, approved for the licence under the Act , section 57. s 3 def event ins 2010 SL No. 198 s 18 sub 2022 Act No. 23 s 114 first four ... s 3 def first four ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 fixed odds management system means a computer or other device and any software installed on the computer or device that contains information used by a wagering licensee to calculate odds for the conduct of wagering on a fixed odds basis. s 3 def fixed odds management system ins 2010 SL No. 225 s 3 forecast ... s 3 def forecast ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 host computer system means a computer that has— (a) software installed on it that any person can use through the internet with another computer; or (b) information contained on it that any person can access through the internet with another computer. s 3 def host computer system ins 2010 SL No. 225 s 3 intermediate evaluation means an evaluation of any of the following things relating to regulated wagering equipment— (a) hardware, other than hardware subject to basic evaluation; (b) software, other than software subject to advanced evaluation; (c) the mathematical treatise of the derivation of the theoretical return to a player. s 3 def intermediate evaluation ins 2002 SL No. 128 s 26 internet wagering system means a host computer system and any software installed on the host computer system used by a wagering licensee for the conduct of wagering. s 3 def internet wagering system ins 2010 SL No. 225 s 3 lotteries computer system means a computer system used for the conduct of lotteries by a lottery licensee under a lottery licence. s 3 def lotteries computer system ins 2000 SL No. 4 s 3 lottery licence means a licence under the Lotteries Act 1997 to conduct a lottery. s 3 def lottery licence ins 2000 SL No. 4 s 3 lottery licensee means a person who holds a lottery licence. s 3 def lottery licensee ins 2000 SL No. 4 s 3 odds , for an investment on a selection for an event, means the multiple of the investor’s investment that decides the payout the investor receives if the investor correctly predicts the result of the event. s 3 def odds ins 2010 SL No. 198 s 18 payout includes the amount of the investment made. s 3 def payout ins 2010 SL No. 198 s 18 place ... s 3 def place ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 promotional credit has the meaning given by the rule. s 3 def promotional credit ins 2010 SL No. 198 s 18 quadrella ... s 3 def quadrella ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 quinella ... s 3 def quinella ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 race — (a) means an event that is, or relates to, a thoroughbred, harness or greyhound race; but (b) does not include a simulated event. s 3 def race ins 2010 SL No. 198 s 18 sub 2022 Act No. 23 s 114 race totalisator means a totalisator used for conducting wagering under a race wagering licence. s 3 def race totalisator ins 2010 SL No. 198 s 18 relevant chief executive means the chief executive of the department in which the Liquor Act 1992 is administered. s 3 def relevant chief executive ins 2002 SL No. 138 s 44 restricted investor means a person registered with a licence operator as a restricted investor under section 15G (1). s 3 def restricted investor ins 2010 SL No. 198 s 18 result means the outcome of an event. s 3 def result ins 2010 SL No. 198 s 18 rule means a rule made under the Wagering Act 1998 , section 198 . s 3 def rule ins 2010 SL No. 198 s 18 runner means a competitor in a race. s 3 def runner ins 2010 SL No. 198 s 18 selection means a result on which an investment is made. s 3 def selection ins 2010 SL No. 198 s 18 simulated event random number generator means a device designed and used to select random numbers to determine the result for a simulated event. s 3 def simulated event random number generator ins 2022 Act No. 23 s 114 (2) six pic ... s 3 def six pic ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 special facility liquor licence ... s 3 def special facility liquor licence ins 2002 SL No. 138 s 44 om 2008 SL No. 418 s 48 (1) special facility premises ... s 3 def special facility premises ins 2002 SL No. 138 s 44 om 2008 SL No. 418 s 48 (1) sports wagering event ... s 3 def sports wagering event ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 subsidiary operator means— (a) an individual or body corporate to which the holder of a commercial special facility licence has, with the approval of the relevant chief executive— (i) let or sublet part of the commercial special facility premises; and (ii) let or sublet the right to sell liquor; or (b) an individual or body corporate with which the holder of a commercial special facility licence has, with the approval of the relevant chief executive— (i) entered into a franchise or management agreement for part of the commercial special facility premises; and (ii) let or sublet the right to sell liquor. s 3 def subsidiary operator ins 2002 SL No. 138 s 44 amd 2008 SL No. 418 s 48 (3)–(4) sweepstake ... s 3 def sweepstake ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 telebet system means a computer or other device and any software installed on the computer or device that— (a) is used by a wagering licensee for the conduct of wagering; and (b) requires the licensee to input information for an investment made by a person into the computer or device. s 3 def telebet system ins 2010 SL No. 225 s 3 totalisator , for schedule 2 , means an instrument, machine or device under which a system mentioned in the Act , section 8 (1) is operated. s 3 def totalisator ins 2010 SL No. 225 s 3 treble ... s 3 def treble ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 trifecta ... s 3 def trifecta ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 unrestricted investor means a person registered with a licence operator as an unrestricted investor under section 15H . s 3 def unrestricted investor ins 2010 SL No. 198 s 18 win ... s 3 def win ins 2012 SL No. 7 s 3 om 2013 SL No. 279 s 3 4 Persons with whom licence operator may enter into agency agreements— Act , s 141 For section 141 (1)(b) of the Act , a person is eligible to be a wagering agent if the person is a person intending to carry on operations as an agent of a licence operator, whether or not the operations are the only business activity carried on by the person. 5 Calculating commission— Act , s 163 (1) For section 163 (1) of the Act , the amount, for an authority operator, is calculated as follows— (a) if the authority operator is the Golden Casket Lottery Corporation Limited ACN 078 785 449 and the totalisator is conducted for the game ‘Sports Tipping’—50% of the total amount invested in the totalisator; (b) otherwise—25% of the total amount invested in the totalisator. (2) For section 163 (2) of the Act , the amount for a financial year, for the Golden Casket Lottery Corporation Limited ACN 078 785 449, on totalisators conducted for the game ‘Sports Tipping’ is calculated as 50% of the total amount invested in the year in the totalisators. s 5 sub 1999 SL No. 211 s 3 amd 2012 SL No. 7 s 4; 2013 SL No. 279 s 4 5A [Repealed] s 5A ins 2002 SL No. 244 s 18 om 2018 Act No. 13 s 90 sch 2 6 [Repealed] s 6 amd 1999 SL No. 275 s 11; 2000 SL No. 137 s 21; 2002 SL No. 244 s 19; 2014 SL No. 315 s 4 (retro) om 2018 Act No. 13 s 90 sch 2 7 [Repealed] s 7 om 2018 Act No. 13 s 90 sch 2 8 [Repealed] s 8 amd 2000 SL No. 137 s 22; 2002 SL No. 138 s 45; 2002 SL No. 244 s 20 om 2018 Act No. 13 s 90 sch 2 9 [Repealed] s 9 sub 2000 SL No. 286 s 24; 2010 Act No. 22 s 34 om 2013 SL No. 121 s 26 10 Percentage penalties for late payment— Act , s 170 (1) For section 170 (2) of the Act , the percentage is 5%. (2) For section 170 (4) of the Act , the percentage is 5%. 10A Prescribed amount— Act , s 173 For section 173(4) of the Act , the prescribed amount is $8,000. s 10A ins 2002 SL No. 244 s 21 11 Places of operation for wagering agents— Act , s 205 For section 205(2) of the Act , the following kinds of places are appropriate for a wagering agent— (a) for a race club—a racing venue; (b) for a person mentioned in section 4 who is not a casino licensee, casino operator or the holder of a licence under the Liquor Act 1992 — (i) a part of retail shopping or other commercial premises that— (A) is fully enclosed by a permanent structure; and (B) uses frosted or opaque glass if glass is used to enclose or partly enclose the part; and (C) uses frosted or opaque perspex if perspex is used to enclose or partly enclose the part; and (D) has an opening that is a doorway and not an open shopfront; and (E) is able to be locked at the close of trade; and (F) does not have an automatic teller machine within the part; and (G) is not located within, or next to, a food court area or cinema area within a shopping centre or within, or next to, a similar area where a significant number of minors congregate; or Example of a similar area where a significant number of minors congregate— an arcade games venue (ii) if the person intends to carry on operations as an agent at a place temporarily—a place approved by the chief executive; (c) for a casino licensee— (i) the casino to which the licensee’s casino licence relates; or (ii) the hotel-casino complex of which the casino is identified as part in the licence; (d) for a casino operator— (i) the casino for which the operator is the casino operator; or (ii) the hotel-casino complex of which the casino is identified as part in the licence; (e) for the holder of a licence under the Liquor Act 1992 only— (i) if the licence is a commercial hotel licence or community club licence under that Act— (A) part of the premises of which the licensed premises to which the licence relates forms part; or (B) a place mentioned in paragraph (b)(i); or (ii) otherwise— (A) part of the premises, of which the licensed premises to which the licence relates forms part, approved by the chief executive; or (B) a place mentioned in paragraph (b)(i); (f) for the holder of a licence under the Liquor Act 1992 who also holds a gaming machine licence under the Gaming Machine Act 1991 — (i) part of the premises of which the licensed premises to which the licence under the Liquor Act 1992 relates forms part; or (ii) a place mentioned in paragraph (b)(i); (g) for a subsidiary operator who does not hold a gaming machine licence under the Gaming Machine Act 1991 —part of the commercial special facility premises, approved by the chief executive, that the subsidiary operator has leased or subleased or for which the subsidiary operator has entered into a franchise or management agreement; (h) for a subsidiary operator who holds a gaming machine licence under the Gaming Machine Act 1991 —part of the commercial special facility premises that the subsidiary operator has leased or subleased or for which the subsidiary operator has entered into a franchise or management agreement. s 11 amd 1999 SL No. 211 s 4; 2002 SL No. 138 s 46; 2008 SL No. 418 s 49; 2013 SL No. 34 s 6 11A Declaration of approved entities— Act , s 208A Each entity mentioned in schedule 1A is declared to be an approved entity for section 208A of the Act . s 11A ins 2014 SL No. 229 s 15 12 Requests to review decisions about claims for payment— Act , s 214 (1) This section prescribes, for section 214(6) of the Act , the way in which the chief executive must deal with a request, made by a claimant under section 214(4)(a) of the Act , to review a decision of an authority operator (the operator’s decision ). (2) The chief executive must either review, or refuse to review, the operator’s decision. (3) The chief executive may refuse to review the operator’s decision only if the chief executive considers the request was not made in good faith or is frivolous. (4) If the chief executive decides to refuse to review the operator’s decision, the chief executive must— (a) give written notice of the chief executive’s decision to the authority operator and claimant; and (b) give the claimant a written notice stating the reasons for the chief executive’s decision. (5) If the chief executive decides to review the operator’s decision, the chief executive must— (a) give the authority operator a copy of the claimant’s request; and (b) by written notice given to the authority operator invite the operator, and by written notice given to the claimant invite the claimant, to make a written submission to the chief executive about the operator’s decision within 1 month after receiving the notice (the submission period ). (6) The chief executive may— (a) cause an investigation to be made about any matter the chief executive considers relevant to the review; and (b) request a report of the investigation be given to the chief executive. (7) As soon as practicable after the end of the submission period, the chief executive must— (a) consider all written submissions made in the submission period by the authority operator and claimant; and (b) consider any report given to the chief executive under subsection (6); and (c) make a decision about the review; and (d) give the authority operator and claimant a written notice stating the decision and the reasons for the decision. (8) Nothing in this section affects or prejudices any other right or remedy of an authority operator or participant in approved wagering. 13 Requests to resolve claims for payment— Act , s 214 (1) This section prescribes, for section 214(6) of the Act , the way in which the chief executive must deal with a request, made by a claimant under section 214(4)(b) of the Act , to resolve a claim for payment of a winning bet. (2) The chief executive must ask the authority operator to immediately try to resolve the claim. (3) If, within 14 days of making the request under subsection (2), the chief executive is not advised of the resolution of the claim by the authority operator or claimant, the chief executive must by written notice given to the authority operator invite the operator, and by written notice given to the claimant invite the claimant, to make a written submission to the chief executive about the claim within 1 month after receiving the notice (the submission period ). (4) The chief executive may— (a) cause an investigation to be made about a matter the chief executive considers relevant to the claim; and (b) request a report of the investigation be given to the chief executive. (5) As soon as practicable after the end of the submission period, the chief executive must— (a) consider all written submissions made in the submission period by the authority operator and claimant; and (b) consider any report given to the chief executive under subsection (4); and (c) make a decision about the claim; and (d) give the authority operator and claimant a written notice stating the decision and the reasons for the decision. (6) However, the chief executive is not required to take or complete action under subsection (5) if the chief executive is advised of the resolution of the claim by the authority operator or claimant. (7) Nothing in this section affects or prejudices any other right or remedy of an authority operator or participant in approved wagering. 13A Report about prohibition under order or direction— Act , s 216L (1) A general operator must give the chief executive a report about the prohibition of persons from taking part in approved wagering at, or entering or remaining in, the operator’s approved place of operation under a self-exclusion order or an exclusion direction— (a) within 14 days after 31 December in each year; and (b) within 14 days after— (i) 30 June 2006; and (ii) 30 June in each later year. (2) Subsection (3) applies if a person takes part in approved wagering at, or enters or remains in, a general operator’s approved place of operation in contravention of a self-exclusion order or an exclusion direction. (3) The general operator must, within 7 days after the contravention, give a report to the chief executive about the prohibition of the person from taking part in approved wagering at, or entering or remaining in, the operator’s approved place of operation under the self-exclusion order or exclusion direction. s 13A ins 2005 SL No. 69 s 15 sub 2005 SL No. 115 s 23 14 Entities to whom information may be disclosed— Act , s 308 The entities prescribed for section 308 (3)(a) of the Act are set out in schedule 1 . 15 Limit on amount invested (1) A person may, by written notice to a licence operator, set a limit on the amount the person may invest by telephone, automated device or the internet. Examples— 1 The person might set a limit by reference to a stated maximum for all events on which wagering is conducted by the licence operator over a stated period (e.g. a limit of $100 over 1 month). 2 The person might set the limit at zero thus effectively preventing the person from investing on events on which wagering is conducted by the licence operator until the limit is relaxed or removed. (2) A person who has set a limit under this section may change or revoke the limit by written notice given to the licence operator. (3) A notice increasing or revoking the limit does not have effect unless— (a) 7 days have passed since the licence operator received the notice; and (b) the person has not notified the licence operator of an intention to withdraw the notice. (4) A notice reducing the limit has effect on its receipt by the licence operator. (5) A licence operator must not accept a wager from a person contrary to a limit set for the person under this section. s 15 prev s 15 om 2009 Act No. 24 s 865 pres s 15 ins 2010 SL No. 198 s 19 15A Cancellation of investment—fixed odds (1) A licence operator conducting fixed odds wagering must cancel an investment if— (a) the investment made is not the investment the investor intended; and (b) the investor’s request to cancel the investment is made within 2 minutes of making the investment; and (c) the cancellation can be effected before the closing time for accepting investments on the event on which the investment is made. (2) If an investment is cancelled, the investment must be refunded in full. (3) In this section— fixed odds wagering means wagering conducted on a fixed odds basis under a wagering licence. s 15A ins 2010 SL No. 198 s 19 15B Cancellation of investment—sports totalisator (1) A licence operator is under no obligation to ensure a sports totalisator investment is the investment the investor intended. (2) The licence operator must cancel the investment, at the investor’s request, if the cancellation can be effected before the closing time for accepting investments on the totalisator on which the investment is made. (3) The money used to make the investment must be refunded or, at the investor’s request, may be used to make another investment. (4) In this section— sports totalisator means a totalisator used for conducting wagering under a sports wagering licence. s 15B ins 2010 SL No. 198 s 19 15C Cancellation of investment—race totalisator (1) This section applies to a race on which an investment is made or, if the investment is made on more than 1 race, the first of the races on which the investment is made. (2) The investment may be cancelled up until 5 minutes before the advertised starting time for the race. (3) An authority operator must cancel an investment presented for cancellation less than 5 minutes before the advertised starting time if— (a) the investor advises the investment made is not the investment the investor intended; and (b) the investor’s request to cancel the investment is made within 5 minutes after making the investment; and (c) the cancellation can be effected before the closing time for accepting investments on the totalisator on which the investment is made. (4) An investment may be cancelled before the closing time if the investment— (a) involves a scratching; and (b) is presented for cancellation in time to allow the cancellation to be effected before the closing time. (5) This section applies unless the rule provides that investments may not be cancelled in particular circumstances. (6) If an investment is cancelled, the investment must be refunded in full. (7) In this section— scratching , for a runner in a race, means a runner that has been scratched before the time, stated by the race club conducting the race, for notifying scratchings. s 15C ins 2010 SL No. 198 s 19 amd 2013 SL No. 246 s 3 15D Closing time for accepting investments (1) An authority operator may decide the time after which the operator will not accept investments (the closing time )— (a) on stated selections; or (b) on stated wagering options; or (c) on stated classes of totalisator; or (d) on stated events or classes of events; or (e) at stated times during an event; or (f) at stated premises. (2) An investment accepted after the closing time must be refunded in full. (3) In this section— wagering option has the meaning given by the rule. s 15D ins 2010 SL No. 198 s 19 15E Printed tickets (1) If an investor makes an investment using cash, a credit ticket or another payment method approved by the chief executive, the authority operator must issue a ticket (a printed ticket ) to the investor. (2) More than 1 investment may be recorded on a printed ticket if the investment is made using a totalisator. (3) It is the investor’s responsibility to ensure the details on the printed ticket are in accordance with the investment details requested by the investor. (4) The investment is taken to have been made when the investment is paid for and the printed ticket issues to the investor. (5) The investor may use the printed ticket to claim a payout, dividend or refund payable to the investor in relation to the investment. s 15E ins 2010 SL No. 198 s 19 amd 2022 No. 23 s 115 15F Application to open deposit account (1) A person may apply to a licence operator to open a deposit account with the licence operator by giving the licence operator the information required for an account under the licence operator’s control system. (2) The application must be accompanied by funds to deposit in the account in the amount of at least the minimum deposit amount decided by the licence operator. (3) Subject to sections 15G and 15H , the licence operator may register the person as a restricted or an unrestricted investor. s 15F ins 2010 SL No. 198 s 19 amd 2014 SL No. 131 s 17 sch 1 15G Registration as a restricted investor (1) A licence operator must not register a person as a restricted investor unless the licence operator— (a) carries out the registration under the licence operator’s control system; and (b) informs the person of the effect of sections 15H , 15I , 15J , 15K , 15M (2) and 15O (1) and (2). (2) If the licence operator registers a person as a restricted investor, the licence operator must, as soon as practicable after registering the person, give the person a written notice stating the effect of sections 15H , 15I , 15J , 15K , 15M (2) and 15O (1) and (2). s 15G ins 2010 SL No. 198 s 19 amd 2014 SL No. 131 s 17 sch 1 15H Registration as an unrestricted investor The licence operator must not register a person as an unrestricted investor, unless the licence operator— (a) carries out the registration under the licence operator’s control system; and (b) as required by the licence operator’s control system, authenticates the person’s identity and verifies the person is at least 18. s 15H ins 2010 SL No. 198 s 19 amd 2014 SL No. 131 s 17 sch 1 15I End of registration as a restricted investor (1) A person who is registered as a restricted investor may subsequently be registered as an unrestricted investor. (2) If a restricted investor is subsequently registered as an unrestricted investor, the person’s registration as a restricted investor is cancelled. (3) If a person’s registration as a restricted investor is not sooner cancelled under subsection (2), the registration ends 72 hours after the person was registered. (4) Despite subsection (3), if the period that applies to verifying the person’s identity under the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cwlth) , section 34(1) is less than 72 hours, the registration ends when that period ends. s 15I ins 2010 SL No. 198 s 19 amd 2022 SL No. 172 s 8 15IA Authentication of identity within 1 year (1) This section applies if— (a) a person’s registration as a restricted player ends under section 15I (3) or (4); and (b) the person’s identity is authenticated and age verified under section 15H after the person’s registration has ended but less than 1 year after the day the person was registered as a restricted player. (2) The licence operator must reinstate the person’s registration as a restricted player. (3) After acting under subsection (2), the licence operator may register the person as an unrestricted player under section 15I (1). s 15IA ins 2014 SL No. 160 s 27 amd 2022 SL No. 172 s 9 15J Limit on deposits by restricted investors A licence operator must not allow a restricted investor to deposit to the investor’s deposit account more than the amount, not more than $1,000, stated in the licence operator’s control system for this section. s 15J ins 2010 SL No. 198 s 19 amd 2014 SL No. 131 s 17 sch 1 15K Restricted investors may not make withdrawals or close accounts A restricted investor may not make a withdrawal from or close the investor’s deposit account with a licence operator. s 15K ins 2010 SL No. 198 s 19 15L Withdrawals by unrestricted investors An unrestricted investor may only make the following withdrawals from the investor’s deposit account with a licence operator— (a) a withdrawal of the whole or part of a payout, dividend or refund credited by the licence operator to the account; (b) a withdrawal of funds deposited by the investor, if the withdrawal is authorised under the licence operator’s control system; (c) a withdrawal of the balance of funds in the account, other than funds consisting of a promotional credit, to close the account. s 15L ins 2010 SL No. 198 s 19 amd 2014 SL No. 131 s 17 sch 1 15M Refusal to accept a deposit or investment (1) A licence operator may refuse to accept a deposit to, or an investment from, an investor’s deposit account if the licence operator reasonably believes the account is being, has been, or is about to be used in contravention of a law of a State or the Commonwealth. (2) A licence operator must refuse to accept a deposit to, or an investment from, a restricted investor’s deposit account if the licence operator reasonably believes it will not be able, under section 15H (b), to authenticate the investor’s identity or verify the investor’s age. s 15M ins 2010 SL No. 198 s 19 15N Closing an unrestricted investor’s deposit account (1) A licence operator may close an unrestricted investor’s deposit account. (2) If a licence operator closes an unrestricted investor’s account, the licence operator— (a) may deduct the amount of a promotional credit standing to the credit of the investor’s account; and (b) must send the balance of funds in the account, after any deduction under paragraph (a), to the investor. (3) If, after any deduction under subsection (2)(a), there is less than $20 in the account, the licence operator may send the balance of funds from the account to the investor by credit ticket. (4) A licence operator who closes an unrestricted investor’s deposit account may deduct an account closing fee of $5 from the balance of funds sent to the investor. (5) This section does not apply to the extent the Financial Transaction Reports Act 1988 (Cwlth) applies. s 15N ins 2010 SL No. 198 s 19 15O Accounting for account balances for restricted investors (1) This section applies if— (a) a person’s registration as a restricted investor ends under section 15I (3) or (4); and (b) when the registration ends, an amount (the account balance ) is standing to the credit of a deposit account established by a licence operator in the name of the person. (2) If, 1 year after the day the person was registered as a restricted investor, the person has not been registered as an unrestricted investor under section 15I (1), the licence operator must close the account and pay the account balance to the chief executive. (3) If an amount of the account balance is not paid under subsection (2) by the licence operator, the State may recover the amount from the licence operator as a debt. (4) This section does not apply to the extent the Anti-Money Laundering and Counter-Terrorism Financing Act 2006 (Cwlth) applies. s 15O ins 2010 SL No. 198 s 19 amd 2014 SL No. 160 s 28; 2022 SL No. 172 s 10 15P Cancelling an investment made by telephone, automated device or the internet (1) The licence operator must cancel an investment made by telephone, automated device or the internet if— (a) the investment made is not the investment the investor intended; and (b) the investor’s request to cancel the investment is made during the telephone call, or transmission by automated device or the internet, used to make the investment; and (c) the cancellation can be effected before the closing time for accepting investments on the event on which the investment is made. (2) An investment may be cancelled before the closing time if— (a) a competitor that was part of the selection on which the investment was made had withdrawn from the event before the investment was made; and (b) cancellation is requested in time to allow the cancellation to be effected before the closing time. (3) If an investment is cancelled, the investment must be refunded in full. s 15P ins 2010 SL No. 198 s 19 15Q Depositing funds for credit with licence operator (1) An investor may deposit funds with a licence operator to establish a credit for making investments with the licence operator. (2) A person who wishes to establish a credit with a licence operator must, if asked by the licence operator, produce evidence of a kind required by the chief executive that the person is at least 18 years of age. (3) The amount of funds deposited to establish a credit must be at least— (a) if the chief executive approves an amount—the approved amount; or (b) if the chief executive does not approve an amount—$5. (4) The licence operator must give the investor a credit ticket. (5) The credit ticket must have the following printed on it— (a) the date the ticket was issued; (b) the amount of credit established; (c) the number allocated to the ticket by the licence operator; (d) the expiry date of the ticket. s 15Q ins 2010 SL No. 198 s 19 15R Use of funds at credit on credit ticket (1) The licence operator may credit payouts, dividends or refunds from the investor’s investments to the credit ticket. (2) The investor may have direct access to funds at credit on the credit ticket only— (a) to obtain the balance of funds at credit and cancel the ticket; or (b) to obtain the whole or part of the amount credited to the ticket as a payout, dividend or refund on an investment; or (c) as authorised by the licence operator or the chief executive. s 15R ins 2010 SL No. 198 s 19 15S Issue of replacement credit ticket Each time the amount at credit on a credit ticket (the original ticket ) changes, the licence operator must— (a) issue a new credit ticket stating the current amount at credit; and (b) retain the original ticket. s 15S ins 2010 SL No. 198 s 19 15T Damaged credit tickets A licence operator may refuse to pay funds at credit on a credit ticket or correct a claimed error on a credit ticket if— (a) the ticket is damaged or altered; and (b) the licence operator can not verify the information on the ticket. s 15T ins 2010 SL No. 198 s 19 15U Request to stop payment on credit ticket (1) An investor may ask a licence operator to stop payment on a credit ticket entitling a claimant to the balance of funds at credit on the ticket or a payout or refund on the basis that the ticket has been lost or stolen. (2) The request to stop payment must— (a) be on the form supplied by the licence operator; and (b) contain enough information for the licence operator to properly identify the credit ticket; and (c) be accompanied by a search fee of— (i) if the chief executive approves an amount—the approved amount; or (ii) if the chief executive does not approve an amount—$5. (3) The chief executive must not approve an amount that is more than the reasonable cost of conducting the search. (4) The licence operator may stop payment on the credit ticket. (5) If payment is made before the licence operator is able to stop payment, the licence operator— (a) must tell the investor that the payment has already been made; and (b) must help in any police investigation; and (c) if the licence operator knows the name and address of the person to whom the payment was paid—may tell an investigating police officer the name and address. (6) If the licence operator stops payment on a credit ticket under subsection (4), the licence operator must not make a payment until it investigates the ownership of the credit ticket. s 15U ins 2010 SL No. 198 s 19 15V Payouts, dividends or refunds as soon as practicable (1) As soon as practicable after the result of an event is announced, the authority operator conducting wagering on the event must make payouts or pay dividends for winning investments and pay refunds. (2) However, the authority operator must not pay a race totalisator dividend before the steward has declared the correct weight and given the all clear signal. (3) In this section— steward means the person responsible for supervising the conduct of racing at a race meeting. s 15V ins 2010 SL No. 198 s 19 15W Publication of results (1) As soon as practicable after the result of an event is announced by the entity controlling the event, the authority operator must make the result available— (a) at the authority operator’s and all wagering agents’ places of operation; and (b) for enquiries by telephone or the internet. (2) Also, if the authority operator conducts totalisator wagering for the event, the authority operator must make the amount of the dividend and the selection on which the dividend is declared available as soon as practicable after the dividend is declared. (3) In this section— totalisator wagering means wagering conducted, using a totalisator, under a wagering licence. s 15W ins 2010 SL No. 198 s 19 15X Bonus prize reserve (1) For each type of investment, 3.75% of the total of all investments made on the totalisator must be put aside as part of a reserve fund (the bonus prize reserve ). (2) The bonus prize reserve must be distributed in payment of dividends. (3) The licence operator must identify the bonus prize reserve in the licence operator’s accounting records as a bonus prize reserve until it is dealt with under subsection (2). s 15X ins 2010 SL No. 198 s 19 15Y Payment of bonus prize reserve into the consolidated fund (1) This section applies if a person who is a licence operator— (a) stops conducting wagering under a sports wagering licence using a totalisator; or (b) stops being a licence operator. (2) The person must pay to the chief executive the amount of a bonus prize reserve that has not been distributed under section 15X . (3) The chief executive must pay the amount received under subsection (2) into the consolidated fund. s 15Y ins 2010 SL No. 198 s 19 16 Regulated wagering equipment— Act , sch 2 For the definition regulated wagering equipment in schedule 2 of the Act , the wagering equipment specified in schedule 2 is regulated wagering equipment. 16A Evaluation of regulated wagering equipment— Act , s 208 For section 208(3)(a) of the Act , an evaluation carried out by the chief executive may include 1 or more of the following types of evaluation— (a) basic evaluation; (b) intermediate evaluation; (c) advanced evaluation. s 16A ins 2002 SL No. 128 s 27 17 Fees (1) The fees payable under the Act are stated in section 17A and schedule 3 . (2) A fee stated in schedule 3 , item 4 may consist of, or include, an amount for part of an hour that is the equivalent of the relevant proportion of the hourly rate, stated in the schedule, worked out using 15-minute periods (wholly or partly completed). s 17 amd 2011 SL No. 199 s 31; 2013 SL No. 212 s 21 17AA Rounding of amounts expressed as numbers of fee units (1) This section applies for working out the amount of a fee expressed in this regulation as a number of fee units. (2) For the purpose of the Acts Interpretation Act 1954 , section 48C (3), the amount is to be rounded— (a) if the result is not more than $100—to the nearest multiple of 5 cents (rounding one-half upwards); or (b) if the result is more than $100 but not more than $1,000—to the nearest multiple of 10 cents (rounding one-half upwards); or (c) if the result is more than $1,000 but not more than $5,000—to the nearest dollar (rounding one-half upwards); or (d) if the result is more than $5,000 but not more than $100,000—to the nearest multiple of 10 dollars (rounding one-half upwards). Example— If a fee were 35 fee units and the value of a fee unit were $1.015, the number of dollars obtained by multiplying 35 by $1.015 would be $35.525. Because $35.525 is halfway between $35.50 and $35.55, it is rounded upwards, so the amount of the fee would be $35.55. s 17AA ins 2022 SL No. 79 s 177 17A Fee for particular investigations (1) This section applies to any of the following persons for whom the chief executive may undertake an investigation under the Act , section 24— (a) an applicant for a wagering authority that is a wagering licence; (b) a business or executive associate of the applicant. (2) This section also applies to a person who is a business or executive associate of a wagering licensee for whom the chief executive may undertake an investigation under the Act , section 38 (1). (3) The person must pay to the chief executive the reasonable costs of conducting the investigation. Examples of costs of conducting the investigation— • costs of outsourcing professional services, for example, legal or accounting services • internal costs, including staff costs • travel and accommodation costs incurred inside or outside the State or overseas s 17A ins 2013 SL No. 212 s 22 amd 2014 SL No. 160 s 29 17B How fee for investigation must be paid (1) This section applies in relation to a fee payable by a person (the relevant person ) under section 17A for an investigation. (2) The chief executive may require, in writing, the relevant person to pay all or part of the fee in advance. (3) The chief executive may make the requirement before the investigation starts, and at any time during the investigation. (4) If the requirement is made before the investigation starts, the chief executive may decide not to start the investigation until the fee or part of the fee is paid. (5) If the requirement is made during the investigation, the fee or part of the fee must be paid within 28 days after the requirement is made. (6) The fee or part of the fee payable in advance must be— (a) an amount not more than the chief executive’s estimate or latest estimate of the fee payable under section 17A ; and (b) reduced by the amount, if any, already paid by the relevant person to the chief executive under this section in relation to the investigation. (7) As soon as reasonably practicable after the investigation is finished the chief executive must— (a) give the relevant person a written itemised account of the costs comprising the fee; and (b) either— (i) refund any overpayment to the relevant person; or (ii) require, in writing, the relevant person to pay to the chief executive, within 28 days after the requirement is made, the amount of any shortfall between the amount already paid by the relevant person under this section and the amount of the fee. (8) For subsection (7), an investigation is finished in relation to a relevant person if— (a) both of the following apply— (i) the chief executive considers the relevant person has failed to comply with a requirement made by the chief executive under the Act , section 40 in relation to the investigation; (ii) the chief executive considers the investigation is finished; or (b) the chief executive considers the investigation has been completed for the chief executive’s purposes under the Act , section 38 (1). (9) A relevant person given a requirement under subsection (2) or (7)(b)(ii) must comply with the requirement. (10) A failure by the chief executive to comply with subsection (7)(a) or (b) as soon as reasonably practicable after the investigation does not affect the recovery of the amount of any shortfall mentioned in subsection (7)(b)(ii). (11) In a proceeding to recover the amount of a shortfall mentioned in subsection (7)(b)(ii), a written itemised account of the costs given to the relevant person for the investigation under subsection (7)(a) is evidence of the costs. s 17B ins 2013 SL No. 212 s 22 18 Transitional provision for Gaming Legislation Amendment Regulation (No. 3) 2022 (1) This section applies if— (a) before the commencement, a person was registered as a restricted investor; and (b) immediately before the commencement, the registration had not been cancelled or had not ended. (2) Section 15I, as amended by the Gaming Legislation Amendment Regulation (No. 3) 2022 , applies to the person’s registration. s 18 ins 2022 SL No. 172 s 11 Schedule 1A Approved entities section 11A BMM Australia Pty Ltd ACN 084 016 044 ENEX Pty Ltd ACN 096 299 099 GTA Pty Ltd ACN 082 989 446 QALAB Pty Ltd ACN 136 553 832 sch 1A prev sch 1A ins 2012 SL No. 7 s 5 om 2013 SL No. 279 s 5 pres sch 1A ins 2014 SL No. 229 s 16 Schedule 1 Entities section 14 Alberta Gaming, Liquor and Cannabis Commission, Canada Alcohol and Gaming Commission of Ontario, Canada Australian Border Force Australian Communications and Media Authority (ACMA) Australian Competition and Consumer Commission Australian Crime Commission (commonly known as Australian Criminal Intelligence Commission) Australian Federal Police Australian Securities and Investments Commission Australian Security Intelligence Organisation Australian Taxation Office Australian Transaction Reports and Analysis Centre (AUSTRAC) Bureau of Gambling Control, Department of Justice, California Casino Control Commission, New Jersey Centrelink Commissioner, Consumer and Business Services, South Australia Commissioner for Fair Trading, Queensland Commissioner of State Revenue, Queensland Commissioner, Tasmanian Liquor and Gaming Commission Crime and Corruption Commission, Queensland Department of Home Affairs Department of Industry, Tourism and Trade (Liquor, Racing and Gaming), NT Department of Internal Affairs, New Zealand Department of Justice and Community Safety, Victoria Department of Local Government, Sport and Cultural Industries (Racing, Gaming & Liquor), Western Australia Department of Safety and Homeland Security, Delaware Department of Service Nova Scotia and Internal Services (Alcohol, Gaming, Fuel and Tobacco Division), Canada Department of Treasury and Finance, South Australia Department of Treasury and Finance, Tasmania Division of Gaming, Colorado Division of Gaming Enforcement, New Jersey Gambling and Racing Commission, ACT Gambling Commission, New Zealand Gambling Commission, UK Gambling Regulatory Authority of Singapore Gaming and Wagering Commission, Western Australia Gaming Board for the Bahamas Gaming Policy and Enforcement Branch, British Columbia Independent Liquor and Gaming Authority, NSW Indiana Gaming Commission, USA Japan Casino Regulatory Commission Liquor & Gaming NSW Lotteries Commission, South Australia Lotteries Commission, Western Australia Louisiana State Police Gaming Enforcement Division, USA Mississippi Gaming Commission, USA Missouri Gaming Commission, USA Missouri State Highway Patrol, USA Mpumalanga Economic Regulator, South Africa National Indian Gaming Commission, USA Nevada Gaming Commission, USA Nevada Gaming Control Board, USA New South Wales Crime Commission New South Wales Independent Casino Commission New South Wales Police Force New York State Police New Zealand Police Northern Territory Police Force Office of Racing Integrity, Tasmania Office of Racing, Victoria Pueblo of Isleta Gaming Regulatory Agency, USA QCAT Queensland Police Service South Australia Police South Dakota Commission on Gaming, USA Tasmania Police The International Criminal Police Organization—Interpol Victorian Gambling and Casino Control Commission Victoria Police Western Australia Police Force Western Cape Gambling and Racing Board, South Africa WorkCover Queensland sch 1 sub 2000 SL No. 136 s 66 amd 2002 SL No. 138 s 47; 2003 SL No. 219 s 27; 2004 SL No. 253 s 20; 2005 SL No. 1 s 19; 2006 SL No. 139 s 24; 2007 SL No. 210 s 17; 2008 SL No. 418 s 50; 2009 SL No. 94 s 23; 2014 Act No. 21 s 94(2) sch 2; 2022 SL No. 2 s 15 sub 2022 SL No. 130 s 16 Schedule 2 Regulated wagering equipment section 16 betting terminal central computer system of a wagering licensee communications network of a wagering licensee customer input system fixed odds management system internet wagering system minitote PC simulated event random number generator telebet system totalisator sch 2 amd 2000 SL No. 4 s 4 sub 2010 SL No. 225 s 4 amd 2022 Act No. 23 s 116 Schedule 3 Fees section 17 Fee units 1 Application fee for wagering licence (Act, s 19(c)) 19,580.00 2 Application fee for key person licence (Act, s 102(2)(c)) 566.10 3 Issuing replacement key person licence (Act, s 116(4)) 41.65 4 Evaluation by the chief executive of regulated wagering equipment (Act, s 208(4)(a)), for each hour or part of an hour involved in the following— (a) carrying out— (i) a basic evaluation 234.30 (ii) an intermediate evaluation 292.80 (iii) an advanced evaluation 344.80 (iv) administration for an evaluation 175.60 (b) giving advice for an evaluation 175.60 (c) holding a meeting for an evaluation 175.60 Note— See section 17 (2) in relation to a fee for part of an hour. sch 3 amd 2000 SL No. 136 s 67; 2000 SL No. 137 s 23 sub 2001 SL No. 270 s 17 amd 2002 SL No. 128 s 28; 2002 SL No. 244 s 22 sub 2003 SL No. 219 s 28; 2004 SL No. 194 s 17; 2005 SL No. 115 s 24; 2006 SL No. 139 s 25; 2007 SL No. 137 s 15; 2008 SL No. 177 s 17; 2009 SL No. 84 s 24 amd 2009 Act No. 24 s 866 sub 2010 SL No. 128 s 65; 2011 SL No. 115 s 3 sch amd 2011 SL No. 199 s 32 sub 2012 SL No. 102 s 3 sch; 2013 SL No. 122 s 3 sch; 2014 SL No. 128 s 3 sch; 2015 SL No. 53 s 120; 2016 SL No. 85 s 115; 2017 SL No. 109 s 130; 2018 SL No. 72 s 123 ; 2019 SL No. 105 s 122; 2020 SL No. 143 s 124; 2021 SL No. 84 s 123 ; 2022 SL No. 79 s 178 from top.html --> Site footer Copyright Disclaimer Privacy Right to information --> Accessibility Jobs in Queensland Government Other languages © The State of Queensland (Office of the Queensland Parliamentary Counsel) 2014-2026 (Ver. 2.7.30-7865 Rev. ) Queensland Government -->