AGENTS LICENSING ACT 1979
NORTHERN TERRITORY OF AUSTRALIA
AGENTS LICENSING ACT 1979
As in force at 10 February 2026
Table of provisions
Part I Preliminary
1 Short title ......................................................................................... 1
2 Commencement .............................................................................. 1
3 Repeal ............................................................................................. 1
4 Application ....................................................................................... 1
5 Interpretation ................................................................................... 2
5A Exemptions ...................................................................................... 5
5B Exemption for trust money of corporation manager ......................... 5
Part II Agents Licensing Board
6 The Board ........................................................................................ 5
7 Appointment of members and tenure .............................................. 6
7A Alternate members .......................................................................... 7
8 Registrar, Deputy Registrars and inspectors ................................... 7
9 Chairperson ..................................................................................... 8
11 Removal of member ........................................................................ 8
12 Vacation of office ............................................................................. 8
13 Resignation...................................................................................... 8
14 Meetings .......................................................................................... 9
15 Member not to act where interested ................................................ 9
16 Delegation ..................................................................................... 10
Part III Licence to carry on business as agent
Division 1 General
17 Unlicensed persons not to act as agents ....................................... 11
Division 2 Qualifications for licence as agent
20 Meaning of fit and proper person ................................................... 12
22 Eligibility for licence ....................................................................... 14
22A Board may approve course, qualifications or experience .............. 15
23A Provisional licence on acquisition of business ............................... 16
24 Persons licensed or registered as agents elsewhere .................... 16
25 Licence of company or firm............................................................ 17
25A Restricted licence .......................................................................... 17
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Agents Licensing Act 1979 ii
Division 3 Applications, objections and determination of
applications for licences
26 Applications by persons other than companies or firms ................ 18
27 Applications by companies or firms ............................................... 18
28 Objections ...................................................................................... 19
29 Grant or refusal of licences ............................................................ 19
30 Board to hold inquiry before refusal ............................................... 21
31 Issue of licences ............................................................................ 21
31AA Notification of change of circumstance .......................................... 22
31A Special endorsement for conveyancing agents ............................. 22
31B Board may approve course of competency-based training ............ 23
32 Duration and renewal .................................................................... 24
32B Licensed agent when not carrying on business ............................. 26
Part IV Registration of agents' representatives
32C Part does not apply to conveyancing agents ................................. 26
33 Agents' representatives to be registered ....................................... 26
34 Directors, managers, &c., of licensed agent .................................. 27
35 Licensed agents not to employ unregistered representatives ........ 27
36 Prohibition of employment by 2 agents.......................................... 27
37 Application for registration ............................................................. 28
38 Furnishing of information ............................................................... 28
39 Qualifications ................................................................................. 28
41 Certificate of registration ................................................................ 29
41A Restricted registration .................................................................... 29
42 Objections ...................................................................................... 30
43 Surrender of certificate .................................................................. 31
43A Renewal of registration .................................................................. 31
44 Disciplinary action.......................................................................... 32
44A Board may suspend registration pending inquiry ........................... 33
44B Powers of Board after inquiry ........................................................ 33
44C Cancellation if become licensed as agent ..................................... 35
45 Employer to be notified of suspension or cancellation of
agent's registration ........................................................................ 35
46 Unemployed representative ........................................................... 35
47 Notice of employment .................................................................... 35
48 Registrar may direct surrender ...................................................... 35
Part V Trust moneys, trust accounts and agents'
records
Division 1 Trust moneys and accounts
49 Trust moneys ................................................................................. 36
50 Opening of account ....................................................................... 36
51 Notification of account ................................................................... 37
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Agents Licensing Act 1979 iii
52 Operation of trust account ............................................................. 37
53 Protection of trust moneys ............................................................. 38
54 Provisions relating to ADI accounts ............................................... 38
Division 2 Agents' records
55 Accounting records ........................................................................ 38
56 Receipt for trust moneys ................................................................ 39
57 Business moneys other than trust moneys .................................... 40
Division 3 Audit and inspection of trust accounts
58 Prescribed period .......................................................................... 40
59 Audit .............................................................................................. 40
60 Qualifications of auditor ................................................................. 41
61 Furnishing of documents, information, &c...................................... 42
62 Auditor's report .............................................................................. 42
63 Special report ................................................................................ 43
Division 4 Inspections
64 Inspectors ...................................................................................... 44
Part VI Rules of conduct for agents
64A Rules of conduct for agents ........................................................... 45
65 Rules of conduct ............................................................................ 45
Part VIA Agreements between licensed agents and
clients
65A Prescription of terms, &c., of agreement ....................................... 46
65B Consultation regarding agreements............................................... 46
65C Form of agreement ........................................................................ 47
65D Application of prescribed terms, &c. .............................................. 47
65E Special provisions relating to conveyancing agents ...................... 47
Part VII Surrender and revocation of licences
66 Surrender....................................................................................... 48
67 Grounds for disciplinary action ...................................................... 49
68 Applications for disciplinary action ................................................. 50
68A Board may suspend licence pending inquiry ................................. 51
69 Powers of Board after inquiry ........................................................ 52
69A Profits to be repaid ........................................................................ 53
70 Effect of suspension or revocation................................................. 53
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Agents Licensing Act 1979 iv
Part VIII Receivers
71 Appointment .................................................................................. 54
72 Responsibility ................................................................................ 55
73 Notice to ADI ................................................................................. 55
73A Access to books, &c. ..................................................................... 56
74 Powers of receiver ......................................................................... 56
75 Remuneration ................................................................................ 56
76 Interpretation ................................................................................. 57
Part IX Inquiries by Board
77 Inquiries ......................................................................................... 57
78 Power to summon witnesses ......................................................... 58
79 Failure to attend or produce documents ........................................ 58
80 Refusal to take oath or give evidence ............................................ 59
81 Record of evidence of witnesses ................................................... 59
82 Protection of members .................................................................. 60
83 Protection of persons appearing before Board .............................. 60
84 Board may inspect books, &c. ....................................................... 60
84A Publication of findings and determination ...................................... 61
84B Proceedings to be open to public .................................................. 61
Part X Review of decisions
85 Review by NTCAT ......................................................................... 61
Part XII Fidelity Fund
Division 1 Educational schemes and grants to industry
bodies
92 Application of money for educational schemes.............................. 61
93 Grants to industry bodies ............................................................... 63
Division 2 Agents Licensing Fidelity Guarantee Fund of
the Northern Territory
94 Establishment of Fund ................................................................... 64
95 Members of Fund .......................................................................... 65
95AA Alternate members ........................................................................ 65
95A Meetings of Fund ........................................................................... 66
95AB Conflict of interest of member ........................................................ 66
95B Moneys of Fund ............................................................................. 67
Division 3 Claims against Fund
96 Persons who may apply ................................................................ 68
97 Registrar may invite claims ............................................................ 69
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Agents Licensing Act 1979 v
98 Time for making applications ......................................................... 69
99 Manner of applications .................................................................. 69
100 Registrar to consider applications.................................................. 70
102 Payment of compensation ............................................................. 71
103 Subrogation ................................................................................... 72
104 Agents may claim in certain circumstances ................................... 72
105 Interim payments ........................................................................... 73
Division 4 Contributions and levies to Fund
106 Annual contributions ...................................................................... 73
107 Contributions not payable in certain circumstances....................... 73
108 Levies ............................................................................................ 74
Part XIIA Indemnity insurance
108A Definitions ...................................................................................... 74
108B Licensed agents required to hold approved indemnity
insurance ....................................................................................... 75
108C Board may approve indemnity insurance policy ............................ 75
108D Organisation representing agents may arrange for insurance ....... 76
108E Part does not affect claims against Fund ....................................... 76
Part XIIB Conflicts of interest
108F Definitions ...................................................................................... 76
108G Restriction on agent etc. purchasing or selling property in
which the agent is interested ......................................................... 78
108H Sale etc. by agent with interest in sale .......................................... 79
108J Person to repay agent if person avoids agreement ....................... 80
Part XIII Miscellaneous
109 Registers ....................................................................................... 81
110 Licensed agents to maintain registered office in Australia etc. ...... 81
110A Business managers ....................................................................... 82
111 Registrar may approve operation of registered office without
licensed business manager ........................................................... 83
111A Licence not transferable ................................................................ 84
112 Agent not to share commission ..................................................... 84
113 Improper use of licence ................................................................. 84
114 Improper use of title of agent ......................................................... 84
115 False or misleading advertisements .............................................. 85
116 Obstruction of Registrar, inspector, &c. ......................................... 85
117 Production of licence ..................................................................... 86
118 Withholding of deposit ................................................................... 86
119 Requirements of advertisements ................................................... 86
120 Display of notices .......................................................................... 86
121 No recovery of commission unless licensed .................................. 87
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Agents Licensing Act 1979 vi
121A Contracts for sale of land to be in approved form .......................... 87
123 Evidence of licensing or registration .............................................. 88
124 Requirement by Registrar or inspector .......................................... 88
125 Cancelled registration and revoked licences ................................. 88
125AA Infringement notices ...................................................................... 89
125B Regulatory offences....................................................................... 89
126 Offences committed by employees, partners, or directors ............. 89
126A Approved forms ............................................................................. 89
127 Regulations.................................................................................... 90
Part XIV Transitional matter for Statute Law
Revision and Repeals Act 2019
128 Rules of conduct ............................................................................ 91
Part XV Transitional matters for Statute Law
Amendment (Territory Economic
Reconstruction) Act 2022
129 Definitions ...................................................................................... 91
130 Course of competency-based training ........................................... 91
131 Educational qualifications .............................................................. 92
Part XVI Transitional matters for Statute Law
Amendment (NTCAT Conferral of
Jurisdiction) Act 2023
132 Definitions ...................................................................................... 92
133 NTCAT review limited to decisions made after commencement.... 92
134 Appeals not commenced before commencement.......................... 92
135 Appeals not determined before commencement ........................... 93
136 Applications not made before commencement .............................. 93
137 Applications not determined before commencement ..................... 93
Schedule 1 Functions of conveyancing agent
Schedule 2 Reviewable decisions
ENDNOTES
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NORTHERN TERRITORY OF AUSTRALIA
____________________
As in force at 10 February 2026
____________________
AGENTS LICENSING ACT 1979
An Act to provide for the licensing of certain agents, the registration of
representatives of those licensed agents and for related purposes
Part I Preliminary
1 Short title
This Act may be cited as the Agents Licensing Act 1979.
2 Commencement
The several Parts and sections of this Act shall commence on such
dates as are respectively fixed by the Administrator by notice in the
Gazette.
3 Repeal
The Land and Business Agents Ordinance 1974 is repealed.
4 Application
(1) This Act does not apply in relation to:
(a) an executor, administrator, liquidator or receiver other than a
receiver appointed under this Act, the committee of the estate
of a person appointed under a law relating to mental health, a
manager of the estate of a person appointed under a law
relating to the property of protected persons or any other
trustee, while exercising a right or power or performing a duty
or obligation, as such; or
(b) an ADI while exercising a right or power, or performing a duty
or obligation, as a trustee; or
(c) a person practising in the Territory as a legal practitioner in the
exercise of rights and powers or the performance of duties
and obligations in his or her professional capacity.
(2) This Act does not bind the Crown or its officers or servants.
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Part I Preliminary
Agents Licensing Act 1979 2
5 Interpretation
(1) In this Act:
accounting records, in relation to a person, includes such working
papers and other documents as are necessary to explain the
methods and calculations by which accounts of the person are
made up.
agent means a real estate agent, business agent or conveyancing
agent.
agent's representative means a person who, in the service of, and
on behalf of, a licensed agent negotiates or holds himself or herself
out as being prepared to negotiate any transaction of a description
referred to in subsection (2)(a) or (b).
approved form means a form approved under section 126A(1).
Board means the Agents Licensing Board of the Northern Territory
constituted under Part II.
body corporate manager, under the Unit Title Schemes Act 2009,
means a body corporate manager as defined in section 87(1) of
that Act.
business manager means a person, with substantive and effective
control of one or more of the registered offices of the business
operated under a licence, who is specified on the licence as a
business manager in respect of the office or offices.
Chairperson means the Chairperson of the Board appointed under
section 9 and includes the Deputy Chairperson when acting as the
Chairperson.
company means a corporation within the meaning of the
Corporations Act 2001.
corporation manager under the Unit Titles Act 1975 means a
person who for reward (whether monetary or otherwise), and
whether or not the person carries on any other business, exercises
a power or performs a function on behalf of a corporation or
members of a corporation under that Act.
departmental member means the member who is an employee
within the meaning of the Public Sector Employment and
Management Act 1993 appointed under section 7.
Deputy Chairperson means the Deputy Chairperson of the Board
elected under section 14(4)(b).
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Part I Preliminary
Agents Licensing Act 1979 3
firm includes a business constituted by one person.
Fund means the Agents Licensing Fidelity Guarantee Fund of the
Northern Territory established by section 94.
inquiry means a meeting of the Board to conduct an inquiry in
pursuance of Part IX.
inspector means an inspector appointed under section 8.
Institute means the Real Estate Institute of the Northern Territory
Incorporated.
lease includes a sub-lease.
licence means a licence that is in force under this Act.
licensed agent means an agent licensed to carry on business as
an agent.
member means a member of the Board (including the Chairperson
or Deputy Chairperson) and includes an acting appointment.
register means the appropriate register kept under section 109.
registered agents representative means a person registered
under Part IV as an agent's representative.
registered company auditor means a registered company auditor
within the meaning of the Corporations Act 2001.
registered office means an office of which the Registrar has been
notified under section 110(2)(a).
Registrar means the Registrar of Land, Business and
Conveyancing Agents appointed under section 8.
regulations means regulations made under this Act.
rules of conduct means rules of conduct prescribed in the
regulations.
trust account means an account referred to in section 50.
trust money means money of a description referred to in
section 49.
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Part I Preliminary
Agents Licensing Act 1979 4
(2) For the purposes of this Act, but subject to section 4:
(a) real estate agent means a person whose business either
alone or as part of or in connection with any other business, is
to act as agent for consideration in money or money's worth
as commission, reward or remuneration, in respect of:
(i) the sale, purchase, exchange, leasing, letting or other
dealings with, or the disposition of; or
(ii) negotiations for the sale, purchase, exchange, leasing,
letting or other dealings with, or the disposition of,
land, whether within or outside the Territory, and includes a
corporation manager under the Unit Titles Act 1975 and a
body corporate manager under the Unit Title Schemes
Act 2009; and
(b) business agent means a person whose business either alone
or as part of or in connection with any other business, is to act
as agent for consideration in money or money's worth as
commission, reward or remuneration, in respect of:
(i) the sale, purchase, exchange, leasing or letting or other
dealings with, or the disposition of; or
(ii) negotiations for the sale, purchase, exchange, leasing,
letting or other dealings with, or the disposition of,
a business or any share or interest in a business, or the
goodwill in, or stock-in-trade of, a business, but does not
include the sale, purchase, exchange or other dealings with,
or the disposition of a share in the capital of a body corporate
carrying on a business; and
(c) conveyancing agent means a person whose business either
alone or as part of or in connection with any other business, is
to act as agent for consideration in money or money's worth
as commission, reward or remuneration (whether or not paid
directly or indirectly for the service provided), in respect of a
matter set out in Schedule 1.
(3) In this Act, a reference to a person being licensed or registered as a
real estate agent, business agent or conveyancing agent under a
law of a State or Territory providing for the licensing or registration
of real estate agents, business agents or conveyancing agents, as
the case may be, includes a reference to a person being licensed or
registered in that State or Territory (not being the Northern
Territory) to carry on an activity that, if carried on in the Northern
Territory, would be an activity of a kind referred to in
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Part II Agents Licensing Board
Agents Licensing Act 1979 5
subsection (2)(a), (b) or (c), as the case may be.
5A Exemptions
(1) Subject to the regulations, the Board may exempt a person, or a
class of persons, from compliance with all or any of the provisions
of this Act if the Board considers it appropriate to do so.
(2) The Board may grant an exemption under subsection (1):
(a) subject to any conditions that the Board considers appropriate;
and
(b) on the Board's own initiative or on an application made under
subsection (3).
(3) A person may apply to the Board for an exemption under
subsection (1).
5B Exemption for trust money of corporation manager
A licensed agent:
(a) who receives trust money in the course of business carried on
as a corporation manager under the Unit Titles Act 1975 or as
a body corporate manager under the Unit Title Schemes
Act 2009; and
(b) who holds and deals with the trust money in accordance with
a scheme prescribed under section 127(2),
shall, notwithstanding anything to the contrary in this Act, the Unit
Titles Act 1975, the Unit Title Schemes Act 2009 or any other Act,
be deemed not to have committed any breach of the provisions of
this Act or those Acts which would otherwise apply to such trust
money.
Part II Agents Licensing Board
6 The Board
(1) For the purposes of this Act and the Auctioneers Act 1935, there
shall be a Board, to be known as the Agents Licensing Board of the
Northern Territory.
(2) The Board shall be a body corporate with perpetual succession and
a common seal and shall be capable of suing and being sued in its
corporate name.
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Part II Agents Licensing Board
Agents Licensing Act 1979 6
(3) All courts, judges and persons acting judicially shall take judicial
notice of the common seal of the Board affixed to a document and
shall presume that it was duly affixed.
7 Appointment of members and tenure
(1) Subject to subsection (1A), the Board shall consist of the following
persons:
(a) a departmental member, being a person who is an employee
within the meaning of the Public Sector Employment and
Management Act 1993;
(b) a lawyer;
(c) 2 persons each of whom is either a licensed real estate agent
or a licensed business agent;
(d) a person who, in the opinion of the Minister, is suitable to
represent the interests of consumers of the services offered by
agents.
(1A) For the purposes of considering an application for a licence as a
conveyancing agent or any other matter relating to conveyancing
agents, the Board shall consist of the members appointed under
subsection (1)(a), (b) and (d) and 2 licensed conveyancing agents
appointed by the Minister for those purposes.
(1B) For the purposes of considering an application for an auctioneer's
licence under the Auctioneers Act 1935 or any other matter related
to auctioneers, the Board is to consist of the members appointed
under subsection (1).
(2) Subject to this section, the Minister shall appoint the members of
the Board.
(3) The departmental member shall hold office during the pleasure of
the Minister.
(4) Subject to this Act, a member, other than the departmental
member, shall hold office for a period of 3 years.
(5) If there is or will be a vacancy in the office of a member referred to
in subsection (1)(c), the Registrar must publish a notice, in any
manner that makes it publicly available in the Territory, inviting
licensed real estate agents and licensed business agents to notify
the Minister, within 30 days after the publication of the notice, that
they are willing to be appointed to the Board.
(6) If there are or will be less than 2 licensed conveyancing agents for
the purposes of subsection (1A), the Registrar must publish a
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Part II Agents Licensing Board
Agents Licensing Act 1979 7
notice, in any manner that makes it publicly available in the
Territory, inviting licensed conveyancing agents to notify the
Minister, within 30 days after the publication of the notice, that they
are willing to be appointed to the Board.
(7) The Minister may, after 30 days after the publication of a notice
under subsection (5) or (6), with the approval of a person, appoint
the person under subsection (2) (whether or not the person has
notified the Minister under subsection (5) or (6)) to be the member
for the purposes of subsection (1)(c) or (1A).
(8) Where the office of a member referred to in subsection (1)(b) or (d)
becomes vacant before the expiration of the member's term of
office, the Minister may appoint:
(a) a lawyer; or
(b) a person of a description referred to in subsection (1)(d),
as the case requires, to hold that office for a period of 3 years.
(10) Subject to this section, a member shall be eligible for
re-appointment.
(11) The exercise of a power or the performance of a function of the
Board is not affected by reason only of there being a vacancy or
vacancies in the membership of the Board.
7A Alternate members
(1) The Minister may, either concurrently with the appointment of a
member to the Board or at any time thereafter, appoint a person to
act as the alternate of that member while the member is prevented
by illness, absence, the operation of section 15, or other cause
considered sufficient by the Chairperson, from performing the
duties of office.
(2) An alternate member appointed under subsection (1) holds office
during the period the member for which he or she is appointed
alternate holds office, or for such shorter period as may be
specified by the Minister.
(3) The Minister shall not appoint an alternate member under
subsection (1) unless that person would be qualified in his or her
own right to be appointed as a member.
8 Registrar, Deputy Registrars and inspectors
(1) The Minister may appoint a person to be the Registrar of Land,
Business and Conveyancing Agents.
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Part II Agents Licensing Board
Agents Licensing Act 1979 8
(2) The Minister may appoint such persons as the Minister thinks fit to
be Deputy Registrars of Land, Business and Conveyancing Agents.
(3) The Registrar and Deputy Registrars are subject to the directions, if
any, of the Board, except in relation to the exercise of their powers
and functions under Part XII.
(4) Subject to this section and to the directions of the Registrar, a
Deputy Registrar may exercise any power, or perform any function,
of the Registrar.
(5) The Minister may appoint such persons as the Minister thinks fit to
be Inspectors of Land, Business and Conveyancing Agents.
(6) Inspectors shall be subject to any directions of the Registrar.
(7) The Registrar and each Deputy Registrar is an inspector for the
purposes of this Act.
9 Chairperson
The member appointed under section 7(1)(b) is to be the
Chairperson of the Board.
11 Removal of member
The Minister may terminate the appointment of a member for
inability, inefficiency, misbehaviour or physical or mental incapacity.
12 Vacation of office
Where a member:
(a) becomes bankrupt, applies to take the benefit of a law for the
relief of bankrupt or insolvent debtors or compounds with the
member's creditors or makes an assignment of the member's
remuneration for their benefit; or
(b) is absent, except on leave granted by the Board, from
3 consecutive meetings of the Board; or
(c) ceases to have the qualification by reference to which the
member was appointed,
the Minister shall terminate the appointment of that member.
13 Resignation
A member may resign the member's office by notice in writing
delivered to the Minister.
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Part II Agents Licensing Board
Agents Licensing Act 1979 9
14 Meetings
(1) The Board shall meet when necessary for the exercise of its powers
and the performance of its functions, but so that a period not
exceeding 6 months elapses between any 2 meetings of the Board.
(2) The Chairperson may, by written notice, convene a meeting of the
Board at any time on the Chairperson's own initiative.
(4) At a meeting of the Board:
(a) the Chairperson, when present, shall preside; and
(b) in the absence of the Chairperson or the alternate
Chairperson (if any) appointed under section 7A, the members
present and voting must elect a Deputy Chairperson and that
person may exercise the powers and perform the duties of the
Chairperson for that meeting; and
(c) 3 members constitute a quorum; and
(d) all questions arising shall be decided by a majority vote of the
members present and voting; and
(e) the member presiding shall have a deliberative vote and, in
the event of an equality of votes, shall also have a casting
vote; and
(f) the Board shall keep a record of its proceedings; and
(g) subject to this Act, the Board shall determine its own
procedure.
15 Member not to act where interested
(1) A member who has a direct or indirect pecuniary interest in a matter
being considered or about to be considered by the Board, otherwise
than as a member of, and in common with the other members of, a
company consisting of not less than 25 persons and of which the
member is not a director, shall, as soon as possible after the
relevant facts have come to the member's knowledge, disclose the
nature of the member's interest at a meeting of the Board.
(2) A disclosure under subsection (1) shall be recorded in the minutes
of the Board.
(3) Where:
(a) a member has an interest of a description referred to in
subsection (1); or
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Part II Agents Licensing Board
Agents Licensing Act 1979 10
(b) an application by a member for the grant of a licence or for
registration as an agent's representative is being considered
or about to be considered by the Board,
that member shall not take part in any deliberation or decision of
the Board in relation to the matter which is the subject of the
member's interest or in relation to the application, as the case may
be, and shall be disregarded for the purpose of constituting a
quorum of the Board in relation to that matter or application.
Maximum penalty: 100 penalty units.
16 Delegation
(1) The Board may, either generally or in relation to a matter or class of
matters, by instrument under its common seal, delegate to:
(a) a member; or
(b) a committee consisting of members; or
(c) the Registrar; or
(d) a Deputy Registrar,
all or any of its powers or functions under this Act other than:
(e) a power to conduct an inquiry under this Act; or
(f) a power or function where, prior to the exercise of that power
or function, the Board is required to conduct an inquiry under
this Act; or
(g) this power of delegation.
(2) A power delegated in accordance with subsection (1) may be
exercised by the delegate in accordance with the instrument of
delegation.
(3) A delegation under this section is revocable at will and does not
prevent the exercise of a power so delegated by the Board.
-- 16 of 116 --
Part III Licence to carry on business as agent
Division 1 General
Agents Licensing Act 1979 11
Part III Licence to carry on business as agent
Division 1 General
17 Unlicensed persons not to act as agents
(1) Subject to subsection (2), a person, company or firm must not carry
on business, or by any means hold himself, herself or itself out, as
a real estate agent, business agent or conveyancing agent unless
he, she or it is licensed as such under this Act.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(2) A person, company or firm, being the holder of a restricted licence
under section 25A, must not carry on business, or by any means
hold himself, herself or itself out, as a real estate agent or business
agent except in accordance with the conditions of the restricted
licence.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(3) A person (not being a company or a firm) must not perform, or hold
himself or herself out as licensed to perform, a service of a
conveyancing agent specified in section 31A(1) unless the person's
conveyancing agent's licence is endorsed under that section with a
statement to the effect that the person is licensed to perform the
service.
Maximum penalty: 100 penalty units.
-- 17 of 116 --
Part III Licence to carry on business as agent
Division 2 Qualifications for licence as agent
Agents Licensing Act 1979 12
(4) A person (being a company or a firm) must not perform, or hold
itself out as licensed to perform, a service of a conveyancing agent
specified in section 31A(1) unless the licence of each business
manager in relation to the registered office of the company or firm
at which the service is, or is to be, performed is endorsed under
that section with a statement to the effect that the business
manager of that office is licensed to perform the service.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
Division 2 Qualifications for licence as agent
20 Meaning of fit and proper person
(1) A natural person is a fit and proper person for the purposes of
section 22, 25 or 39 if the person:
(a) is not a disqualified person as determined in accordance with
this section; and
(b) is a person whose general reputation in the community (which
may include a place outside the Territory) is such that the
Board is satisfied that the person will competently,
conscientiously and honestly perform the duties of an agent in
relation to the person's employees and clients; and
(c) has completed the application for a licence frankly,
comprehensively and honestly.
(2) A person is a disqualified person for the purposes of
subsection (1)(a) if the person:
(a) has in the 10 years immediately before the person applied for
the licence, been found guilty (whether or not in the Territory)
of a prescribed offence or an offence that involves dishonesty
or violence or is an offence against the Misuse of Drugs
Act 1990, the Kava Management Act 1998 or a corresponding
law declared under subsection (8); or
(b) is mentally incapable of performing the duties of an agent; or
(c) is disqualified from holding a licence, certificate of registration
or other authority under the Consumer Affairs and Fair Trading
Act 1990 or a corresponding law declared under
subsection (8) or is the holder of such a licence, certificate or
authority that is suspended; or
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(d) has, at the time of the application, failed to pay a monetary
penalty payable by the person under this Act, the Consumer
Affairs and Fair Trading Act 1990 or a corresponding law
declared under subsection (8) or failed to comply with a
direction given by the Board; or
(f) is at the time of the application in breach of a provision of this
Act or the Regulations that is prescribed by regulation as a
disqualifying breach.
(3) The Board may determine that an offence referred to in
subsection (2)(a) is not to be taken into account for the purposes of
this section:
(a) because of the time that has passed since the offence was
committed; or
(b) because the act or omission constituting the offence was trivial
or irrelevant.
(4) A person is a disqualified person for the purposes of
subsection (1)(a) if the person:
(a) is an undischarged bankrupt or is a director or other person
concerned in the management of a company that is the
subject of a winding up order or for which a controller or
administrator has been appointed; or
(b) at any time in the 3 years immediately before the person
applied for the licence:
(i) was an undischarged bankrupt; or
(ii) applied to take the benefit of any law for the relief of
bankrupt or insolvent debtors; or
(iii) compounded with the person's creditors or made an
assignment of the person's remuneration for their
benefit,
unless the Board is satisfied that the person took all
reasonable steps to avoid bankruptcy; or
(c) at any time in the 3 years immediately before the person
applied for the licence, was concerned in the management of
a company:
(i) while it was the subject of a winding-up order; or
(ii) while a controller or administrator was appointed,
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unless the Board is satisfied that the person took all
reasonable steps to avoid the liquidation or administration; or
(d) is a company that is the subject of a winding-up order or for
which a controller or administrator has been appointed.
(5) The Board may determine that a person is not a disqualified person
under subsection (4) if the Board is satisfied that the relevant acts
or omissions of the person for the purposes of that subsection do
not indicate that the person is likely to default on his or her financial
or other obligations under this Act.
(6) A person (the applicant) is a disqualified person for the purposes
of subsection (1)(a) if the person is a partner of a person who is a
disqualified person, unless the Board is satisfied that in the
circumstances the applicant is unlikely to be influenced by the
disqualified person.
(7) The Board may only determine that it is not satisfied as to the
matter referred to in subsection (1)(b) having regard to information
that is provided both to the Board and to the applicant.
(8) The Minister may, by notice in the Gazette, declare that a law of the
Territory, the Commonwealth or a State or another Territory of the
Commonwealth is a corresponding law for the purposes of
subsection (2)(a), (c) or (d).
22 Eligibility for licence
(1) A person (not being a company or a firm) is eligible for the grant of
a licence if the Board is satisfied that:
(a) the person has attained the age of 18 years; and
(b) the person is a fit and proper person within the meaning of
section 20; and
(c) the person:
(i) completed a course of competency-based training
approved by the Board under section 22A(1)(a) for the
class of licence that is the subject of the application; or
(ii) holds the qualifications for the class of licence approved
by the Board under section 22A(1)(b) that is the subject
of the application; or
(iii) has other qualifications or experience approved by the
Board under section 22A(1)(c) or (d); or
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(iv) by reason of the person's qualifications and experience,
is competent to carry on business on the person's own
account as a licensed agent; and
(d) the person:
(i) will, for the whole period of the licence, be insured under
an approved indemnity insurance policy within the
meaning of section 108A in relation to the person or the
person's employer; or
(ii) is exempt, or the person's employer is exempt, under a
regulation from the requirement under section 108B to
be insured under an approved indemnity insurance
policy within the meaning of section 108A.
(2) For subsection (1)(c)(iii), the Board may require a person's
employer to certify, in the approved form, the person's experience.
22A Board may approve course, qualifications or experience
(1) For section 22, the Board may approve the following:
(a) a course of competency-based training for the class of licence;
(b) qualifications for the class of licence;
(c) other qualifications for the licence;
(d) experience for the licence.
(2) In deciding whether to approve a course of competency-based
training under subsection (1)(a), the Board must consult with and
consider the advice, if any, of:
(a) the Chief Executive Officer of the Agency responsible for the
administration of the Training and Skills Development
Act 2016; and
(b) an occupational association or body that represents the
interests of the occupation to which the course relates.
(3) The Board:
(a) must approve a course of competency-based training if the
Board is reasonably satisfied that an agent who satisfactorily
completes the course will be competent to provide the
services of an agent that are of the kind to which the course
relates; and
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(b) must not refuse to approve a course of competency-based
training on the ground that a person who satisfactorily
completes the course may not have attained the standard of
best practice in the relevant industry.
(4) The Board must publish any approval made under subsection (1) in
any manner that makes it publicly available in the Territory as soon
as practicable after making the approval.
23A Provisional licence on acquisition of business
If a person (not being a company or a firm) acquires from a licensed
agent a business the carrying on of which requires a licence under
this Act, the person is eligible for the grant of a provisional licence
if:
(a) he or she satisfies the requirements of section 22(1)(a), (b)
and (d); and
(b) he or she:
(i) undertakes in writing to obtain the qualifications referred
to in section 22(1)(c)(i) or (ii) within the period specified
by the Board; or
(ii) satisfies the Board that he or she is, by reason of his or
her experience, competent to carry on business on his or
her own account as a licensed agent and undertakes in
writing to obtain the qualifications referred to in
section 22(1)(c)(iii) within the period specified by the
Board.
24 Persons licensed or registered as agents elsewhere
(1) Notwithstanding section 22, a person, not being a company or firm,
who is licensed or registered as an agent under a law of a State or
another Territory of the Commonwealth providing for the licensing
or registration of agents, is eligible for the grant of a licence of a like
kind by the Board.
(2) Where a licence is granted to a person by virtue of subsection (1),
the licence shall be:
(a) subject to the conditions as nearly as practicable the same as
those to which the licence or registration granted under the
law of the State or Territory is subject; and
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(b) revoked immediately upon the revocation or suspension of the
licence or registration granted under the law of the State or
Territory, except where the revocation or suspension under
the law of the State or Territory is for the non-payment of a
fee.
(3) The revocation of a licence under subsection (2)(b) shall be
deemed to be a revocation by the Board pursuant to
section 69(1)(d).
25 Licence of company or firm
A company or firm is eligible for the grant of a licence if the Board is
satisfied that:
(a) in the case of a company:
(i) the company has the power to carry on business as an
agent; and
(ii) all of the directors of the company and all of the persons
concerned in the management or control of the company
are fit and proper persons within the meaning of
section 20; and
(b) each person who is proposed to be appointed by the company
or firm as a business manager is a licensed agent; and
(ba) if the application is for a real estate agent's licence, a business
agent's licence or a conveyancing agent's licence:
(i) the company or firm will, for the whole period of the
licence, be insured under an approved indemnity
insurance policy within the meaning of section 108A; or
(ii) the company or firm is exempt under a regulation from
the requirement under section 108B to be insured under
an approved indemnity insurance policy within the
meaning of section 108A; and
(c) in the case of a firm, all of the persons by whom the firm is
constituted and all of the persons concerned in the
management or control of the firm are fit and proper persons
within the meaning of section 20.
25A Restricted licence
(1) Where it appears to the Board that an applicant for a licence is not
qualified or not entitled to obtain a grant of a licence but the
applicant, pursuant to section 5A, may be exempted from
complying with the provisions of this Act that may disentitle or
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disqualify the applicant, the Board may, if it thinks it appropriate or
expedient, exempt the applicant accordingly and authorise under
section 29 the issue of a restricted licence.
(2) A restricted licence under subsection (1) entitles the holder to
perform only the functions of an agent specified in the licence, and
may be subject to such conditions on performance as may be
specified.
Division 3 Applications, objections and determination of
applications for licences
26 Applications by persons other than companies or firms
(1) An application for the grant of a licence by a person, not being a
company or firm, must be:
(a) in the approved form in which the person specifies a licence
period of 1 year, 3 years or 5 years; and
(ab) accompanied by the prescribed fee for the licence period
specified in the application; and
(b) lodged with the Registrar.
(2) The Registrar may give a copy of the application to the
Commissioner of Police.
27 Applications by companies or firms
(1) An application by a company or firm for the grant of a licence must
be:
(a) in the approved form:
(i) in which the applicant specifies a licence period of
1 year, 3 years or 5 years; and
(ii) that is signed by one of the directors of the company or
one of the persons by whom the firm is constituted (as
applicable); and
(iii) in which the applicant identifies each person who is
proposed to be appointed as a business manager of the
company or firm; and
(ab) accompanied by the prescribed fee for the licence period
specified in the application; and
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(b) lodged with the Registrar.
(2) The Registrar may give a copy of the application to the
Commissioner of Police.
28 Objections
(1) The Commissioner of Police may, within 7 days after the date on
which a copy of an application made under section 26 or 27 is given
to the Commissioner, object by notice in writing lodged with the
Registrar to the grant of the application.
(2) The Registrar may, within 14 days after an application by a person,
company or firm for a licence is lodged with the Registrar, object by
notice in writing to the grant of the application.
(3) Any person may, within 14 days after an application by a person,
company or firm for a licence is lodged with the Registrar, object by
notice in writing lodged with the Registrar to the grant of the
application.
(4) A notice of objection shall include particulars of the ground or
grounds of objection.
(5) Where a notice of objection is lodged with the Registrar in
accordance with this section, the Registrar shall, as soon as is
reasonably practicable, serve a copy of that notice on the applicant
for a licence.
(6) The Commissioner of Police or the Registrar may request the
period of time mentioned in subsection (1) or (2) be extended.
(7) The Board may grant the Commissioner of Police or the Registrar
an extension of the period of time mentioned in subsection (1) or (2)
on request.
29 Grant or refusal of licences
(1) The Board must consider an application for the grant of a licence
and:
(a) must grant the application for the licence period it specifies
and authorise the issue of the licence for that period; or
(b) may, subject to this Division, refuse the application.
(2) The Board may require any person to attend before the Board and
to furnish to the Board, such documents and such information,
either orally or in writing, as it requires.
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(2A) For deciding whether an applicant is eligible for the grant of a
licence under section 22(1)(c)(iv), the Board may require an
assessment of the applicant's competency based on the applicant's
qualifications and experience by a registered training organisation
as defined in the Training and Skills Development Act 2016.
(2B) The applicant must pay for the cost of the assessment.
(2C) Subsections (2) and (2A) apply regardless of whether an objection
to the grant of the application is lodged.
(3) The Board must not refuse an application for the grant of a licence
unless:
(a) any person refuses or otherwise fails to attend before the
Board or to furnish the documents or information required by
the Board in accordance with subsection (2); or
(b) the applicant for the grant of a licence fails to establish that the
applicant is eligible for the grant of the licence; or
(c) the application does not comply with the requirements of
section 26 or 27, as the case requires; or
(d) in the case of an application by a person other than a
company or firm, the applicant is a bankrupt, is a person who
is, for the time being, taking the benefit of a law for the relief of
bankrupt or insolvent debtors or is a person whose
remuneration is, for the time being, assigned for the benefit of
the applicant's creditors.
(3A) Notwithstanding subsection (3), the Board must refuse an
application for the grant of a licence if the Board is not satisfied that
the applicant will, when licensed, be carrying on business as a
licensed agent within the Territory.
(4) Where the Board refuses to grant an application for the grant of a
licence, the Board must:
(a) record the reasons for its decision; and
(b) serve on the applicant, within 7 days after so deciding, notice
of its decision; and
(c) if the applicant so requests, supply the applicant with a copy of
the reasons recorded under paragraph (a).
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30 Board to hold inquiry before refusal
(1) Where:
(a) subject to subsection (2), a notice of objection is lodged in
accordance with section 28; or
(b) the Board considers that there may be grounds for refusing an
application for the grant of a licence,
the Board shall hold an inquiry before considering in accordance
with section 29 whether to grant the application for a licence.
(2) The Board may, without holding an inquiry, reject an objection
made under section 28(3) if, in the opinion of the Board, the
objection is of a frivolous, irrelevant or malicious nature.
31 Issue of licences
(1) If the Board grants an application for a licence (including a
provisional licence or restricted licence), the Registrar must issue
the licence to the applicant.
(2) A licence issued under subsection (1) must:
(a) be in the approved form; and
(b) specify the place or places at which its holder is licensed to
carry on business; and
(c) in the case of a restricted licence – set out the functions of an
agent which its holder is entitled to perform and any conditions
specified by the Board under section 25A(2); and
(d) if the holder of the licence is a company or firm – specify the
name of each business manager of the company or firm.
(3) A company or firm that holds a licence may apply to the Board for
approval to:
(a) substitute a business manager specified in the licence with a
different business manager; or
(b) add a new business manager to the licence.
(4) On an application under subsection (3), the Board may approve, or
refuse to approve, the substitution or addition of a business
manager for the company or firm.
(6) If the Board gives approval under subsection (4), the Registrar
must, on the surrender to the Registrar of the licence previously
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issued to the company or firm, issue a new licence to the company
or firm specifying the name of the business manager or business
managers, for the time being, of the company or firm.
(7) A licence issued under subsection (6) takes effect from the date on
which it is issued and continues in force for the period that the
licence would have continued in force but for the substitution or
addition effected under subsection (4).
31AA Notification of change of circumstance
(1) A person who holds a licence must, within 14 days after a change
in a circumstance relevant to the person's licensing, notify the
Board of the change.
Maximum penalty: 100 penalty units.
(2) For subsection (1), a circumstance is relevant to the person's
licensing if:
(a) it is a circumstance mentioned in section 20(2) or (4) that, if it
had occurred before the application for the licence had been
made, would have resulted in the person being a disqualified
person under section 20; or
(b) in relation to a licence mentioned in section 22(1)(d) – the
person is no longer insured or exempt as described in that
provision.
Note for section 31AA
Regulation 22 of the Agents Licensing Regulations 1979 provides for other
matters to be notified.
31A Special endorsement for conveyancing agents
(1) The Registrar may, if authorised to do so by the Board, endorse a
conveyancing agent's licence held by a person (not being a
company or a firm) with a statement to the effect that the holder of
the licence is permitted to provide one or more of the following
services:
(a) drawing, preparing and arranging the execution of leases;
(b) drawing, preparing and arranging the execution of mortgages;
(c) drawing, preparing and arranging the execution of
encumbrances;
(d) drawing, preparing and arranging the execution of restrictive
covenants;
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(e) drawing, preparing and arranging the execution of contracts
for the sale of businesses.
(2) A person (not being a company or a firm) who applies for a
conveyancing agent's licence or who is the holder of a
conveyancing agent's licence may in writing request the Registrar
to endorse the licence under subsection (1) in relation to a service
specified in that subsection.
(3) A person (not being a company or a firm) is entitled to have his or
her conveyancing agent's licence endorsed under subsection (1) in
relation to a service if the Board is satisfied that the person has
completed a course of training approved under section 31B relating
to the service.
(4) If the Board is satisfied that an applicant for a conveyancing agent's
licence or the holder of a conveyancing agent's licence who is
seeking the renewal of the licence:
(a) is entitled under subsection (3) to have his or her licence
endorsed in relation to a service specified in subsection (1); or
(b) is, by reason of his or her qualifications and experience,
competent to provide a service specified in subsection (1),
the Board must authorise the endorsement of the licence under
subsection (1) with a statement to the effect that the holder of the
licence is permitted to provide the service.
(5) If the Board is satisfied that an applicant for a conveyancing agent's
licence or the holder of a conveyancing agent's licence who is
seeking the renewal of the licence:
(a) is not entitled under subsection (3) to have his or her licence
endorsed in relation to a service specified in subsection (1); or
(b) is not competent to provide a service specified in
subsection (1) because the applicant does not have sufficient
experience in the provision of the service,
the Registrar must endorse the licence with a statement to the
effect that the holder of the licence is not permitted to provide the
service.
31B Board may approve course of competency-based training
(1) The Board may for the purposes of section 31A approve a course
of competency-based training.
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(2) In deciding whether to approve a course of competency-based
training, the Board must consult with and consider the advice, if
any, of:
(a) the Chief Executive Officer of the Agency responsible for the
administration of the Training and Skills Development
Act 2016; and
(b) an occupational association or body that represents the
interests of conveyancing agents.
(3) The Board:
(a) must approve a course of competency-based training if the
Board is reasonably satisfied that an agent who satisfactorily
completes the course will be competent to provide a service of
a conveyancing agent specified in section 31A to which the
course relates; and
(b) must not refuse to approve a course of competency-based
training on the ground that a person who satisfactorily
completes the course may not have attained the standard of
best practice in the relevant industry in relation to a service of
a conveyancing agent specified in section 31A to which the
course relates.
(4) The Board must publish any approval made under subsection (1) in
any manner that makes it publicly available in the Territory as soon
as practicable after making the approval.
32 Duration and renewal
(1) A licence takes effect from the date on which it is granted and,
subject to this Act, continues in force for the licence period it
specifies.
(2) An application for the renewal of a licence must:
(a) be lodged with the Registrar; and
(b) be in the approved form; and
(c) specify a further licence period of 1 year, 3 years or 5 years;
and
(d) be accompanied by the prescribed fee for the licence period
specified in the application; and
(e) be made within 3 months before the expiry date of the current
licence.
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(3) Subject to this Act, if an application for renewal is lodged in
accordance with subsection (2):
(a) the Registrar must renew the licence; and
(b) the current licence remains in force until the date that the
applicant is notified of the outcome of the renewal
application; and
(c) the renewed licence is taken to have commenced on the
date following the expiry date of the licence it renews.
(3A) If the Registrar suspects that the holder of a licence who is seeking
the renewal of the licence is not a fit and proper person within the
meaning of section 20, the Registrar:
(a) must request the Board in writing to hold an inquiry to consider
whether the holder of the licence is not a fit and proper person
within the meaning of section 20; and
(b) must notify the holder of the licence of the request to the
Board; and
(c) must not renew the licence except with the approval of the
Board.
(3B) The Board must hold an inquiry if it receives a request under
subsection (3A).
(3C) After holding an inquiry, the Board must:
(a) approve the renewal of the licence; or
(b) refuse to approve the renewal of the licence.
(3D) If the Board refuses to approve the renewal of the licence, the
Board must give the holder of the licence a written statement of the
reasons for its decision.
(5) Unless the Board otherwise determines:
(a) a provisional licence does not continue in force for a period
longer than the period fixed under section 23A(b) in relation to
the holder of that provisional licence; and
(b) the Registrar must not renew a provisional licence for a period
that extends beyond the date on which that period fixed under
section 23A(b) will expire.
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32B Licensed agent when not carrying on business
(1) Where a licensed agent is not, or will not be, carrying on business
within the Territory, the licensed agent is to give to the Registrar
notice, in writing, of the period during which the licensed agent is
not or will not be carrying on business.
(1A) The notice mentioned in subsection (1) must be given to the
Registrar no later than 14 days after the licensed agent ceases
carrying on business within the Territory.
(1B) To avoid doubt, if a licensed agent gives notice that the licensed
agent will not be carrying on business within the Territory, the
licensed agent is not required to give an additional notice under this
section when the licensed agent ceases carrying on business as a
licensed agent within the Territory.
(2) Where the Registrar is notified under subsection (1) that a licensed
agent is not or will not be carrying on business as a licensed agent
within the Territory, the Board may suspend the licensed agent's
licence until the licensed agent commences or re-commences
carrying on business as a licensed agent within the Territory.
(3) A licensed agent who is not or will not be carrying on business
within the Territory must not fail to give notice under subsection (1).
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
Part IV Registration of agents' representatives
32C Part does not apply to conveyancing agents
This Part does not apply to or in relation to a licensed conveyancing
agent.
33 Agents' representatives to be registered
(1) A person other than a licensed agent shall not act as, or carry out
any of the functions of, an agent's representative unless he or she
is a registered agent's representative and he or she acts or carries
out those functions for and on behalf of a licensed agent.
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(2) A person other than a licensed agent shall not, unless he or she is
a registered agent's representative, hold himself or herself out by
any means as an agent's representative or as being in the
employment of, or as acting for or on behalf of an agent as an
agent's representative.
(3) A registered agent's representative shall not hold himself or herself
out by any means as being in the employment of, or as acting for or
on behalf of an agent, unless that agent is his or her employer,
principal or partner.
Maximum penalty: 500 penalty units.
34 Directors, managers, &c., of licensed agent
A person other than a licensed agent:
(a) shall not, as a member, manager or employee of a firm that is
a licensed agent; or
(b) shall not, as a director, manager or employee of a company
that is a licensed agent,
act as or carry out any of the functions of an agent's representative
unless he or she is a registered agent's representative.
Maximum penalty: 500 penalty units.
35 Licensed agents not to employ unregistered representatives
A licensed agent shall not engage as an agent's representative, or
permit to carry out in the business of the agent any of the functions
of an agent's representative, any person, other than a licensed
agent, unless that other person is a registered agent's
representative.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
36 Prohibition of employment by 2 agents
(1) A registered agent's representative shall not accept or undertake
employment, or be or remain in the service of, or by any means
hold himself or herself out as being in the service of, or act as, an
agent's representative for or on behalf of, any person who is an
agent at any time when he or she is employed by, or in the service
of, any other person who is an agent.
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(2) A licensed agent shall not employ, or have in his or her service as
an agent's representative, a person who is, to the knowledge of that
licensed agent, at that time employed by, or in the service of, any
other agent.
(3) A licensed agent shall not, whether directly or indirectly, give any
commission, reward or other valuable consideration to any other
person, other than a licensed agent, for acting as, or performing
any of the functions of, an agent's representative unless the other
person is a registered agent's representative in the service of the
licensed agent as an agent's representative.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
37 Application for registration
An application for the registration of a person as an agent's
representative shall be:
(a) in the approved form in which the person specifies a
registration period of 1 year, 3 years or 5 years; and
(ab) accompanied by the prescribed fee for the registration period
specified in the application; and
(b) lodged with the Registrar.
38 Furnishing of information
The applicant shall furnish to the Board such documents and such
information as the Board requires to enable it to consider the
application.
39 Qualifications
(1) Where an application is made in accordance with this Part, the
applicant is entitled to be registered as an agent's representative
where he or she proves to the satisfaction of the Board that:
(a) he or she has attained the age of 18 years; and
(b) he or she is a fit and proper person; and
(c) he or she holds the educational qualifications approved by the
Board; and
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(d) he or she will be employed by, or in the service of, a licensed
agent as an agent's representative within the Territory.
(2) The Board may waive the requirement in subsection (1)(c) if, in the
opinion of the Board, the applicant:
(a) holds educational qualifications that the Board considers to be
equivalent to the educational qualifications approved by the
Board; and
(b) by reason of the applicant's experience, is competent to act as
a registered agent's representative.
(3) The experience referred to in subsection (2)(b) may have been
gained before or after the commencement of this Act and either
within or outside the Territory.
(4) The Board must publish any approval made under subsection (1)(c)
in any manner that makes it publicly available in the Territory as
soon as practicable after making the approval.
41 Certificate of registration
(1) Subject to this Part, on being satisfied that the applicant satisfies
the requirements of section 39 and on receiving payment of the
prescribed fee, the Board shall direct the Registrar:
(a) to register the applicant as an agent's representative; and
(b) to issue to the applicant a certificate of registration in the
approved form.
(2) Notwithstanding subsection (1), the Board must not register an
applicant for registration as an agent's representative unless the
Board is satisfied that the applicant will, when registered, be
employed by, or within the service of, a licensed agent as an
agent's representative within the Territory.
41A Restricted registration
(1) Where it appears to the Board that an applicant for registration as
an agent's representative is not entitled to be registered but the
applicant, pursuant to section 5A, may be exempted from
complying with the provisions of this Act that disentitle the
applicant, the Board may, if it thinks it appropriate or expedient,
exempt the applicant from the relevant provision, and direct the
Registrar to issue under section 41, a certificate of restricted
registration.
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(2) A certificate of restricted registration under subsection (1) entitles
the holder to perform only those functions of an agent's
representative specified in the certificate, subject to such conditions
as may be so specified.
42 Objections
(1) The Commissioner of Police may object by notice in writing lodged
with the Registrar to the grant of an application for registration as
an agent's representative.
(2) The Registrar may object by notice in writing to the grant of an
application for registration as an agent's representative.
(3) Any person may object by notice in writing lodged with the Registrar
to the grant of an application for registration as an agent's
representative.
(4) A notice of objection shall include particulars of the ground or
grounds of objection.
(5) Where a notice of objection is lodged with the Registrar in
accordance with this section, the Registrar shall, as soon as is
reasonably practicable, serve a copy of that notice on the applicant
for registration as an agent's representative.
(6) Where:
(a) subject to subsection (7), a notice of objection is lodged in
accordance with this section; or
(b) the Board considers that there may be grounds for refusing an
application for registration,
the Board shall hold an inquiry.
(7) The Board may, without holding an inquiry, reject an objection
made under subsection (3) if, in the opinion of the Board, the
objection is of a frivolous, irrelevant or malicious nature.
(8) Where the Board has held an inquiry pursuant to subsection (6), the
Board shall, after that hearing:
(a) register the applicant as an agent's representative and issue
to the applicant a certificate of registration in the approved
form; or
(b) refuse to register the applicant and direct the Registrar to
forward notice of refusal together with a statement of reasons
for refusal to the applicant.
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43 Surrender of certificate
(1) Subject to the consent of the Board, a registered agent's
representative may, at any time, surrender to the Board his or her
certificate of registration.
(2) Upon a surrender in accordance with subsection (1), the
registration ceases to have effect.
43A Renewal of registration
(1) A registered agent’s representative may apply to the Registrar to
renew their registration as an agent’s representative.
(2) An application for the renewal of a registration must:
(a) be lodged with the Registrar; and
(b) be in the approved form; and
(c) specify a further registration period of 1 year, 3 years or
5 years; and
(d) be accompanied by the prescribed fee for the registration
period specified in the application; and
(e) be made within 3 months before the expiry date of the
current registration.
(3) Subject to this Act, if an application for renewal is lodged in
accordance with subsection (2):
(a) the Registrar must renew the registration; and
(b) the current registration remains in force until the date that the
applicant is notified of the outcome of the renewal
application; and
(c) the renewed registration is taken to have commenced on the
date following the expiry date of the registration it renews.
(4) If the Registrar suspects that the holder of the registration who is
seeking the renewal of the registration is not a fit and proper person
within the meaning of section 20, the Registrar must:
(a) request the Board, in writing, to hold an inquiry to consider
whether the holder of the registration is not a fit and proper
person within the meaning of section 20; and
(b) notify the holder of the registration of the request to the
Board; and
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(c) receive approval from the Board before renewing the
registration.
(5) The Board must hold an inquiry if it receives a request under
subsection (4).
(6) After holding an inquiry, the Board must:
(a) approve the renewal of the registration; or
(b) refuse to approve the renewal of the registration.
(7) If the Board refuses to approve the renewal of the registration, the
Board must give the holder of the registration a written statement of
the reasons for its decision.
44 Disciplinary action
(1) The Board may take disciplinary action against an agent's
representative on one or more of the following grounds:
(a) the registration of the agent's representative was improperly
obtained;
(b) the agent's representative has been found guilty of an offence
against this Act;
(c) the agent's representative has been found guilty of an offence
against any other law that involves dishonesty, whether the
finding of guilt took place before or after the commencement
of this Act or within or outside the Territory;
(d) the agent's representative has acted in a manner that, had the
agent's representative been a licensed agent, would have
been in breach of the rules of conduct;
(e) any other reasonable ground which, in the opinion of the
Board, is sufficient to warrant the taking of disciplinary action
against the agent's representative.
(2) The Commissioner of Police may apply, by notice in writing lodged
with the Registrar, for disciplinary action to be taken against an
agent's representative on one or more of the grounds referred to in
subsection (1).
(3) The Registrar may apply, by notice in writing, for disciplinary action
to be taken against an agent's representative on one or more of the
grounds referred to in subsection (1).
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(4) Any other person may apply, by notice in writing lodged with the
Registrar, for disciplinary action to be taken against an agent's
representative on one or more of the grounds referred to in
subsection (1).
(5) Subject to subsection (6), where:
(a) an application for disciplinary action is made under this
section; or
(b) the Board considers that there may be grounds under
subsection (1) for the taking of disciplinary action against an
agent's representative,
the Board must hold an inquiry.
(6) The Board may, without holding an inquiry, reject an application
made under subsection (4) if:
(a) in the opinion of the Board, the application is of a frivolous,
irrelevant or malicious nature; or
(b) the Board is satisfied that there are no grounds for holding, or
insufficient evidence to hold, an inquiry.
(7) Where an application for disciplinary action is made under this
section, the Registrar must, as soon as is reasonably practicable,
serve a copy of the application on the agent's representative in
respect of whom the application was made.
44A Board may suspend registration pending inquiry
(1) Where the Board is to hold an inquiry under section 44(5), it may
suspend the registration of the agent's representative to whom the
inquiry relates until the conclusion of the inquiry.
(2) Where the Board suspends the registration of an agent's
representative under subsection (1), the Registrar must, by written
notice, inform the agent's representative of the suspension.
44B Powers of Board after inquiry
(1) If, at the conclusion of an inquiry under section 44(5), the Board is
satisfied that it is authorised to take disciplinary action against an
agent's representative, the Board may:
(a) reprimand or caution the agent's representative; or
(b) by written notice, impose a fine not exceeding 5 penalty units
on the agent's representative; or
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(c) by written notice, suspend the registration of the agent's
representative until the expiration of the period, or the
fulfilment of a condition, specified in the notice; or
(d) by written notice, cancel the registration of the agent's
representative and, if the Board thinks fit, specify a period that
is to expire or impose a condition that is to be fulfilled before
the person is eligible to apply for registration as an agent's
representative again.
(2) A suspension or cancellation of registration under subsection (1)
takes effect on:
(a) if the Board specifies in the notice the date on which the
suspension or cancellation takes effect – that date; or
(b) in any other case – the date on which the agent's
representative receives the notice of suspension or
cancellation.
(3) The Registrar must note in the register, in association with other
entries made in respect of the agent's representative the subject of
an inquiry under section 44(5), the fact of the holding of the inquiry
and the outcome of the inquiry.
(4) If, under subsection (1)(c) or (d), the Board:
(a) specifies a period; or
(b) imposes a condition,
in relation to the suspension or cancellation of the registration of an
agent's representative, the agent's representative may not be
engaged as an agent's representative, or the person is not eligible
to apply for registration as an agent's representative, until the
period has expired or the condition has been fulfilled to the
satisfaction of the Board, as the case may be.
(5) If the Board cancels the registration of an agent's representative
under subsection (1)(d) without specifying a period or imposing a
condition, the person whose former registration as an agent's
representative has been cancelled is not eligible to apply for
registration as an agent's representative without the approval of the
Board.
(6) The Board must give a written statement of the reasons for its
decision on the inquiry to:
(a) the agent's representative; and
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(b) if the inquiry was held by the Board because of an application
made under section 44(2), (3) or (4) – the person who made
the application.
44C Cancellation if become licensed as agent
Where the Registrar issues a licence under section 31 to a person
who is an agent's representative, the person's registration as an
agent's representative is, on the issue of the licence, cancelled by
force of this section.
45 Employer to be notified of suspension or cancellation of
agent's registration
Where the Board cancels, under section 44, the registration of an
agent's representative, the Registrar shall accordingly in writing
inform the licensed agent who employs that agent's representative.
46 Unemployed representative
While a registered agent's representative is not in the employ of a
licensed agent, his or her registration shall be deemed to be
suspended and to have no effect.
47 Notice of employment
Not later than 14 days after the commencement of or termination of
the employment of a registered agent's representative by a licensed
agent, the agent's representative and the agent shall each give the
Registrar notice in writing of that commencement or termination.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
48 Registrar may direct surrender
(1) Where the Registrar is notified under section 47 of the termination
of the employment of an agent's representative, the Registrar may
direct the agent's representative to surrender to the Board the
agent's representative's certificate of registration.
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Part V Trust moneys, trust accounts and agents' records
Division 1 Trust moneys and accounts
Agents Licensing Act 1979 36
(2) An agent's representative shall not fail to comply with a direction
under subsection (1) within 14 days after the date on which the
direction is given.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
Part V Trust moneys, trust accounts and agents'
records
Division 1 Trust moneys and accounts
49 Trust moneys
All moneys received by a licensed agent in the agent's capacity as
an agent and in the course of the business that the agent is
licensed to carry on and all moneys received by a licensed agent as
a stakeholder shall, for all purposes, be held in trust by the agent.
50 Opening of account
(1) A licensed agent must, within 7 days after the licence is granted to
the agent, open an account at an ADI in the Territory under a title
that includes:
(a) the name of the agent or, if the agent carries on the business
under a business name registered under the Business Names
Registration Act 2011 (Cth), the name under which the agent
carries on the business; and
(b) the words "Trust Account"; and
(c) if it is an account that holds only security deposits, as defined
in section 63 of the Business Tenancies (Fair Dealings)
Act 2003 or section 4 of the Residential Tenancies Act 1999,
and interest on such deposits – the additional words "Security
Deposits".
(2) A licensed agent must maintain an account opened in accordance
with subsection (1).
(3) Subsections (1) and (2) do not prevent a licensed agent from
opening and maintaining 2 or more trust accounts at an ADI or ADIs
under titles that include the matters mentioned in subsection (1)(a)
and (b).
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Division 1 Trust moneys and accounts
Agents Licensing Act 1979 37
(5) If an ADI holds an account of a class for this section it must, on a
day or the days agreed with the Fund, pay to the Fund any interest
accrued in respect of the account.
(6) Subsections (5) and (7) do not apply to or in relation to an account
indicated in accordance with subsection (1)(c) as a security deposit
account.
(7) In this section:
account means an account of a particular class or classes (being
an account that carries interest at a rate considered satisfactory by
the Fund) that has been agreed between the Fund and an ADI to
be a class of account approved for this section.
51 Notification of account
A licensed agent must, within 7 days after the agent opens an
account under section 50, notify the Registrar in writing of:
(a) the name and address of the ADI at which the trust account is
maintained; and
(b) the title of the account.
Maximum penalty: 20 penalty units.
52 Operation of trust account
(1) When a licensed agent receives trust moneys, he or she shall pay
those moneys into a trust account maintained by him or her.
(2) A payment under subsection (1) shall be made as soon as is
reasonably practicable after the licensed agent receives the trust
moneys.
(3) A licensed agent shall not pay money out of a trust account
maintained by him or her except by means of a cheque made
payable to a specified person, being a cheque that is crossed and
marked "not negotiable".
(4) A licensed agent shall not withdraw money from a trust account
maintained by him or her except for the purpose of:
(a) payment of his or her commission under contract; or
(b) payment to, or disbursement according to the directions in
writing of, the person for whom, or on whose behalf, the
money was received; or
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Division 2 Agents' records
Agents Licensing Act 1979 38
(c) repaying a debt lawfully required to be repaid from trust
moneys.
53 Protection of trust moneys
(1) Subject to subsection (2), moneys standing to the credit of a trust
account maintained by a licensed agent are not:
(a) available for the payment of debts of the licensed agent; or
(b) liable to be attached or taken in execution for the purpose of
satisfying a judgment against the agent.
(2) Nothing in subsection (1) prevents trust moneys held in trust for the
person for whom, or on whose behalf, the moneys were received
from being available for the discharge of the liability of the licensed
agent to that person.
54 Provisions relating to ADI accounts
(1) If a trust account is maintained at an ADI, the ADI is not under an
obligation to control or supervise transactions in relation to the trust
account or to verify the application by the agent of moneys drawn
out of the account.
(2) Subsection (1) does not authorise an ADI to pay money out of a
trust account except by the means mentioned in section 52(3).
(3) With respect to any liability of the agent to the ADI at which the
agent maintains a trust account, the ADI does not have and will not
have and will not obtain, a recourse or right, whether by way of
settlement, counter-claim, charge or otherwise, against moneys
standing to the credit of the trust account.
(4) This section does not relieve an ADI from a liability or obligation to
which it is subject apart from this Act.
Division 2 Agents' records
55 Accounting records
(1) A licensed agent shall keep such accounting records as disclose
particulars of:
(a) all trust moneys received from day to day by the agent on
behalf of each client for whom he or she acts; and
(b) all payments made by the agent from day to day out of the
trust moneys so received.
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Division 2 Agents' records
Agents Licensing Act 1979 39
(2) A licensed agent shall:
(a) keep the accounting records referred to in subsection (1):
(i) in written or printed form in the English language; or
(ii) so as to enable them to be readily accessible and readily
convertible into written or printed form in the English
language; and
(b) cause those records to be kept in such a manner that they can
be conveniently and properly audited; and
(c) retain those records for a period of not less than 6 years after
the date on which the last entry in those records was made.
Maximum penalty: If the offender is a natural person –
100 penalty units or imprisonment for
12 months.
If the offender is a body corporate –
500 penalty units.
56 Receipt for trust moneys
(1) A licensed agent shall give to a person from whom the agent
receives trust moneys a receipt clearly marked with the words
"Trust Account" and adequately specifying the subject-matter or
purpose in respect of which the money was received.
(2) A licensed agent shall keep a legible carbon duplicate of a receipt
given in accordance with subsection (1).
(3) A receipt relating to trust moneys shall be taken from a book that
bears a number or mark identifying the book and contains not less
than 50 receipt forms so arranged that a carbon duplicate of each
receipt remains in the book.
(4) A receipt and the carbon duplicate shall bear the same number or
mark, being such number or mark as enables the receipt to be
identified by reference to that number or mark.
(5) Subsections (2), (3) and (4) do not apply in relation to a licensed
agent who, in accordance with an authority given by the Board for
the purpose of this subsection, issues receipts in a manner
specified in the authority.
Maximum penalty: 20 penalty units.
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Division 3 Audit and inspection of trust accounts
Agents Licensing Act 1979 40
57 Business moneys other than trust moneys
(1) Subject to subsection (2), a licensed agent shall keep such
accounting records as disclose particulars of:
(a) all moneys, other than trust moneys, received by the agent in
the course of the agent's business as a licensed agent; and
(b) all payments out of those moneys made by the agent.
Maximum penalty: If the offender is a natural person –
100 penalty units or imprisonment for
6 months.
If the offender is a body corporate –
500 penalty units.
(2) Subsection (1) does not apply to a licensed agent that:
(a) is a company carrying on business as an agent within and
outside the Territory; and
(b) keeps accounting records, which include accounting records
of a description referred to in subsection (1), in accordance
with the requirements of the law of a State or another Territory
of the Commonwealth that most closely corresponds to this
Act and that relates to the keeping and audit of accounting
records of companies.
Division 3 Audit and inspection of trust accounts
58 Prescribed period
In this Division, prescribed period means:
(a) the period of 12 months ending on 30 June in each year; or
(b) the period of 12 months ending on such other date as the
licensed agent specifies, by notice in writing lodged with the
Registrar, to be the date in each year for the purpose of this
Part.
59 Audit
(1) A licensed agent shall ensure that the agent's accounting records
relating to trust moneys received and paid by the agent during the
prescribed period are audited within 3 months after the expiration of
each prescribed period.
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Division 3 Audit and inspection of trust accounts
Agents Licensing Act 1979 41
(1A) It is a defence to a prosecution for an offence against
subsection (1) if the licensed agent charged with the offence proves
that:
(a) the licensed agent engaged an auditor to carry out the audit at
a time when the auditor would reasonably be expected to
complete the audit within the period specified in that
subsection, but the auditor had failed to do so; and
(b) a written statement was forwarded to the Registrar by the
auditor or the licensed agent before the expiration of the
period specified in that subsection setting out the reasons for
the auditor's failure to complete the audit and specifying the
period within which the audit will be completed.
(2) A licensed agent shall produce to the auditor at an audit the
auditor's report in respect of the last preceding audit.
Maximum penalty: 20 penalty units or imprisonment for
3 months.
60 Qualifications of auditor
(1) A licensed agent shall not engage as the agent's auditor, or permit
the audit of the agent's accounting records relating to trust moneys
to be made by, a person who:
(a) is not a registered company auditor; or
(b) is an employee of, or is a partner of, or is a relation of, the
licensed agent; or
(c) is an employee of any other licensed agent; or
(d) is engaged in keeping and entering those records or has those
records in the agent's custody or control; or
(e) is himself or herself a licensed agent; or
(f) is a director, officer or employee of a company that is a
licensed agent; or
(g) is a person by whom a firm is constituted that is a licensed
agent; or
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Division 3 Audit and inspection of trust accounts
Agents Licensing Act 1979 42
(h) is an employee of, or is a partner of, or is a relation of, a
business manager of a company or firm that is a licensed
agent.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
(2) For the purposes of this section, relation means:
(a) the parent, grandparent, brother, sister, uncle, aunt, nephew,
niece, lineal descendant or adopted child of that person or of a
spouse or de facto partner of the person; or
(b) a spouse or de facto partner of that person or of any other
person specified in paragraph (a).
61 Furnishing of documents, information, &c.
Where an auditor requires a licensed agent for the purpose of an
audit of the agent's accounting records relating to trust moneys, the
licensed agent shall:
(a) produce to the auditor all receipt and other books, accounts,
securities and other documents and papers in the agent's
possession relating in any way to trust moneys received or
paid by the agent or relating to the transactions in respect of
which such moneys were received or paid during the
prescribed period to which the audit relates; and
(b) furnish to the auditor such information and answer such
questions relating to those receipt and other books, accounts,
securities and other documents and papers and in relation to
transactions by the agent in the course of the agent's business
as a licensed agent, as the auditor requires.
Maximum penalty: If the offender is a natural person –
50 penalty units or imprisonment for
6 months.
If the offender is a body corporate –
250 penalty units.
62 Auditor's report
(1) As soon as is reasonably practicable after the completion of an
audit pursuant to section 59, the auditor shall:
(a) prepare a report of the result of the audit; and
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Division 3 Audit and inspection of trust accounts
Agents Licensing Act 1979 43
(b) deliver the report to the licensed agent and a copy of the
report to the Board.
Maximum penalty: 20 penalty units.
(2) An auditor shall state in his or her report:
(a) whether, in the auditor's opinion, the licensed agent had kept
the accounting records relating to all trust moneys received
and paid by the agent in accordance with this Act; and
(b) whether those records were ready, within a reasonable time,
for the auditor's examination after the auditor had required
their production; and
(c) whether the agent had complied with the auditor's other
requirements and so complied within a reasonable time; and
(d) anything in relation to those records of which the agent or the
Board should, in the opinion of the auditor, be informed.
Maximum penalty: 20 penalty units.
63 Special report
Where, in the course of an audit, an auditor considers:
(a) that the accounting records relating to trust moneys have been
so kept that he or she has not been able to audit them
properly; or
(b) that there is a loss or deficiency of trust moneys or a failure to
pay or account for trust moneys; or
(c) that there has been a failure to comply with a provision of this
Part,
the auditor shall forthwith report accordingly, in writing, to the agent
and, at the same time, forward a copy of the report to the Board.
Maximum penalty: 20 penalty units.
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Part V Trust moneys, trust accounts and agents' records
Division 4 Inspections
Agents Licensing Act 1979 44
Division 4 Inspections
64 Inspectors
(1) An inspector may, at any reasonable time, do any of the following:
(a) inspect all receipts, books, accounts, securities and any other
documents and papers relating to the operation of the
business of the licensed agent, including trust moneys
received or paid by the licensed agent;
(aa) inspect all documents or certificates relating to indemnity
insurance referred to in Part XIIA of a licensed agent or former
licensed agent;
(b) inspect all accounting records of a description referred to in
section 57 kept by a licensed agent;
(c) for the purposes of paragraph (a), (aa) or (b), require a
licensed agent or any other person in whose custody or
control those receipts or other books, accounts, securities,
documents, papers or accounting records, or those
documents or certificates relating to indemnity insurance
referred to in Part XIIA, are, to produce and to hand over to
the inspector those receipts or other books, accounts,
securities, documents, papers or accounting records or those
documents or certificates relating to indemnity insurance
referred to in Part XIIA;
(d) require an explanation of a document or paper referred to in
paragraph (c).
(2) A person to whom a requirement under subsection (1) is made,
shall not refuse or fail to comply with that requirement.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
(3) An inspector may make notes, copies of extracts from or copies of,
any books, accounts, securities, documents, papers or accounting
records or a document or certificate relating to indemnity insurance
referred to in subsection (1).
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Part VI Rules of conduct for agents
Agents Licensing Act 1979 45
(4) For the purposes of subsection (3), an inspector may retain, for the
period that the inspector considers necessary, any book, account,
security, document, paper or accounting record or a document or
certificate relating to indemnity insurance referred to in
subsection (1).
Part VI Rules of conduct for agents
64A Rules of conduct for agents
(1) Regulations may prescribe rules of conduct for real estate agents,
business agents and conveyancing agents.
(2) For the purpose of consultation on proposed rules of conduct for
agents, the Minister may:
(a) arrange for consultation with, and invite submissions from, the
Board, the Real Estate Institute of the Northern Territory and
the prescribed persons and organisations, if any, about the
proposed rules; and
(b) give notice in a newspaper circulating in the Territory that
rules of conduct for real estate agents, business agents or
conveyancing agents, as the case may be, are proposed and
that members of the public are invited to make written
submissions to the Minister about the proposed rules.
65 Rules of conduct
(1) A licensed agent must not breach the rules of conduct.
(2) A licensed agent who attempts to do an act the doing of which
would be a breach of the rules of conduct for agents, or agents of a
class of which he is one, is guilty of a breach of the rules of conduct
for agents.
(3) Where a licensed agent who carries on business as a member of a
firm contravenes or fails to comply with a provision of Part V, each
licensed agent who is a member of the firm shall be deemed to be
guilty of the contravention of, or failure to comply with, that
provision.
(4) A company or firm is guilty of a breach of the rules of conduct for
agents if:
(a) the company or firm is a licensed agent acting on behalf of a
client; and
(b) a director or employee of the company or firm does an act, or
fails to do an act, or attempts to do an act, the doing of, or the
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Agents Licensing Act 1979 46
failure to do, which would, if the director or employee were a
licensed agent, make the director or employee guilty of a
breach of the rules of conduct for agents.
Part VIA Agreements between licensed agents and
clients
65A Prescription of terms, &c., of agreement
(1) Subject to section 65B, the Minister must, by notice in the Gazette,
prescribe:
(a) the terms, conditions and provisions of an agreement between
a licensed agent and a client or a class of client that the
Minister considers necessary to be included in the agreement
for the purpose of protecting the interests of the client or class
of client; and
(b) the circumstances when a licensed agent must enter into an
agreement with a client or a class of client.
(2) In addition to prescribing the matters under subsection (1), the
Minister may, by notice in the Gazette, prescribe the form of an
agreement which a licensed agent may choose to use when
entering into an agreement with a client or a class of client.
65B Consultation regarding agreements
(1) For the purpose of prescribing the matters under section 65A(1),
the Minister must direct the Registrar to:
(a) arrange for consultation with, and invite submissions from, the
Board and the prescribed persons and organisations, if any;
and
(b) give notice in a newspaper circulating in the Territory inviting
written submissions from members of the public,
with respect to those matters.
(2) The Registrar:
(a) must report in writing to the Minister on the outcome of each
consultation under subsection (1); and
(b) must provide the Minister with a copy of each submission
received under that subsection, if any; and
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Part VIA Agreements between licensed agents and clients
Agents Licensing Act 1979 47
(c) may make recommendations to the Minister in respect of the
consultations, submissions and the matters to be prescribed
under section 65A(1).
(3) In prescribing the matters referred to in section 65A(1) the Minister
is to consider and take into account:
(a) the outcome of each consultation under subsection (1); and
(b) the submissions received under that subsection, if any; and
(c) the recommendations made by the Registrar, if any; and
(d) any other matter he or she thinks relevant.
65C Form of agreement
An agreement between a licensed agent and a client that is entered
into after the commencement of the Agents Licensing Amendment
Act 1997 is to be:
(a) in writing; and
(b) if the agreement is entered into in prescribed circumstances –
read as incorporating and being subject to the terms,
conditions and provisions prescribed under section 65A(1).
65D Application of prescribed terms, &c.
In the event of an inconsistency between a term, condition or
provision of an agreement referred to in section 65C(b) and a term,
condition or provision prescribed under section 65A(1), the
prescribed term, condition or provision prevails, and the first-
mentioned term, condition or provision is void and of no effect to the
extent of the inconsistency.
65E Special provisions relating to conveyancing agents
(1) A conveyancing agent is not entitled to receive remuneration in
respect of services provided in that capacity unless a valid
appointment to act in that capacity has been signed, before the
services are provided, by:
(a) the party to the transaction for whom the services are to be
provided; or
(b) some other person:
(i) who is lawfully authorised to sign on behalf of the person
for whom the services are to be provided; and
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Part VII Surrender and revocation of licences
Agents Licensing Act 1979 48
(ii) who is not a real estate agent or other commission agent
or an employee or agent of a real estate agent or other
commission agent who is acting for a party in the
transaction.
(2) A person may recover remuneration for services provided as a
conveyancing agent although there is no valid appointment as
required by subsection (1) if:
(a) the party to the transaction for whom the services were
provided has certified that the party was aware of the
provisions of subsection (1) and has ratified in writing the
appointment of the conveyancing agent; or
(b) a court before which the claim for remuneration is heard is
satisfied that in all the circumstances it would be unjust to
deprive the agent of all or a part of the remuneration.
(3) If an appointment of a conveyancing agent is terminated before the
transaction is completed, the agent is entitled to recover the
proportion of the quoted remuneration that is reasonable in the
circumstances.
(4) A person for whom a conveyancing agent is acting may request the
agent to supply to him or her a bona fide quote of the cost of the
services of the agent in respect of the particular transaction to
which the request relates.
(5) A conveyancing agent must, within 14 days after a request is made
under subsection (4) by a person, supply to the person the
information requested under that section.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
(6) A conveyancing agent is not entitled to claim a possessory or other
lien over documents for the agent's fees or otherwise.
Part VII Surrender and revocation of licences
66 Surrender
(1) A licensed agent may, by notice in writing delivered to the
Registrar, apply to the Board for permission to surrender the licence
of the agent commencing on a date that is a date not earlier than
one month after the date on which the notice is delivered to the
Registrar.
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Agents Licensing Act 1979 49
(2) The Board is not required to grant permission to a licensed agent to
surrender the licence of the agent where:
(a) the Board has, before the date of delivery by a licensed agent
of a notice under subsection (1), resolved or resolves, within
the period of one month referred to in that subsection, to hold
an inquiry under section 68(1); or
(b) the Registrar has, before the date of delivery by a licensed
agent of a notice under subsection (1), delivered or delivers,
within the period of one month referred to in that subsection, a
statement under section 68(2).
(3) Where the Board holds an inquiry pursuant to section 68 and does
not revoke the licence of a licensed agent, the Board may, after that
inquiry, grant permission to the licensed agent to surrender the
agent's licence.
67 Grounds for disciplinary action
(1) Subject to this Part, the Board may take disciplinary action in
accordance with this Part against a licensed agent on one or more
of the following grounds:
(a) the licence was obtained by means of misrepresentation, a
false or misleading statement;
(b) in the case of a licensed agent not being a company or firm,
the agent has been found guilty of an offence that involves
dishonesty, whether the finding of guilt took place before or
after the commencement of this Act and either within or
outside the Territory;
(c) the licensed agent has been guilty of a breach of the rules of
conduct for agents;
(d) the licensed agent has contravened or failed to comply with a
direction of the Board under section 69(3);
(e) a licence under a law of a State or Territory providing for the
licensing of real estate agents or of business agents or of
conveyancing agents (by whatever name called) granted to
the licensed agent has, under that law, been cancelled or
revoked or a renewal of such licence has been refused;
(f) subject to section 111, in the case of a licensed agent being a
company or firm, the company or firm has carried on business
as a licensed agent for a period during which a business
manager of the company or firm was not a licensed real estate
agent, business agent or conveyancing agent as the case
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Part VII Surrender and revocation of licences
Agents Licensing Act 1979 50
requires;
(g) the licensed agent has contravened or failed to comply with a
provision of Part XII with respect to licensed agents;
(h) the licensed agent has not paid within the prescribed time the
prescribed annual fee payable by the agent;
(j) the licensed agent has ceased to carry on business in the
Territory as a licensed agent or has failed to maintain an office
in Australia;
(ja) the licensed agent has failed to take out or to maintain
indemnity insurance referred to in Part XIIA as required by or
under this Act;
(k) the licensed agent does not meet the conditions of eligibility,
specified in Division 2 of Part III, which relate to the licence of
the licensed agent, other than such conditions which the
Board has, under this Act, waived;
(m) any other reasonable ground which, in the opinion of the
Board, is sufficient to warrant revocation of the licence of the
agent.
(2) For the purposes of this Part, the revocation by the Board of a
licence is deemed to include a direction by the Board to the
Registrar not to renew a licence.
68 Applications for disciplinary action
(1) The Commissioner of Police may apply, by notice in writing lodged
with the Registrar, for disciplinary action to be taken against a
licensed agent on one or more of the grounds referred to in
section 67.
(2) The Registrar may apply, by notice in writing, for disciplinary action
to be taken against a licensed agent on one or more of the grounds
referred to in section 67.
(3) Any person may apply, by notice in writing lodged with the
Registrar, for disciplinary action to be taken against a licensed
agent on one or more of the grounds referred to in section 67.
(4) Where:
(a) subject to subsection (5), an application for disciplinary action
to be taken against a licensed agent is lodged in accordance
with this section; or
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Agents Licensing Act 1979 51
(b) the Board considers that there may be grounds under
section 67 for disciplinary action to be taken against a licensed
agent,
the Board shall hold an inquiry.
(5) The Board may, without holding an inquiry, reject an application for
disciplinary action to be taken against a licensed agent where:
(a) the application was made under subsection (3) and is, in the
opinion of the Board, of a frivolous, irrelevant or malicious
nature; or
(b) the application was made (by virtue of section 67(1)(c)) in
respect of a breach of section 59(1) and the Board is satisfied
that the licensed agent has, or would have, a defence to a
prosecution for an offence against that subsection; or
(c) the Board is satisfied that there are no grounds for holding, or
there is insufficient evidence to hold, an inquiry; or
(d) the conduct referred to in the application occurred more than
2 years before the date the application is made.
(5A) Despite subsection (5)(d), the Board may hold the inquiry if the
Board is satisfied there are grounds to hold the inquiry.
(6) Where a notice of application for disciplinary action to be taken
against a licensed agent is lodged with the Registrar in accordance
with this section, the Registrar shall, as soon as is reasonably
practicable, serve a copy of that notice on the licensed agent in
respect of whom the application is made.
68A Board may suspend licence pending inquiry
(1) Subject to this section, where the Board is to hold an inquiry
referred to in section 68(4), it may, as it thinks fit, suspend the
licence of the licensed agent to which the inquiry relates until the
conclusion of that inquiry.
(2) Where, under subsection (1), the Board suspends the licence of a
licensed agent, the Registrar shall accordingly, by notice, inform the
licensed agent and where the agent is:
(a) an employee or director of a company which is a licensed
agent – the company; or
(b) an employee of a firm which is a licensed agent or a person by
whom such a firm is constituted – the firm.
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(3) A suspension under subsection (1) does not take effect until the
day immediately after the date on which the notice, under
subsection (2), is given to the licensed agents.
69 Powers of Board after inquiry
(1) If, at the conclusion of an inquiry conducted under section 68(4),
the Board is satisfied that it is authorised to take disciplinary action
against a licensed agent, the Board may do one or more of the
following:
(a) reprimand or caution the agent;
(b) by written notice, impose a fine not exceeding 50 penalty units
on the agent;
(c) by written notice, suspend the licence of the agent until the
expiration of the period, or the fulfilment of a condition,
specified in the notice;
(d) by written notice, revoke the licence of the agent.
(1A) The Board must, for the purposes of taking action of a kind
specified in subsection (1)(a), (b), (c) or (d), take into account a
period of suspension, if any, imposed under section 68A(1) on the
licensed agent in respect of whom it proposes to take that action.
(2) If the Board decides to take action of a kind specified in
subsection (1)(a), (b), (c) or (d), the Registrar must accordingly in
writing inform:
(a) in the case of a licensed agent or former licensed agent, as
the case may be, who is an employee of, or a director of, a
company which is a licensed agent – that company; or
(b) in the case of a licensed agent or former licensed agent, as
the case may be, who is an employee of a firm which is a
licensed agent or a person by whom such a firm is
constituted – that firm,
as the case requires.
(3) If the Board decides to take action of a kind specified in
subsection (1)(a), (b) or (c), the Board may, by written notice, direct
the licensed agent to take, or to refrain from taking, a specified
action within such time as the Board specifies in the notice.
(4) The Board may, if it thinks fit, either before or after the expiration of
a period fixed under subsection (1)(c) or (3), extend that period.
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Agents Licensing Act 1979 53
(5) If the Board revokes a licence under subsection (1)(d), the Board
may, in the notice referred to in that subsection, specify a period
that must elapse or impose a condition that must be fulfilled before
the person formerly licensed may apply again for a licence.
(6) If a period is specified or a condition imposed under subsection (5),
the person formerly licensed is not eligible to apply for a licence
until the expiration of that period or the fulfilment of that condition to
the satisfaction of the Board, as the case may be.
(7) If the Board revokes a licence under subsection (1)(d) and does not
specify a period that must elapse or impose a condition that must
be fulfilled under subsection (5), the person formerly licensed is not,
without the approval of the Board, eligible to apply for a licence.
(8) The Board must give a written statement of the reasons for its
decision on the inquiry to:
(a) the licensed agent; and
(b) if the inquiry was held by the Board because of an application
made under section 68(1), (2) or (3) – the person who made
the application.
69A Profits to be repaid
(1) Where the Board has, at the conclusion of an inquiry, taken action
under section 69(1), and is satisfied that the licensed agent or
person mentioned in section 65(4)(b) has by means of his or her
breach of the rules of conduct made a profit which the agent or
person would not, but for his or her breach of those rules, have
made, the Board may require the agent or person to pay over to the
person at whose expense, or in relation to whose affairs, the profit
has been made, the amount of that profit or such amount of money
as, in the opinion of the Board, is equivalent to that profit.
(2) An amount ordered by the Board to be paid to a person under
subsection (1) may be sued for and recovered at the suit of the
Board.
70 Effect of suspension or revocation
(1) A licence that is suspended under section 69(1)(c) or revoked
under section 69(1)(d) ceases to have effect on and from:
(a) the day on which the licence is suspended or revoked, as the
case may be; or
(b) such other date as the Board may specify in the notice
referred to in section 69(1)(c) or (d), as the case may be.
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Part VIII Receivers
Agents Licensing Act 1979 54
(2) A licence that is suspended under section 69(1)(c) shall, unless the
Board otherwise determines, have no effect until the expiration of
the period specified in the notice referred to in that subsection.
(3) Where a licence is suspended under section 69(1)(c) or revoked
under section 69(1)(d), the Registrar shall note in the register:
(a) the fact of suspension and the period specified in the notice
referred to in section 69(1)(c); or
(b) the fact of revocation and the period, if any, specified in the
notice referred to in section 69(1)(d) that is to elapse or any
condition that is to be fulfilled, before the person formerly
licensed may apply for a licence,
as the case requires.
Part VIII Receivers
71 Appointment
(1) The Board may apply to the Supreme Court to appoint a registered
company auditor to be receiver of the trust moneys of a licensed
agent in the following circumstances:
(a) where the Board is required to hold an inquiry under
section 68(4);
(b) where an agent has, through physical or mental illness,
become incapable of carrying on business as an agent;
(c) on the death of an agent;
(d) or any other ground that the Board thinks fit, and the Supreme
Court may appoint the registered company auditor
accordingly.
(2) The Board may apply to the Supreme Court for the appointment of
a registered company auditor as the receiver of moneys received
by a person who, although not licensed under this Act, appears to
the Board to be carrying on business as a real estate agent,
business agent or conveyancing agent, and the Supreme Court
may, if satisfied that the person is holding moneys in that capacity,
appoint the registered company auditor accordingly.
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Part VIII Receivers
Agents Licensing Act 1979 55
72 Responsibility
(1) A receiver appointed under this Part:
(a) is responsible to the Supreme Court for his or her acts and for
the performance of transactions entered into by the receiver;
and
(b) shall report to the Board as often as required by the Supreme
Court.
(2) The Supreme Court may replace a receiver appointed under this
Part with another registered company auditor to be receiver of the
trust moneys of the agent.
73 Notice to ADI
(1) A receiver appointed under this Part may:
(a) in writing, give to the manager or other officer in charge of the
branch of the ADI at which the agent maintains or has
maintained the agent's trust account, notice of the
appointment of the receiver; and
(b) by the same or a subsequent instruction in writing, withdraw
the authority, or purported authority, of the agent, and of any
other persons authorised, or purported to be authorised, by
the agent, to sign cheques or other authorities for the payment
of moneys out of the trust account.
(2) If, by a notice given under subsection (1), the receiver has
withdrawn the authority, or purported authority, of the agent, and of
any other persons authorised, or purported to be authorised, by the
agent, to sign cheques or other authorities for the payment of
moneys out of the trust account:
(a) the branch of the ADI must not, except with the approval of the
receiver, pay any moneys out of the trust account on cheques
or other authorities signed by the agent or any other person
authorised, or purported to be authorised, by the agent; and
(b) only the receiver and a person authorised by the receiver by
written notice delivered to the branch of the ADI are
authorised to sign cheques or other authorities for the
payment of moneys out of the account.
(3) A purported payment of moneys out of an account in contravention
of subsection (2) is of no effect.
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Part VIII Receivers
Agents Licensing Act 1979 56
(4) The receiver must cause a copy of an instrument given under this
section to be served on the agent either:
(a) personally; or
(b) by leaving it at the last-known place of residence of the agent.
73A Access to books, &c.
For the purposes of this Act, a receiver appointed under section 71:
(a) shall have full and free access at all reasonable times to all
books, documents and other papers kept by or on behalf of an
agent; and
(b) may, for those purposes, take extracts from, and make copies
of, any books, documents or papers kept by or on behalf of an
agent.
74 Powers of receiver
(1) A receiver appointed under this Part may do all things and shall
perform all functions that a licensed agent is permitted to do, or
required to perform, by this Act.
(2) An agent shall not be personally liable for any default of the
receiver appointed for the agent unless the agent is a party to the
default.
75 Remuneration
(1) A receiver appointed under this Part:
(a) shall be paid such fees and allowances and at such rates as
the Supreme Court may determine; and
(b) is entitled to reimbursement of the expenses necessarily
incurred by him or her in carrying out the receivership.
(1A) The Board may pay to the receiver from the moneys of the Fund
the fees and allowances and expenses referred to in subsection (1).
(2) The receiver or, if it has exercised its powers under
subsection (1A), the Board may recover from the agent for whom
the receiver is appointed or (not being a company or firm) if dead,
his or her estate:
(a) an amount of fees and allowances paid or payable to the
receiver; and
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Part IX Inquiries by Board
Agents Licensing Act 1979 57
(b) the amount of the reimbursement of expenses paid or payable
to the receiver.
76 Interpretation
In this Part, unless the contrary intention appears:
agent includes a person referred to in section 71(2).
trust account includes an account into which moneys referred to in
section 71(2) have been paid.
trust moneys include moneys referred to in section 71(2).
Part IX Inquiries by Board
77 Inquiries
(1) Where, by this Act, the Board may or is required to hold an inquiry,
the Chairperson shall fix a time and place for the holding of the
inquiry.
(2) The Chairperson shall cause notice of the matter to be inquired into
and of the time and place fixed for the holding of the inquiry to be
given to the parties not less than 7 days before the date fixed for
the hearing.
(3) The Board may adjourn the holding of an inquiry from time to time
and from place to place.
(5) At an inquiry the Board may require a person appearing before it to
give evidence on oath.
(6) Subject to this Act, the procedure at an inquiry is at the discretion of
the Board.
(7) A party may be represented by a legal practitioner, or by another
person, who may examine witnesses and address the Board on
behalf of the person for whom he or she appears.
(8) At an inquiry the Board may be assisted by a legal practitioner or by
another person, who may examine witnesses and address the
Board.
(9) In conducting an inquiry the Board is not bound by rules of
evidence but may inform itself in such manner as it thinks fit.
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Part IX Inquiries by Board
Agents Licensing Act 1979 58
(10) In this section, party means:
(a) at an inquiry in relation to the grant of a licence or the
registration of a person as an agent's representative – the
applicant for the grant of a licence or registration and a person
who has lodged an objection to the grant of a licence or
registration; and
(b) at any other inquiry – the agent or agent's representative
concerned in the subject matter of the inquiry and a person
who has made an application under section 44 for the
cancellation of a registration or under section 68 for the
revocation of a licence,
and includes the Registrar and the Commissioner of Police.
78 Power to summon witnesses
(1) The Chairperson may, in writing, summon a person to attend an
inquiry at a time and place specified in the summons and then and
there to give evidence and produce such books and other
documents in the person's custody or control as the person is
required by the summons to produce.
(2) A summons under subsection (1) may be served:
(a) personally; or
(b) by sending it to the person's last-known place of residence or
business; or
(c) by leaving it at that place of business or residence with a
person apparently having attained the age of 16 years.
79 Failure to attend or produce documents
(1) A person served with a summons to attend an inquiry shall not
refuse or fail, without reasonable excuse:
(a) to attend the inquiry; or
(b) subject to subsection (2), to produce at the inquiry the books
or other documents in the person's custody or control that the
person is required by the summons to produce.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
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Part IX Inquiries by Board
Agents Licensing Act 1979 59
(2) It is a defence to a charge in respect of a refusal or failure, without
reasonable excuse, to produce at an inquiry a book or other
document if the accused proves that the book or other document
was not relevant to the subject-matter of the inquiry.
80 Refusal to take oath or give evidence
(1) A person appearing as a witness at an inquiry must not refuse to
take an oath when required by the Board to do so or to answer a
question relevant to the proceedings put to the person by a
member.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
(2) A statement or disclosure made before the Board by a witness is
not, except in proceedings for giving false testimony at an inquiry,
admissible in evidence in civil or criminal proceedings.
81 Record of evidence of witnesses
(1) A record of the evidence of a witness at an inquiry shall be made in
the manner specified by the Board.
(2) The Registrar shall have the custody of a record of evidence made
in accordance with subsection (1).
(3) The Registrar may give directions that a transcript of the record of
any evidence made in accordance with subsection (1) be prepared.
(4) Where a transcript of a record is prepared in accordance with the
directions of the Registrar given under subsection (3), the person
who prepared the transcript, or under whose supervision the
transcript was prepared, shall certify on the transcript in writing that
the transcript is a true transcript of a record produced out of the
custody of the Registrar.
(5) Where a record that purports to be a record made in accordance
with subsection (1) of the evidence of a witness at an inquiry is
produced out of the custody of the Registrar, the record is, unless
the contrary is proved, evidence that the person gave that evidence
at that inquiry.
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Agents Licensing Act 1979 60
(6) Where:
(a) a document purports to be a transcript, or a copy of a
transcript, of a record, made in accordance with
subsection (1), of evidence given by a witness at an inquiry;
and
(b) the document bears a certificate that purports to be a
certificate made in accordance with subsection (4),
the document is, unless the contrary is proved, evidence that the
witness gave at that inquiry the evidence of which the document
purports to be a transcript.
(7) On an application made to the Registrar by:
(a) a person represented at an inquiry; or
(b) a person who satisfies the Registrar that the person has good
reason for requiring a copy of a transcript or of any evidence
recorded in accordance with this section,
the Registrar may, upon payment by the applicant of the prescribed
fee, supply to the applicant a copy of the transcript or of the
evidence so recorded.
82 Protection of members
An action or proceeding, civil or criminal, does not lie against the
Board or a member in respect of anything done in good faith by the
Board or a member in its or the member's capacity as the Board or
as a member.
83 Protection of persons appearing before Board
(1) A legal practitioner or other person appearing before the Board has
the same protection and immunity as a legal practitioner has in
appearing for a party in proceedings in the Supreme Court.
(2) A witness summoned to attend or appear before the Board has the
same protection as a witness in proceedings in the Supreme Court.
84 Board may inspect books, &c.
(1) A member may inspect books or other documents or writings
produced at an inquiry and shall return them as soon as practicable
after the completion of the inquiry.
(2) A member may make a copy of, or copies of such portions of, those
books or other documents as are relevant to a matter before the
Board.
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Part XII Fidelity Fund
Division 1 Educational schemes and grants to industry bodies
Agents Licensing Act 1979 61
84A Publication of findings and determination
(1) The Board must publish, in any manner that makes it publicly
available in the Territory, its findings and determinations under
sections 44 and 68 as soon as practicable after making the findings
and determinations.
(2) In publishing its findings and determinations, the Board may
withhold any information from the public if satisfied there are
reasonable grounds for doing so.
(3) No criminal or civil proceeding lies against an officer or employee of
the Board for or in relation to an action taken in good faith for the
purpose of complying with subsection (1).
84B Proceedings to be open to public
An inquiry under section 44 or 68 is to be open to the public unless
the Board determines that the inquiry, or part of the inquiry, is to be
closed to the public.
Part X Review of decisions
85 Review by NTCAT
(1) NTCAT has jurisdiction to review a decision (a reviewable
decision) specified in Schedule 2.
(2) An affected person, for a reviewable decision, is a person
specified in Schedule 2 for the decision.
(3) An affected person for a reviewable decision may apply to NTCAT
for review of the decision.
Note for section 85
The Northern Territory Civil and Administrative Tribunal Act 2014 sets out the
procedure for applying to NTCAT for review and other relevant matters in relation
to reviews.
Part XII Fidelity Fund
Division 1 Educational schemes and grants to industry
bodies
92 Application of money for educational schemes
(1) If the amount standing to the credit of the moneys of the Fund is
greater than 1 million monetary units (or, if another amount is
determined by the Administrator, that amount), the Minister may
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Part XII Fidelity Fund
Division 1 Educational schemes and grants to industry bodies
Agents Licensing Act 1979 62
consent to the use by the Registrar of a specified amount or
proportion of the Fund for the purposes specified in subsection (2).
(2) The Registrar may use the amount or proportion of the Fund
specified by the Minister under subsection (1) to enable the Board
to establish and conduct a scheme for the payment of all or part of
the costs or other expenses related to educational courses (except
fees or other expenses of students attending or undertaking an
educational course).
(3) An amount of money may only be allocated to a person under
subsection (2) for the provision of an educational course if:
(a) the person is a registered training organisation; and
(b) the educational course to be provided by the registered
training organisation is approved under section 22A or 31B or
is a VET accredited course or part of a Training Package.
(4) The Board may determine the registered training organisation or
registered training organisations to which the monies of the Fund
are to be allocated for the purposes specified in subsection (2).
(5) The Board must, within 30 days after the end of each financial year,
give the Minister a written report on the Board's activities for the
purposes of this section.
(6) In this section:
educational course means a course relating to laws applying to
and in relation to licensed agents and their business and the
practices and procedures of licensed agents in their business, but
does not include a course:
(a) the purpose of which relates to the tactics or techniques of
selling or advertising; or
(b) that the Board declares not to be an educational course.
registered training organisation, see section 3 of the National
Vocational Education and Training Regulator Act 2011 (Cth).
Training Package means a training package as defined in
section 4 of the Training and Skills Development Act 2016.
VET accredited course, see section 3 of the National Vocational
Education and Training Regulator Act 2011 (Cth).
-- 68 of 116 --
Part XII Fidelity Fund
Division 1 Educational schemes and grants to industry bodies
Agents Licensing Act 1979 63
93 Grants to industry bodies
(1) The Minister may determine that an amount of the money of the
Fund be paid to an industry body if the Minister is satisfied the body
has expended, or will expend, money for one or more of the
following purposes:
(a) improving regulatory compliance;
(b) improving the quality of services provided by persons
regulated under this Act.
(2) The Minister must not make the determination unless the Minister
has first consulted with:
(a) the Fund regarding the ability to pay the money; and
(b) the industry body to whom it is proposed to pay the money
regarding the purpose to which the money has been, or is to
be, put; and
(c) the Board.
(3) The determination may impose terms and conditions for the
payment of the money to the industry body.
(4) An industry body may apply to the Minister for payment of money
from the Fund.
(5) The application must:
(a) specify the period during which the body has expended, or
proposes to expend, money for the purposes referred to in
subsection (1)(a) or (b); and
(b) include details of the money expended, or proposed to be
expended, including the purpose to which it has been, or is to
be, put.
(6) In this section:
industry body means an industry representative body that has a
role in improving the service the industry provides.
Examples for definition of industry body in subsection (6)
1. Real Estate Institute of the Northern Territory.
2. Australian Institute of Conveyancers.
-- 69 of 116 --
Part XII Fidelity Fund
Division 2 Agents Licensing Fidelity Guarantee Fund of the Northern Territory
Agents Licensing Act 1979 64
Division 2 Agents Licensing Fidelity Guarantee Fund of the
Northern Territory
94 Establishment of Fund
(1) There is established by this section the Agents Licensing Fidelity
Guarantee Fund of the Northern Territory.
(2) The Fund:
(a) is a body corporate with perpetual succession; and
(b) shall have a common seal; and
(c) is capable, in its corporate name, of acquiring, holding and
disposing of real (including leasehold) and personal property
and of suing and being sued.
(3) All courts, judges and persons acting judicially shall take judicial
notice of the common seal of the Fund affixed to a document and
shall assume that it was duly fixed.
(4) The functions of the Fund are to maintain and operate the moneys
of the Fund.
(5) Subject to this Act, the Fund has power to do all things that are
necessary or convenient to be done for or in relation to or incidental
to the performance of its functions.
(6) The Minister may, by instrument in writing, determine the manner in
which the Fund shall maintain and operate the moneys of the Fund,
including the investment of moneys surplus to its immediate
requirements and the acquisition, holding or disposal of real or
personal property, and the Fund shall act in accordance with the
determinations of the Minister, if any.
(7) Subject to the determinations, if any, made by the Minister under
subsection (6), the Fund shall:
(a) keep separate records of all transactions concerning the
moneys of the Fund; and
(b) provide copies of the records to the Board upon demand but,
in any case, not less than once in each period of 3 months;
and
(c) ensure that each cheque of the Fund is signed by the
Registrar and another member of the Fund or, in the absence
of the Registrar, by the 2 other members of the Fund.
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Part XII Fidelity Fund
Division 2 Agents Licensing Fidelity Guarantee Fund of the Northern Territory
Agents Licensing Act 1979 65
(7A) The Fund must, each year, ensure that:
(a) its accounts are prepared in accordance with Australian
accounting standards; and
(b) those accounts are audited by a registered company auditor;
and
(c) a copy of the audit report is forwarded to the Minister before
30 June.
(8) The exercise of the powers and functions of the Fund shall not be
affected by reason only of there being a vacancy in the office of a
member of the Fund.
95 Members of Fund
(1) The Fund consists of the following members:
(a) the Registrar;
(b) the Chairperson;
(c) one person appointed by the Minister who, in the Minister's
opinion, has expertise and experience in finance and
investment;
(d) one person appointed by the Minister on the recommendation
of the Chief Executive Officer of the Agency administering the
Financial Management Act 1995;
(e) one person appointed by the Minister who is a member of an
industry body, as defined in section 93(6).
(2) Subject to subsections (3) and (4), the appointed members:
(a) hold office for a period of 2 years; and
(b) are eligible for re-appointment.
(3) An appointed member may resign from office by written notice
signed by or with the authority of the member and given to the
Minister.
(4) The Minister may terminate the appointment of an appointed
member.
95AA Alternate members
(1) The Minister may, at any time, appoint a person as the alternate of
a member.
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Part XII Fidelity Fund
Division 2 Agents Licensing Fidelity Guarantee Fund of the Northern Territory
Agents Licensing Act 1979 66
(2) An alternate member may act while the member for whom the
person is the alternate is prevented from performing the duties of
office by illness, absence, the operation of section 95AB or other
reason considered sufficient by the Registrar.
(3) An alternate member holds office during the same period as the
member for whom the person is the alternate, or for any shorter
period specified by the Minister.
(4) A person appointed as the alternate of a member mentioned in
section 95(1)(c) to (e) is subject to the same qualifications as that
member.
95A Meetings of Fund
(1) The Registrar shall call such meetings of the Fund as are
necessary for the exercise of its powers and the performance of its
functions, but the interval between one meeting and the next shall
not exceed 3 months.
(2) Subject to subsections (3) and (4), the Fund shall determine the
procedure to be followed at or in relation to its meetings.
(3) The Registrar shall preside at the meetings of the Fund.
(3A) Three members of the Fund constitute a quorum.
(4) The Fund shall keep records of its meetings.
95AB Conflict of interest of member
(1) A member who has a direct or indirect interest in a matter being
considered or about to be considered by the Fund must disclose
the nature of the member's interest at a meeting of the Fund, or in
writing to the other members, as soon as possible after the relevant
facts come to the member's knowledge.
(2) A member must not take part in any deliberation or decision of the
Fund relating to a matter in which the member has a direct or
indirect interest.
(3) The Fund must record disclosures made under subsection (1) in the
minutes of the Fund.
(4) A member who has a direct or indirect interest in a matter being
considered or about to be considered by the Fund must not form
part of a quorum in relation to the matter.
(5) A person commits an offence if:
(a) the person is a member; and
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Part XII Fidelity Fund
Division 2 Agents Licensing Fidelity Guarantee Fund of the Northern Territory
Agents Licensing Act 1979 67
(b) the person intentionally participates in a deliberation or
decision of the Fund in relation to a matter; and
(c) the person has a direct or indirect interest in the matter being
considered or about to be considered by the Fund and the
person has knowledge of that circumstance.
Maximum penalty: 100 penalty units.
(6) Strict liability applies to subsection (5)(a).
(7) Part IIAA of the Criminal Code applies to an offence against this
section.
Note for section 95AB
Part IIAA of the Criminal Code states the general principles of criminal
responsibility, establishes general defences, and deals with burden of proof. It
also defines, or elaborates on, certain concepts commonly used in the creation of
offences.
95B Moneys of Fund
(1) The moneys of the Fund shall comprise:
(a) contributions and levies paid under this Act; and
(b) fees paid to the Board with respect to licences or registrations;
and
(c) fines imposed by the Board under this Act; and
(d) interest from time to time accruing from the investment of the
moneys of the Fund; and
(e) any other money which may be lawfully paid to the Fund.
(2) Subject to this Division, the Fund shall pay out of the moneys of the
Fund:
(a) the amount of all claims, including costs allowed or
established against the moneys of the Fund in accordance
with Division 3; and
(b) the costs and expenses of the administration of this Act; and
(c) the amount of remuneration, allowances and expenses
payable under the Assembly Members and Statutory Officers
(Remuneration and Other Entitlements) Act 2006 to a
member; and
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Part XII Fidelity Fund
Division 3 Claims against Fund
Agents Licensing Act 1979 68
(d) where the amount of the moneys of the Fund is greater than
500 000 monetary units, or such other amount as the
Administrator may determine, the amount, if any, to which the
Minister consents under section 92(1); and
(e) the amount of money determined by the Minister to be paid to
an industry body under section 93(1); and
(ea) such amounts as may be paid out of the moneys of the Fund
in maintaining and operating the moneys of the Fund in
accordance with the determinations of the Minister, if any,
under section 94(6); and
(f) such other amounts as may lawfully be paid out of the moneys
of the Fund.
Division 3 Claims against Fund
96 Persons who may apply
(1) Subject to this Part, after the date fixed for the purpose of this
section by the Board by notice published in the Gazette, a person
who suffers pecuniary loss arising out of a defalcation of trust
moneys or misappropriation of other property by:
(a) a licensed agent or a partner of a licensed agent; or
(b) a person constituting, or an officer or employee of, a firm or
company licensed under this Act; or
(c) any other person carrying on business as an agent,
may apply to the Registrar for compensation under this Part in
respect of that loss.
(1A) Nothing in subsection (1) shall be construed as permitting a person
to apply to the Registrar for compensation in respect of a pecuniary
loss arising out of a defalcation of trust moneys or a
misappropriation of other property by a person referred to in
subsection (1)(c) which occurred before the commencement of the
Land and Business Agents Amendment Act 1992.
(2) Subject to this Part, the pecuniary loss in respect of which
compensation may be paid to an applicant under this Part is the
amount of the pecuniary loss suffered by the applicant less any
amount that the applicant has recovered from any person in respect
of the loss.
-- 74 of 116 --
Part XII Fidelity Fund
Division 3 Claims against Fund
Agents Licensing Act 1979 69
97 Registrar may invite claims
(1) The Registrar may cause to be published in the Gazette and a
newspaper or newspapers nominated by the Minister a notice
inviting persons entitled to apply for compensation under this Part in
respect of losses arising out of a defalcation or misappropriation
committed by an agent, a person in the employ of an agent, a
partner of an agent, a person by whom an agent firm is constituted
or a director of an agent company named in the notice to make an
application within the period specified in the notice.
(2) Subject to subsection (3), the period to be specified in a notice
published under this section shall be not less than 3 months
commencing on the date of publication of the notice in the Gazette,
newspaper or newspapers, whichever is the latest.
(3) An action for damage does not lie against the Registrar in respect
of the publication in good faith of a notice under this section.
98 Time for making applications
(1) Subject to subsection (2), an application for compensation under
this Part shall not be accepted unless it is made in writing:
(a) within the period of 6 months after the applicant becomes
aware of the defalcation or misappropriation; or
(b) within such further period, not exceeding 2 years, as the
Registrar, in his or her discretion and either before or after the
expiration of the period referred to in paragraph (a), allows.
(2) Where a notice is published under section 97, an application for
compensation under this Part in respect of a defalcation or
misappropriation committed before the publication of the notice
shall be made:
(a) before the expiration of the period specified in the notice; or
(b) within such further period, not exceeding 2 years, as the
Registrar, in his or her discretion and either before or after the
expiration of that period, allows.
99 Manner of applications
(1) An application for compensation under this Part shall be made by
the delivery to the Registrar, in writing, of full particulars of the claim
supported by a statutory declaration by the applicant.
(2) The Registrar shall, within one week after receiving an application
for compensation under this Part, post to the applicant a letter
acknowledging receipt of the application.
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Part XII Fidelity Fund
Division 3 Claims against Fund
Agents Licensing Act 1979 70
(3) The Registrar may, by notice in writing delivered to an applicant for
compensation under this Part, require the applicant to:
(a) give to the Registrar information in the possession or control
of the applicant with regard to a matter relating to the
application; or
(b) deliver to the Registrar any documents in the possession or
control of the applicant that tend to establish the fact of the
defalcation or misappropriation and the amount of the loss to
which the application relates.
(4) The Registrar may retain a document delivered to the Registrar in
accordance with a requirement under subsection (3) for as long as
the Registrar considers necessary for the purposes of this Part, but
the person by whom the document was produced is entitled to be
supplied, as soon as practicable, with a copy of the document
certified by the Registrar to be a true copy.
(5) A copy certified under subsection (4) shall be received in all courts
as if it were the original.
(6) Where the Registrar makes a requirement under subsection (3), the
Registrar need not take any further steps in relation to the
application until the requirement is satisfied.
100 Registrar to consider applications
(1) Subject to section 99(6), the Registrar shall consider an application
made in accordance with this Part and shall determine:
(a) the amount of the pecuniary loss in respect of which
compensation may be paid to the applicant under this Part; or
(b) that there is no pecuniary loss in respect of which
compensation may be so paid.
(2) Subsection (1) does not require the Registrar to be satisfied:
(a) that a person has been found guilty of an offence arising out of
a defalcation or misappropriation; or
(b) that there is evidence upon which a person might be found
guilty of such an offence.
(3) Before making a determination under subsection (1), the Registrar
may, if he or she is of the opinion that the circumstances so
warrant, require the applicant to institute against the agent,
employee, partner, person by whom an agent firm is constituted or
director to whose defalcation or misappropriation the claim relates,
or any other person considered to be liable in respect of the loss, or
-- 76 of 116 --
Part XII Fidelity Fund
Division 3 Claims against Fund
Agents Licensing Act 1979 71
both, proceedings for the recovery of the money the subject of the
defalcation or the property the subject of the misappropriation,
including proceedings to follow assets and any property into which
the money or other property may have been converted.
(4) Where the Registrar requires a person to institute proceedings
under subsection (3), the Registrar is liable to pay out of the
moneys of the Fund the costs and other expenses necessarily
incurred by the person by reason of the institution of the
proceedings.
(5) The Registrar shall give to an applicant for compensation under this
Part notice in writing stating:
(a) the amount that the Registrar has determined is the pecuniary
loss in respect of which compensation may be paid to the
applicant under this Part; or
(b) that the Registrar has determined that there is no pecuniary
loss in respect of which compensation may be so paid.
(6) In a notice given under this section, the Registrar shall state the
grounds on which he or she has made the determination referred to
in the notice.
102 Payment of compensation
(1) Subject to this section, where an amount has been determined
under this Part as the amount of pecuniary loss in respect of which
compensation may be paid to an applicant under this Part, the
Registrar shall pay to the applicant an amount equal to the amount
so determined.
(2) The amounts paid under subsection (1) to applicants for
compensation in respect of defalcations or misappropriations by the
same person shall not exceed, in the aggregate, 300 000 monetary
units or, if another amount is determined by the Administrator by
notice in the Gazette, that other amount.
(3) Where the aggregate of the amounts that the Registrar would, but
for this subsection, be required by subsection (1) to pay to
applicants for compensation in respect of defalcations or
misappropriations by the same person, exceeds the amount
available under subsection (2), the Registrar shall divide the
amount available under that subsection among those applicants in
proportion to the amounts payable to them.
(4) Where, at any time, the amount of the moneys of the Fund is
insufficient for the payment of all amounts that the Registrar would,
but for this subsection, be required by this section to pay, the
-- 77 of 116 --
Part XII Fidelity Fund
Division 3 Claims against Fund
Agents Licensing Act 1979 72
Registrar shall divide the amount of the moneys of the Fund among
the persons to whom it would be required to pay those amounts in
proportion to those amounts.
103 Subrogation
Where the Registrar has paid compensation to a person under this
Part, the Registrar is, to the extent of the payment, subrogated to
the rights of that person against any other person in relation to the
occurrence that gave rise to the claim for compensation.
104 Agents may claim in certain circumstances
(1) Where:
(a) the Registrar has paid the amounts of compensation that the
Registrar is required to pay in respect of defalcations or
misappropriations committed by a person; and
(b) the sum of those amounts is less than 300 000 monetary
units, or such other amount as the Administrator has
determined under section 102(2),
an agent who was, at the time at which any of those defalcations or
misappropriations were committed, a partner of or employer of the
person referred to in paragraph (a) and has made a payment to a
person in respect of pecuniary loss suffered by that person as a
result of any of those defalcations or misappropriations, may apply
to the Registrar for compensation under this Part in respect of that
payment.
(2) Section 98 does not apply in relation to an application under this
section.
(3) Where:
(a) an application is made under this section; and
(b) the Registrar is satisfied that:
(i) the agent by whom the application is made is entitled to
make an application under this section; and
(ii) in relation to the defalcation or misappropriation to which
the claim relates, the agent acted in good faith,
the Registrar may pay compensation out of the moneys of the Fund
to that agent.
-- 78 of 116 --
Part XII Fidelity Fund
Division 4 Contributions and levies to Fund
Agents Licensing Act 1979 73
(4) The amount to be paid under subsection (3) is such amount, not
exceeding the difference between 75 000 monetary units or such
other amount as the Administrator has determined under
section 102(2) and the sum of the amounts referred to in
subsection (1)(a), as the Registrar thinks fit.
105 Interim payments
(1) Where, in relation to an application made under this Part, other than
an application under section 104, the Registrar has determined the
amount of pecuniary loss in respect of which compensation may be
paid to the applicant, the Registrar may, if he or she thinks fit, make
an interim payment of compensation to the applicant.
(2) An amount paid to a person under this section shall be set off
against the compensation that the Registrar is required by
section 102 to pay to the person.
Division 4 Contributions and levies to Fund
106 Annual contributions
(1) A licensed agent shall pay to the Registrar annually a contribution
to the Fund of such amount and at such time as may be determined
by the Board.
(2) A licensed agent shall, in addition to the amount payable under
subsection (1), pay to the Registrar annually a contribution to the
Fund of such amount and at such time as may be determined by
the Board in respect of each agent's representative employed by
that agent.
107 Contributions not payable in certain circumstances
Notwithstanding section 106(1) and (2), a licensed agent:
(a) who has contributed to the Fund not less than 4 annual
contributions in respect of himself or herself and in respect of
each agent's representative employed by him or her; and
(b) in respect of whom or in respect of a person in the employ of
that agent or a partner of that agent no claim has been made
and sustained or is pending against the moneys of the Fund,
is not liable to pay any further annual contributions under
section 106(1) or (2) at any time while the amount standing to the
credit of the moneys of the Fund, including any investments of the
moneys of the Fund, and after deducting the amount of all unpaid
claims and other liabilities outstanding against the moneys of the
Fund, exceeds 1 million monetary units or such other amount as
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Part XIIA Indemnity insurance
Agents Licensing Act 1979 74
the Administrator may determine.
108 Levies
(1) Where, at any time the Registrar considers that the moneys of the
Fund are not sufficient to satisfy the liabilities of the Registrar in
relation to the moneys of the Fund, the Registrar may, with the
approval of the Administrator, impose a levy of such amount, not
exceeding 100 monetary units a year, as the Registrar thinks fit for
payment to the Fund.
(2) Subject to this section:
(a) a levy imposed under subsection (1) is payable on the date
fixed, for the purpose of this section, by the Registrar by notice
published in the Gazette; and
(b) a levy so imposed is payable by each agent who, on that date,
holds a licence and is payable also by such an agent in
respect of each agent's representative employed by that
agent.
(3) The Registrar may, if he or she thinks that the circumstances so
warrant, extend the time for payment of a levy by an agent and, in
such a case, the levy is payable by that agent on the date fixed by
the Registrar under this subsection.
(4) Where an agent does not pay a levy in accordance with this section
the Registrar shall record the fact in the register and so long as the
levy remains unpaid, the agent shall be deemed to be unlicensed.
Part XIIA Indemnity insurance
108A Definitions
In this Part, unless the contrary intention appears:
approved indemnity insurance policy means an indemnity
insurance policy, or a type of indemnity insurance policy, that is
approved under section 108C.
indemnity insurance means insurance against loss arising from
claims in respect of any description of civil liability (other than a type
of civil liability prescribed by regulation) incurred by an agent or
former agent in connection with:
(a) the agent's business as an agent; or
(b) the business of a firm of agents of which the agent is or was a
member; or
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Part XIIA Indemnity insurance
Agents Licensing Act 1979 75
(c) a company, of which the agent is or was a director, that
carries on business as an agent,
or by an employee or former employee of that agent, firm or
company.
108B Licensed agents required to hold approved indemnity
insurance
(1) An agent must not carry on business as an agent unless the agent
is insured under an approved indemnity insurance policy.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(2) Subsection (1) does not apply in relation to a period during which
the agent is exempt under a regulation from the requirement to be
insured under an approved indemnity insurance policy.
108C Board may approve indemnity insurance policy
(1) The Board may approve an indemnity insurance policy or a type of
indemnity insurance policy.
(2) An approval under subsection (1) may provide that an indemnity
insurance policy is an approved indemnity insurance policy if the
policy:
(a) complies with the conditions specified in the approval; or
(b) is described in the approval by reference to the insurer and
the number of the policy or is identified in the approval by
other specified particulars,
or both.
(3) An indemnity insurance policy ceases to be an approved indemnity
insurance policy if it ceases to comply with conditions set out in an
approval under subsection (1).
(4) An approval under subsection (1) may:
(a) apply generally or be limited in its application by reference to
exceptions or factors specified in the approval; or
(b) apply differently according to different exceptions or factors
specified in the approval.
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Part XIIB Conflicts of interest
Agents Licensing Act 1979 76
(5) The Board must publish any approval made under subsection (1) in
any manner that makes it publicly available in the Territory as soon
as practicable after making the approval.
108D Organisation representing agents may arrange for insurance
(1) An organisation representing the interests of real estate agents,
business agents or conveyancing agents may arrange for an
insurer to provide an approved indemnity insurance policy to real
estate agents, business agents or conveyancing agents.
(2) An organisation representing the interests of real estate agents,
business agents or conveyancing agents that arranges for an
insurer to provide an approved indemnity insurance policy may
require that a person may only be a member of the organisation if
the person has entered into and maintains that policy with the
insurer.
108E Part does not affect claims against Fund
This Part does not derogate from Part XII, Division 3.
Part XIIB Conflicts of interest
108F Definitions
(1) In this Part, unless the contrary intention appears:
business includes a share in a business or an interest in a
business.
interested party means:
(a) a licensed real estate agent; or
(b) a licensed business agent; or
(c) a registered agent's representative; or
(d) an employee of a licensed real estate agent or licensed
business agent; or
(e) a person who holds himself or herself out to be a real estate
agent or a business agent.
land includes an interest in land.
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Part XIIB Conflicts of interest
Agents Licensing Act 1979 77
(2) In this Part, a purchase or sale of land or a business in which an
interested party who is a licensed real estate agent or licensed
business agent is beneficially interested includes a purchase or
sale that is or will be made by or on behalf of:
(a) the spouse, de facto partner, parent, brother, sister or child of
the agent; or
(b) a corporation, body, association of persons or firm carrying on
business for profit or gain of which the agent or the spouse, de
facto partner, parent, brother, sister or child of the agent is a
member; or
(c) if the agent is a corporation – the corporation, a member of the
corporation or the spouse, de facto partner, parent, brother,
sister or child of a member of the corporation; or
(d) if the agent carries on business as such as a member of a
firm – a person who is a member of the firm or the spouse,
de facto partner, parent, brother, sister or child of that person.
(3) In this Part, a purchase or sale of land or a business in which an
interested party who is a registered agent's representative or an
employee is beneficially interested includes a purchase or sale that
is or will be made by or on behalf of:
(a) the spouse, de facto partner, parent, brother, sister or child of
the representative or employee; or
(b) a corporation, body, association of persons or firm carrying on
business for profit or gain of which the representative or
employee or the spouse, de facto partner, parent, brother,
sister or child of the representative or employee is a member.
(4) In this Part, an interested party acts as the agent for a client wishing
to purchase or sell land or a business from the time the client first
communicates (whether orally or in writing) the fact that the client
wishes to purchase or sell the land or business to:
(a) the interested party; or
(b) a person specified in subsection (2) or (3).
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Part XIIB Conflicts of interest
Agents Licensing Act 1979 78
108G Restriction on agent etc. purchasing or selling property in
which the agent is interested
(1) Subject to subsection (6), an interested party must not purchase
directly or indirectly, or be beneficially interested in the purchase of,
land or a business from a person who is a client for whom the
interested party is acting as an agent.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(2) Subject to subsection (6), an interested party must not directly or
indirectly accept title to land or a business if he or she is in breach
of subsection (1).
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(3) Subject to subsection (6), an interested party must not sell directly
or indirectly, or be beneficially interested in the sale of, land or a
business to a person who is a client for whom he or she is acting as
an agent.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(4) An interested party must not receive commission from a client after
he or she has been found guilty of an offence against
subsection (1) or (3).
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(5) A person who is found guilty of an offence against this section:
(a) must account for and repay to the client all profits (including
commission received) resulting from the purchase or sale and
any subsequent dealing with the land or business; and
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Part XIIB Conflicts of interest
Agents Licensing Act 1979 79
(b) if the offence is an offence against subsection (2) – must,
unless there is an agreement to the contrary with the client,
transfer to the client the title to the land or business to which
the offence relates.
(6) This section does not apply if:
(a) the land or business is purchased by a person who is a
shareholder or creditor of a licensed agent that is:
(i) a corporation the shares of which are listed on a
prescribed financial market (as defined in section 9 of
the Corporations Act 2001); or
(ii) a prescribed corporation; or
(b) the interested party acted honestly and reasonably; or
(c) the client is in substantially as good a position as if the
interested party had no interest whatsoever in the purchase or
sale; or
(d) the interested party has complied with section 108H.
(7) A person who has sold land may lodge a caveat with the Registrar-
General in respect of the person's former interest in the land if:
(a) the person believes that the person who acted as agent for
him or her for the purposes of the sale of the land was
beneficially interested in the purchase of the land at the time
of the transaction; and
(b) the sale of the land is or will be the subject of an action
brought under this section,
unless the land has, after the person sold it, been sold to a bona
fide purchaser.
108H Sale etc. by agent with interest in sale
(1) An interested party may purchase directly or indirectly, or be
beneficially interested in the purchase of, land or a business from a
person who is a client for whom the interested party is acting as
agent if the interested party makes a full disclosure of the interested
party's intention to purchase or of the interested party's beneficial
interest in the purchase.
(2) An interested party may sell directly or indirectly, or be beneficially
interested in the sale of, land or a business from a person who is a
client for whom the interested party is acting as agent if the
interested party makes a full disclosure of the interested party's
-- 85 of 116 --
Part XIIB Conflicts of interest
Agents Licensing Act 1979 80
intention to sell or of the interested party's beneficial interest in the
sale.
(3) A disclosure under subsection (1) or (2) is to be in the approved
form.
(4) The approved form for subsection (3) is to:
(a) provide that full details of the intention to purchase or sell or of
the beneficial interest in the purchase or sale are to be set out
in or attached to the form; and
(b) contain a statement to the effect that, by virtue of the
interested party's relationship with the client, the interested
party may have gained information in relation to the client's
circumstances and the proposed purchase or sale that may
place the interested party in a position of advantage.
(5) A disclosure under subsection (1) must be made:
(a) to each person who is purchasing or selling the land or
business; and
(b) at the same time as, or immediately after, the agreement to
purchase and sell the land or business is made.
(6) A person to whom a disclosure is made must, before the expiry of a
7 day cooling-off period commencing on the day on which
disclosure is made:
(a) elect to affirm the agreement for the sale or purchase of the
land or business; or
(b) elect to avoid the agreement.
108J Person to repay agent if person avoids agreement
(1) This section applies to a person to whom a disclosure under
section 108H(1) is made if the person:
(a) is selling the land or business; and
(b) elects to avoid the agreement under section 108H(6)(b).
(2) The person must repay to the interested party the amount of money
received in relation to the agreement less an amount representing
any costs or expenses incurred by the person in relation to the
agreement.
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Part XIII Miscellaneous
Agents Licensing Act 1979 81
(3) If the amount of money received does not cover the costs or
expenses, the interested party must pay to the person the balance
of the costs and expenses.
Part XIII Miscellaneous
109 Registers
(1) The Registrar shall keep the following registers:
(a) a Register of Licensed Real Estate Agents;
(b) a Register of Licensed Business Agents;
(c) a Register of Agents' Representatives who are entitled to be
registered;
(d) a Register of Conveyancing Agents.
(2) The Registrar shall record in the registers:
(a) the name of each licensed agent or registered agent's
representative, as the case may be; and
(b) in the case of a register other than the register specified in
subsection (1)(c), the address of each office in the Territory at
which each licensed agent carries on business and, if there is
more than one such office, a statement as to which is the
principal office; and
(c) the prescribed particulars; and
(d) such other particulars as the Board determines or as are
required to be recorded under this Act.
(3) A register so kept shall, without fee, be open to inspection during
ordinary business hours by a person desiring to inspect the register.
110 Licensed agents to maintain registered office in Australia etc.
(1) A licensed agent must maintain an office in Australia at or from
which the conduct of business under the licence is to occur.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
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Part XIII Miscellaneous
Agents Licensing Act 1979 82
(2) A licensed agent must not carry on business in the Territory under a
licence at or from an office (whether or not the office is in the
Territory) unless, before beginning to carry on the business:
(a) the agent has notified the Registrar of the address of the
office; and
(b) if business is to be conducted at one or more offices – the
agent has notified the Registrar of the office that is to be the
principal office of the agent.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
(3) For the purposes of this Act, an office is taken to be the principal
office of a licensed agent if the agent has notified the Registrar
under subsection (2)(b) that the office is to be the principal office of
the agent.
110A Business managers
(1) Subject to section 111, a licensed agent must ensure that there is
at all times in the agent's service a business manager, who is a
licensed agent appointed by the agent, in respect of each office of
the business carried on under the licence.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(2) A person may be appointed under subsection (1) to be a business
manager in respect of all of the offices of, or one or more offices of,
the business carried on under a licence.
(3) A licensed agent must ensure that there is not more than one
business manager with substantive and effective control of an office
of the business carried on under the licence.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
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Part XIII Miscellaneous
Agents Licensing Act 1979 83
(4) A business manager:
(a) must not act as a manager, or a business manager, on behalf
of more than one licensed agent or firm; and
(b) must not carry on business as an agent on his or her own
account, except if he or she:
(i) is a business manager in relation to a firm that he or she
constitutes; and
(ii) is not a business manager in respect of any other
business.
(5) A business manager must ensure that he or she exercises
substantive and effective control of the day-to-day operations of an
office in relation to which he or she was appointed under
subsection (1).
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
(6) Rules of conduct may specify the duties, during a period while a
business manager is not present at the office, of a licensed agent
and a business manager in relation to an office of the business
carried on under a licence.
111 Registrar may approve operation of registered office without
licensed business manager
(1) Upon an application by a licensed agent, the Registrar may, subject
to such conditions that the Registrar may consider necessary or
desirable, grant approval, in writing, to the licensed agent to carry
on business as a licensed agent for a period, not exceeding
60 days, during which the business manager of a registered office
of the licensed agent is not a licensed agent.
(2) A licensed agent shall not contravene or fail to comply with a
condition specified in an approval granted under subsection (1).
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
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Part XIII Miscellaneous
Agents Licensing Act 1979 84
111A Licence not transferable
A licence is not transferable by the holder of the licence.
112 Agent not to share commission
(1) Except as may be prescribed, a licensed agent shall not share with
another person, other than a licensed agent, or partner of, or
registered agent's representative employed by, the first-mentioned
agent, a fee, commission or other gain or reward payable to the
first-mentioned agent in respect of a transaction in the agent's
capacity as agent.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
(2) In subsection (1), a reference to a licensed agent includes a
reference to a person licensed under a law of a State or Territory
providing for the licensing of real estate agents, business agents or
conveyancing agents (by whatever name called).
113 Improper use of licence
A licensed agent shall not permit any other person to have
possession of the agent's licence with the intent that the other
person shall represent himself or herself as the person to whom the
licence was granted.
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
114 Improper use of title of agent
(1) A person, other than a licensed agent, shall not use, in an
advertisement or any other mode of public notification, words that
would reasonably lead to the belief that the person is a licensed
agent.
(2) Without limiting the effect of subsection (1), a person other than a
licensed agent or a registered agent's representative shall not:
(a) place, or suffer or permit to be placed, on the building in which
the person's office is situated; or
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Part XIII Miscellaneous
Agents Licensing Act 1979 85
(b) place, on a document, as a description of the person's
business,
the words "real estate agent", "estate agent", "land agent",
"property agent", "business agent", "conveyancing agent" or words
implying that, in the course of the person's business, the person
acts, or is prepared to act, as agent for clients in connection with
any of the matters referred to in section 5(2).
Maximum penalty: If the offender is a natural person –
500 penalty units.
If the offender is a body corporate –
2 500 penalty units.
115 False or misleading advertisements
A licensed agent shall not, in an advertisement or any other mode
of public notification published in connection with the agent's
business as a licensed agent, make a statement or any
representation that is false, misleading or is intended to deceive.
Maximum penalty: If the offender is a natural person –
100 penalty units or imprisonment for
6 months.
If the offender is a body corporate –
500 penalty units.
116 Obstruction of Registrar, inspector, &c.
A person shall not obstruct, threaten or intimidate another person in
the exercise of a power conferred, or the performance of a duty
imposed by or under this Act on that other person.
Maximum penalty: If the offender is a natural person –
100 penalty units or imprisonment for
6 months.
If the offender is a body corporate –
500 penalty units.
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Part XIII Miscellaneous
Agents Licensing Act 1979 86
117 Production of licence
A licensed agent shall not fail, without reasonable excuse, upon
demand of the Registrar or an inspector, to produce the licence of
the agent for inspection.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
118 Withholding of deposit
Where an agent is authorised to retain in a trust account money
received as a deposit in respect of a transaction in the capacity of
agent and the money is to be withheld or not repaid, the agent
shall, within a period of 14 days from the completion of the
transaction, inform in writing all persons involved, including his or
her client, of the reason for withholding or not repaying the money.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
119 Requirements of advertisements
A licensed agent shall not publish an advertisement in connection
with his or her business as agent unless it is stated in the
advertisement:
(a) that the agent is licensed; and
(b) the address of the place or, where the agent carries on
business at more than one place, one of the places at which
the agent carries on business as an agent.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
120 Display of notices
(1) A licensed agent shall exhibit and keep exhibited in a prominent
position at the place, or each place specified in the licence of the
agent as a place at which the agent is authorised to carry on
business as a licensed agent, and so as to be easily read from
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Part XIII Miscellaneous
Agents Licensing Act 1979 87
outside that place of business:
(a) a notice of:
(i) the name of the agent and the fact of the agent being
licensed as an agent; and
(ii) if the business is carried on in a name other than the
name of the agent – the name under which the agent
carries on business; and
(b) the licence, or a photographic copy of the licence, issued to
the agent.
(2) Where a licensed agent ceases to carry on business at the place
specified in the licence of the agent, the agent shall forthwith
remove from that place a notice, photograph or licence exhibited
under subsection (1).
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
121 No recovery of commission unless licensed
A person is not entitled to bring an action to recover a fee,
commission or other gain or reward for acting as an agent for a
client in relation to a matter referred to in section 5(2) or to work
which, under this Act, a conveyancing agent may perform unless:
(a) at the time the person was engaged to act as an agent, the
person was a licensed agent and was such an agent at the
time of acting as agent; or
(b) the person was engaged to act as an agent before the
expiration of the period of one month after the commencement
of this Act and, at the time of acting as agent, was a person to
whom section 17 did not apply.
121A Contracts for sale of land to be in approved form
A real estate agent or a conveyancing agent must not arrange for
the preparation and execution of a contract of sale of land, unless
the contract is in a form:
(a) approved by the Registrar for the purposes of this Act; or
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Part XIII Miscellaneous
Agents Licensing Act 1979 88
(b) approved by the Law Society Northern Territory for use by
persons who are not legal practitioners.
Maximum penalty: If the offender is a natural person –
100 penalty units.
If the offender is a body corporate –
500 penalty units.
123 Evidence of licensing or registration
A document purporting to be a certificate under the hand of the
Chairperson or Registrar and stating that a person was, or was not,
on a date or dates or during a period mentioned in the document,
the holder of a real estate agent's licence or business agent's
licence or a registered agent's representative is, in all courts and
before all persons and other bodies authorised to receive evidence,
prima facie evidence of the matter so stated.
124 Requirement by Registrar or inspector
Where the Registrar or an inspector is empowered by this Act to
require a person to do any thing, the Registrar or inspector may
make the requirement orally or in writing served on that person.
125 Cancelled registration and revoked licences
(1) If:
(a) the Board cancels the registration of an agent's
representative; or
(b) the Board revokes the licence of an agent,
the agent's representative or the holder of the licence, as the case
may be, must deliver the certificate of registration or licence, as the
case may be, to the Registrar as directed by the Registrar.
Maximum penalty: If the offender is a natural person –
20 penalty units.
If the offender is a body corporate –
100 penalty units.
(2) If the Board's decision to cancel the registration of the agent's
representative is set aside by NTCAT on a review of the decision
under section 85, the Registrar must return the certificate of
registration to the agent's representative.
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Part XIII Miscellaneous
Agents Licensing Act 1979 89
(3) If the Board's decision to revoke the licence of the agent is set
aside by NTCAT on a review of the decision under section 85, the
Registrar must return the licence to the agent.
125AA Infringement notices
The Regulations may provide for:
(a) the payment, as an alternative to prosecution, of a prescribed
amount in lieu of a penalty otherwise imposed for infringement
of this Act or the Regulations; and
(b) the service of notices on persons who appear to have
infringed this Act or the Regulations and the particulars to be
included in the notices.
125B Regulatory offences
An offence of contravening or failing to comply with section 47, 51,
56, 59, 60, 61, 80(1), 111(2), 118, 119, 120 or 125(1) is a regulatory
offence.
126 Offences committed by employees, partners, or directors
(1) Subject to subsection (2), a licensed agent may be prosecuted for
an offence committed against this Act by a person who is an
employee of, a partner of or, where the licensed agent is a
company, a director of the licensed agent.
(2) A licensed agent shall not be liable under subsection (1) where the
licensed agent proves that he or she or the firm or company had
given such directions to the employee, partner or director and had
exercised or caused to have been exercised such supervision of
the employee, partner or director as were reasonably necessary to
ensure that the employee, partner or director did not commit an
offence against this Act.
126A Approved forms
(1) The Board may approve forms for this Act.
(2) The Board must publish an approved form in any manner that
makes it publicly available in the Territory as soon as practicable
after it is approved.
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Part XIII Miscellaneous
Agents Licensing Act 1979 90
127 Regulations
(1) The Administrator may make regulations, not inconsistent with this
Act, prescribing all matters that this Act requires or permits to be
prescribed or that are necessary or convenient to be prescribed for
carrying out or giving effect to this Act and, in particular, as to:
(a) the fees to be paid for the grant or renewal of a licence or for
the grant of registration of an agent's representative; and
(b) the annual fees to be paid by the holder of a licence or a
registered agent's representative; and
(c) applications for renewal or restoration of licences or of
registration and the circumstances in which applications may
be granted; and
(d) the maximum commission, or rate of commission, that agents
may receive in respect of services or transactions generally or
in respect of specified areas or transactions or classes of
transactions; and
(da) the exemption by the Minister of natural persons, companies
or firms, or members of a specified class of natural persons,
companies or firms, from the requirement to be insured under
an approved indemnity insurance policy; and
(e) the qualifications and experience required to be held by an
applicant for a licence to carry on business as an agent; and
(f) the educational qualifications required to be held by an
applicant for registration as an agent's representative; and
(g) the procedures and forms to be followed or used under this
Act; and
(h) penalties not exceeding a fine of 100 penalty units for an
offence against the regulations; and
(j) rules of conduct, which may incorporate or adopt by reference
(with any necessary changes) rules, provisions, a code or
another document relating to professional conduct of agents;
and
(k) the type of services relating to the sale and transfer of land
that a licensed conveyancing agent may and the regulation
and limits of those services perform; and
-- 96 of 116 --
Part XV Transitional matters for Statute Law Amendment (Territory Economic
Reconstruction) Act 2022
Agents Licensing Act 1979 91
(m) the regulation of licensed agents in respect of professional
service or agency activities they may provide or in which they
may engage in association with their activities as licensed
agents.
(2) The Regulations may prescribe a scheme for holding and dealing
with trust money received by a licensed agent in the course of
business carried on as a corporation manager under the Unit Titles
Act 1975 or as a body corporate manager under the Unit Title
Schemes Act 2009.
Part XIV Transitional matter for Statute Law Revision
and Repeals Act 2019
128 Rules of conduct
The rules of conduct, as in force immediately before the
commencement of section 10 of the Statute Law Revision and
Repeals Act 2019 (the commencement), apply in relation to the
conduct of agents engaged in before the commencement.
Part XV Transitional matters for Statute Law
Amendment (Territory Economic
Reconstruction) Act 2022
129 Definitions
In this Part:
amending Act means the Statute Law Amendment (Territory
Economic Reconstruction) Act 2022.
commencement means the commencement of Part 2 of the
amending Act.
130 Course of competency-based training
A course of competency-based training approved by the Board
under section 22A, as in force immediately before the
commencement, is taken to be a course of competency-based
training approved by the Board under section 22A after the
commencement.
-- 97 of 116 --
Part XVI Transitional matters for Statute Law Amendment (NTCAT Conferral of
Jurisdiction) Act 2023
Agents Licensing Act 1979 92
131 Educational qualifications
An educational qualification prescribed under section 39, as in force
immediately before the commencement, is taken to be an
educational qualification approved by the Board under section 39,
as amended by the amending Act, after the commencement.
Part XVI Transitional matters for Statute Law
Amendment (NTCAT Conferral of Jurisdiction)
Act 2023
132 Definitions
In this Part:
amending Act means the Statute Law Amendment (NTCAT
Conferral of Jurisdiction) Act 2023.
commencement means the commencement of Part 2 of the
amending Act.
former Act means this Act as in force immediately before the
commencement.
133 NTCAT review limited to decisions made after commencement
Section 85, as inserted by section 13 of the amending Act, applies
only in relation to a reviewable decision that is made after the
commencement.
134 Appeals not commenced before commencement
(1) This section applies to a person if, immediately before the
commencement, the person:
(a) was entitled to appeal to the Local Court against a decision of
the Board under section 85 of the former Act; and
(b) had not yet commenced an appeal against the decision.
(2) The person may appeal to the Local Court against the decision in
accordance with section 85 of the former Act, as if section 13 of the
amending Act had not commenced.
(3) The Local Court must hear and determine the person's appeal in
accordance with section 85 of the former Act, as if section 13 of the
amending Act had not commenced.
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Part XVI Transitional matters for Statute Law Amendment (NTCAT Conferral of
Jurisdiction) Act 2023
Agents Licensing Act 1979 93
135 Appeals not determined before commencement
(1) Subsection (2) applies in relation to an appeal to the Local Court
that:
(a) was commenced by a person under section 85 of the former
Act; and
(b) had not been finally determined by the Local Court before the
commencement.
(2) The Local Court must continue to hear and determine the person's
appeal in accordance with section 85 of the former Act, as if
section 13 of the amending Act had not commenced.
136 Applications not made before commencement
(1) This section applies to a person if, immediately before the
commencement, the person:
(a) was entitled to make an application to the Local Court under
section 101 of the former Act in respect of a determination of
the Registrar; and
(b) had not yet made an application in respect of the
determination.
(2) The person may make an application to the Local Court in respect
of the determination in accordance with section 101 of the former
Act, as if section 14 of the amending Act had not commenced.
(3) The Local Court must hear and determine the person's application
in accordance with section 101 of the former Act, as if section 14 of
the amending Act had not commenced.
137 Applications not determined before commencement
(1) Subsection (2) applies in relation to an application to the Local
Court that:
(a) was made by a person under section 101 of the former Act;
and
(b) had not been finally determined by the Local Court before the
commencement.
(2) The Local Court must continue to hear and determine the person's
application in accordance with section 101 of the former Act, as if
section 14 of the amending Act had not commenced.
-- 99 of 116 --
Schedule 1 Functions of conveyancing agent
Agents Licensing Act 1979 94
Schedule 1 Functions of conveyancing agent
section 5(2)(c)
1. A licensed conveyancing agent may perform the following functions
in respect of the sale and transfer of real property:
(a) search land titles and dealings thereon and search for caveats
against such dealings;
(b) search and inquire at Government offices and at the offices of
statutory authorities and municipalities, and obtain certificates
therefrom, in respect of records, plans and policies and make
inquiries with respect to adjustment of rates, taxes and other
outgoings of a periodical nature in respect of the real estate
the subject of the transaction involved;
(c) arrange for the preparation and execution of contracts of sale;
(d) arrange and attend on settlement, including the exchange of
documents and the receipt of money;
(e) lodge documents at the Registry Office or other Government
offices or the offices of statutory authorities for registration,
and uplift such documents;
(f) complete powers of attorney in such form and subject to such
conditions as are prescribed;
(g) draw or prepare, and arrange the execution of, the documents
referred to in clause 2;
(h) report progress to the agent's client.
2. A licensed conveyancing agent may, subject to section 31A, in
addition to any document required for the purposes of the
performance of a function referred to in clause 1, draw or prepare
the following documents:
(a) instruments (including caveats, leases, mortgages,
encumbrances and restrictive covenants) and memoranda
relating to the sale and transfer of real property for lodgement
or registration under the Land Title Act 2000, the Unit Titles
Act 1975, the Unit Title Schemes Act 2009, the Crown Lands
Act 1992 or any other Act dealing with the grant of title to
Crown land;
(aa) contracts for the sale of businesses;
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Schedule 1 Functions of conveyancing agent
Agents Licensing Act 1979 95
(b) statutory declarations to support documents mentioned in
paragraph (a);
(c) declarations of non-revocation of powers of attorney;
(d) such other documents with the approval of the Board.
-- 101 of 116 --
Schedule 2 Reviewable decisions
Agents Licensing Act 1979 96
Schedule 2 Reviewable decisions
section 85
Item Reviewable decision Affected person
1 A decision of the Board under
section 5A(1) to refuse a person's
application for an exemption
The person
2 A decision of the Board under
section 29(1) to grant an application for a
licence, or to refuse an application for the
grant of a licence
The applicant
If a person made an
objection under the
section 28(1), (2) or (3) –
the person who made the
objection
3 A decision of the Board under
section 30(2) to reject an objection made
under section 28(3)
The person who made the
objection
4 A decision of the Board under
section 31(4) to refuse to approve the
substitution or addition of a business
manager of a company or firm
The applicant under
section 31(3)
5 A decision of the Board under section 31A
to refuse to authorise the endorsement of
a conveyancing agent's licence in relation
to a service specified in section 31A(1)
The applicant for, or the
holder of, the licence
6 A decision of the Board under
section 32(3C) to approve, or to refuse to
approve, the renewal of a licence
The holder of the licence
The Registrar
7 A decision of the Board under
section 41A(1) to direct the Registrar to
issue a certificate of restricted registration
The applicant for
registration
8 A decision of the Board under
section 42(7) to reject an objection made
under section 42(3)
The person who made the
objection
-- 102 of 116 --
Schedule 2 Reviewable decisions
Agents Licensing Act 1979 97
Item Reviewable decision Affected person
9 A decision of the Board under
section 42(8) to register, or to refuse to
register, a person as an agent's
representative
The applicant for
registration
If a person made an
objection under
section 42(1), (2) or (3) –
the person who made the
objection
10 A decision of the Board under
section 44(6) to reject an application made
under section 44(4)
The applicant
11 A decision of the Board under
section 44A(1) to suspend the registration
of an agent's representative
The agent's representative
12 A decision of the Board under
section 44B(1) to take, or to not take,
disciplinary action against an agent's
representative
The agent's representative
If an application for
disciplinary action to be
taken was made under
section 44(2), (3)
or (4) – the applicant
13 A decision of the Board under section 66
to refuse to grant permission to a licensed
agent to surrender the agent's licence
The licensed agent
14 A decision of the Board under
section 68(5) to reject an application made
under section 68(1), (2) or (3)
The applicant
15 A decision of the Board under
section 68A(1) to suspend a licence of a
licensed agent
The licensed agent
16 A decision of the Board under
section 69(1) to take, or to not take,
disciplinary action against a licensed
agent, including a decision to take action
under section 69A(1)
The licensed agent
If an application for
disciplinary action to be
taken was made under
section 68(1), (2)
or (3) – the applicant
17 A determination of the Registrar under
section 100(1)(a) or (b) in relation to an
application for compensation
The applicant
-- 103 of 116 --
Schedule 2 Reviewable decisions
Agents Licensing Act 1979 98
Item Reviewable decision Affected person
18 A decision of the Registrar under
section 104(3) and (4) in relation to an
agent's application for compensation
The agent
19 A decision of the Registrar under
section 111(1) to refuse to grant an
approval to a licensed agent, or to grant
an approval to a licensed agent subject to
conditions
The licensed agent
-- 104 of 116 --
ENDNOTES
Agents Licensing Act 1979 99
ENDNOTES
1 KEY Key to abbreviations
amd = amended od = order
app = appendix om = omitted
bl = by-law pt = Part
ch = Chapter r = regulation/rule
cl = clause rem = remainder
div = Division renum = renumbered
exp = expires/expired rep = repealed
f = forms s = section
Gaz = Gazette sch = Schedule
hdg = heading sdiv = Subdivision
ins = inserted SL = Subordinate Legislation
lt = long title sub = substituted
nc = not commenced
2 LIST OF LEGISLATION
Land and Business Agents Act 1979 (Act No. 57, 1979)
Assent date 18 May 1979
Commenced 9 November 1979 (Gaz G45, 9 November 1979, p 2)
Remuneration (Statutory Bodies) Act 1979 (Act No. 9, 1980)
Assent date 14 January 1980
Commenced 8 February 1980 (Gaz G6, 8 February 1980, p 6)
Land and Business Agents Act 1980 (Act No. 34, 1980)
Assent date 19 March 1980
Commenced 19 March 1980
Land and Business Agents Amendment Act 1981 (Act No. 95, 1981)
Assent date 8 December 1981
Commenced 9 December 1981 (Gaz S25, 9 December 1981)
Land and Business Agents Amendment Act 1982 (Act No. 87, 1982)
Assent date 14 December 1982
Commenced 14 December 1982
Criminal Law (Regulatory Offences) Act 1983 (Act No. 68, 1983)
Assent date 28 November 1983
Commenced 1 January 1984 (s 2 s 2 Criminal Code Act 1983 (Act No. 47,
1983), Gaz G46, 18 November 1983, p 11 and Gaz G8,
26 February 1986, p 5)
Land and Business Agents Amendment Act 1985 (Act No. 66, 1985)
Assent date 24 December 1985
Commenced 1 February 1986 (Gaz G3, 22 January 1986, p 8)
Land and Business Agents Amendment Act 1986 (Act No. 2, 1986)
Assent date 1 April 1986
Commenced 15 July 1985 (s 2)
-- 105 of 116 --
ENDNOTES
Agents Licensing Act 1979 100
Statute Law Revision Act 1986 (Act No. 64, 1986)
Assent date 19 December 1986
Commenced 19 December 1986
Statute Law Revision Act (No. 2) 1987 (Act No. 59, 1987)
Assent date 31 December 1987
Commenced s 2: 1 July 1986; rem: 31 December 1987 (s 2)
Local Court (Consequential Amendments) Act 1989 (Act No. 14, 1989)
Assent date 5 June 1989
Commenced s 6: 5 June 1989; rem: 1 January 1991 (s 2, s 2 Small Claims
Amendment Act 1988 (Act No. 43, 1988), Gaz G17,
3 May 1989, p 2, s 2 Local Court Act 1989 (Act No. 31, 1989)
and Gaz G49, 12 December 1990, p 2)
Land and Business Agents Amendment Act 1989 (Act No. 74, 1989)
Assent date 12 December 1989
Commenced 1 February 1990 (Gaz G4, 31 January 1990, p 3)
Land and Business Agents Amendment Act 1990 (Act No. 44, 1990)
Assent date 20 September 1990
Commenced ss 4, 18 to 20: 1 January 1992 (Gaz G44, 6 November 1991,
p 3); rem: 21 November 1990 (Gaz G46, 21 November 1990,
p 3)
Corporations (Consequential Amendments) Act 1990 (Act No. 59, 1990)
Assent date 14 December 1990
Commenced 1 January 1991 (s 2, s 2 Corporations (NT) Act 1990 (Act
No. 56, 1990) and Gaz S76, 21 December 1990)
Statute Law Revision Act 1991 (Act No. 31, 1991)
Assent date 25 June 1991
Commenced 25 June 1991
Land and Business Agents Amendment Act 1991 (Act No. 79, 1991)
Assent date 17 December 1991
Commenced 10 August 1992 (Gaz S43, 4 August 1992)
Financial Institutions (NT) (Consequential Amendments) Act 1992 (Act No. 23, 1992)
Assent date 2 June 1992
Commenced 1 July 1992 (s 2, s 2 Financial Institutions (NT) Act 1992 (Act
No. 22, 1992)and Gaz S35, 30 June 1992)
Land and Business Agents Amendment Act 1992 (Act No. 33, 1992)
Assent date 25 June 1992
Commenced ss 4(d), 7, 11, and 19: 1 January 1993 (Gaz G49,
9 December 1992, p 7); rem: 10 August 1992 (Gaz S43,
5 August 1992)
Statute Law Revision Act 1994 (Act No. 50, 1994)
Assent date 20 September 1994
Commenced 20 September 1994
Agents Licensing Amendment Act 1995 (Act No. 20, 1995)
Assent date 26 June 1995
Commenced 19 July 1995 (Gaz G29, 19 July 1995, p 2)
-- 106 of 116 --
ENDNOTES
Agents Licensing Act 1979 101
Trustee (Consequential Amendments) Act 1996 (Act No. 8, 1996)
Assent date 20 March 1996
Commenced 26 February 1996 (s 2, s 2 Trustee Amendment Act
(No. 2) 1995 (Act No. 60, 1995) and Gaz G7,
14 February 1996, p 2)
Sentencing (Consequential Amendments) Act 1996 (Act No. 17, 1996)
Assent date 19 April 1996
Commenced s 7: 19 April 1996; rem: 1 July 1996 (s 2, s 2 Sentencing
Act 1995 (Act No. 39, 1995) and Gaz S15, 13 June 1996)
Financial Institutions (Miscellaneous Amendments) Act 1997 (Act No. 23, 1997)
Assent date 2 June 1997
Commenced 2 June 1997
Agents Licensing Amendment Act 1998 (Act No. 28, 1998)
Assent date 30 March 1998
Commenced 6 May 1998 (Gaz G17, 6 May 1998, p 2)
Territory Insurance Office (Miscellaneous Amendments) Act 1998 (Act No. 37, 1998)
Assent date 27 May 1998
Commenced 27 May 1998
Residential Tenancies (Consequential Amendments) Act 1999 (Act No. 46, 1999)
Assent date 10 November 1999
Commenced 1 March 2000 (s 2, s 2 Residential Tenancies Act 1999 (Act
No. 45, 1990) and Gaz G8, 1 March 2000, p 2)
Statute Law Revision Act (No. 2) 1999 (Act No. 48, 1999)
Assent date 10 November 1999
Commenced 10 November 1999
Land Title (Consequential Amendments) Act 2000 (Act No. 45, 2000)
Assent date 12 September 2000
Commenced 1 December 2000 (s 2, s 2 Land Title Act 2000 (Act No. 2,
2000) and Gaz G38, 27 September 2000, p 2)
Statute Law Revision Act 2001 (Act No. 3, 2001)
Assent date 22 March 2001
Commenced 22 March 2001
Corporations Reform (Consequential Amendments NT) Act 2001 (Act No. 17, 2001)
Assent date 29 June 2001
Commenced 15 July 2001 (s 2, s 2 Corporations Act 2001 (Cth Act No. 50,
2001) and Cth Gaz S285, 13 July 2001)
Corporations (Financial Services Reform Amendments) Act 2002 (Act No. 16, 2002)
Assent date 7 June 2002
Commenced 11 March 2002 (s 2, s 2 Financial Services Reform Act 2001
(Cth) (Act No. 122, 2001), s 2 Corporations Act 2001 (Cth Act
No. 50, 2001) and Cth Gaz S285, 13 July 2001)
Statute Law Revision Act 2002 (Act No. 18, 2002)
Assent date 7 June 2002
Commenced 7 June 2002
-- 107 of 116 --
ENDNOTES
Agents Licensing Act 1979 102
Agents Licensing Amendment Act 2002 (Act No. 69, 2002)
Assent date 11 December 2002
Commenced s 22: nc (Act rep by Act No. 33, 2019 before comm); ss 9 and
29: 1 July 2005 (Gaz G17, 27 April 2005, p 2);
rem: 1 February 2003 (Gaz G4, 29 February 2003, p 4 (comm
notice in Gaz G2, 15 January 2003, p 5 – revoked by Gaz G4,
29 January 2003, p 4))
Statute Law Revision Act (No. 2) 2003 (Act No. 44, 2003)
Assent date 7 July 2003
Commenced 7 July 2003
Law Reform (Gender, Sexuality and De Facto Relationships) Act 2003 (Act No. 1, 2004)
Assent date 7 January 2004
Commenced 17 March 2004 (Gaz G11, 17 March 2004, p 8)
Statute Law Revision Act 2004 (Act No. 18, 2004)
Assent date 15 March 2004
Commenced 1 July 2004 (s 2(2), s 2 Business Tenancies (Fair Dealings)
Act 2003 (Act No. 55, 2003) and Gaz G9, 3 March 2004, p 5)
Justice Portfolio (Miscellaneous Amendments) Act 2005 (Act No. 20, 2005)
Assent date 6 May 2005
Commenced 6 May 2005 (s 2(2))
Assembly Members and Statutory Officers (Remuneration and Other Entitlements)
Act 2006 (Act No. 7, 2006)
Assent date 26 April 2006
Commenced 26 April 2006
Justice Legislation Amendment Act 2006 (Act No. 13, 2006)
Assent date 18 May 2006
Commenced 18 May 2006 (s 2(1))
Justice Legislation Amendment Act 2007 (Act No. 5, 2007)
Assent date 24 April 2007
Commenced s 37 (except amd of Criminal Code and Legal Profession
Act 2006): 1 May 2007 (s 2(1), s 2 Victims of Crime
Assistance Act 2006 (Act No. 15, 2006) and Gaz G17,
26 April 2007, p 7); rem: 24 April 2007
Legal Profession (Consequential Amendments) Act 2007 (Act No. 7, 2007)
Assent date 17 May 2007
Commenced s 10: 1 July 2007; rem: 17 May 2007 (Gaz G26,
27 June 2007, p 3)
Statute Law Revision Act 2008 (Act No. 6, 2008)
Assent date 11 March 2008
Commenced 11 March 2008
Unit Title Schemes Act 2009 (Act No. 14, 2009)
Assent date 26 May 2009
Commenced pt 2.3, div 3, sdv 4 and s 135 (to ext ins s 54C):
1 January 2010; s 111: 1 July 2010; rem: 1 July 2009 (s 2,
Gaz S30, 26 June 2009, p 1, s 2 Land Title and Related
Legislation Amendment Act 2008 (Act No. 3, 2008) and Gaz
S30, 26 June 2009, p 1)
-- 108 of 116 --
ENDNOTES
Agents Licensing Act 1979 103
Justice Legislation Amendment (Penalties) Act 2010 (Act No. 12, 2010)
Assent date 20 May 2010
Commenced 1 July 2010 (Gaz G24, 16 June 2010, p 2)
Statute Law Revision Act 2010 (Act No. 29, 2010)
Assent date 9 September 2010
Commenced 13 October 2010 (Gaz G41, 13 October 2010, p 2)
Personal Property Securities (National Uniform Legislation) Implementation Act 2010
(Act No. 30, 2010)
Assent date 9 September 2010
Commenced ss 58 to 60: 30 January 2012 (Gaz, S2, 24 January 2012);
rem: 25 November 2011 (Gaz S68, 25 November 2011)
Oaths, Affidavits and Declarations (Consequential Amendments) Act 2010 (Act No. 40,
2010)
Assent date 18 November 2010
Commenced 1 March 2011 (s 2, s 2 Oaths, Affidavits and Declarations
Act 2010 (Act No. 39, 2010) and Gaz G7, 16 February 2011,
p 4)
Consumer Affairs and Fair Trading Amendment (National Uniform Legislation) Act 2010
(Act No. 41, 2010)
Assent date 8 December 2010
Commenced 1 January 2011 (Gaz S71, 20 December 2010)
Business Names (National Uniform Legislation) Implementation Act 2012 (Act No. 8,
2012)
Assent date 27 April 2012
Commenced pts 3 and 4: 28 May 2012 (Cth proclamation F2012L00891:
19 April 2012) ; rem: 27 April 2012 (s 2)
Agents Licensing Amendment Act 2015 (Act No. 27, 2015)
Assent date 8 December 2015
Commenced 8 December 2015
Local Court (Related Amendments) Act 2016 (Act No. 8, 2016)
Assent date 6 April 2016
Commenced 1 May 2016 (s 2, s 2 Local Court (Repeals and Related
Amendments) Act 2016 (Act No. 9, 2016) and Gaz S34,
29 April 2016)
Red Tape Reduction (Miscellaneous Amendments) Act 2016 (Act No. 12, 2016)
Assent date 10 May 2016
Commenced 1 July 2016 (Gaz G26, 29 June 2016, p 2)
Training and Skills Development Act 2016 (Act No. 25, 2016)
Assent date 29 June 2016
Commenced 4 July 2016 (Gaz S61, 4 July 2016)
Statute Law Revision Act 2017 (Act No. 4, 2017)
Assent date 10 March 2017
Commenced 12 April 2017 (Gaz G15, 12 April 2017, p 3)
Statute Law Revision Act 2018 (Act No. 10, 2018)
Assent date 23 May 2018
Commenced 20 June 2018 (Gaz S41, 20 June 2018)
-- 109 of 116 --
ENDNOTES
Agents Licensing Act 1979 104
Agents and Land Legislation Amendment Act 2019 (Act No. 6, 2019)
Assent date 28 March 2019
Commenced ss 3 to 5, 9 and 10, pts 3 to 5, ss 17, 25 to 27, 29, 33 and 34:
1 May 2019 (Gaz G18, 1 May 2019, p 4);
rem: 1 September 2019 (Gaz G26, 26 June 2019, p 7 and
Gaz G30, 24 July 2019, p 2)
Statute Law Revision and Repeals Act 2019 (Act No. 33, 2019)
Assent date 6 November 2019
Commenced pts 2 and 3: 11 December 2019 (Gaz G50,
11 December 2019, p 2); rem: 7 November 2019 (s 2)
Statute Law Revision Act 2020 (Act No. 26, 2020)
Assent date 19 November 2020
Commenced 20 November 2020 (s 2)
Statute Law Amendment (Territory Economic Reconstruction) Act 2022 (Act No. 5,
2022)
Assent date 14 April 2022
Commenced pt 7:25 May 2023 (Gaz G11, 25 May 2023, p 2);
rem: 25 May 2022 (Gaz G21, 25 May 2022, p 1)
Justice and Licensing Legislation Amendment Act 2022 (Act No. 6, 2022)
Assent date 14 April 2022
Commenced pt 6: 1 May 2022; rem: 1 July 2022 (Gaz S17, 27 April 2022)
Statute Law Revision Act 2023 (Act No. 4, 2023)
Assent date 2 March 2023
Commenced 3 March 2023 (s 2)
Statute Law Amendment (NTCAT Conferral of Jurisdiction) Act 2023 (Act No. 24, 2023)
Assent date 21 September 2023
Commenced 27 November 2023 (Gaz G24, 23 November 2023, p 2)
Trade, Business and Asian Relations Legislation Amendment (Streamlining Licensing
Schemes and Other Matters) Act 2026 (Act No. 2, 2026)
Assent date 9 February 2026
Commenced 10 February 2026 (s 2)
3 SAVINGS AND TRANSITIONAL PROVISIONS
s 16 Land and Business Agents Amendment Act 1985 (Act No. 66, 1985)
s 5(3) Land and Business Agents Amendment Act 1989 (Act No. 74, 1989)
s 23 Land and Business Agents Amendment Act 1992 (Act No. 33, 1992)
s 5(5) Statute Law Revision Act (No. 2) 1999 (Act No. 48, 1999)
s 37 Agents Licensing Amendment Act 2002 (Act No. 69, 2002)
Part XI ceased to operate on 1 March 1990, Gaz G8, 28 February 1990, p 6
4 GENERAL AMENDMENTS
General amendments of a formal nature (which are not referred to in the table
of amendments to this reprint) are made by the Interpretation Legislation
Amendment Act 2018 (Act No. 22, 2018) to: ss 1, 5, 5B, 7, 20, 29, 31AA, 50,
92, 95B and 127 and sch.
-- 110 of 116 --
ENDNOTES
Agents Licensing Act 1979 105
5 LIST OF AMENDMENTS
s 1 sub No. 79, 1991, s 4
s 4 amd No. 95, 1981, s 4; No. 23, 1997, s 6; No. 37, 1998, s 2; No. 69, 2002,
s 36; No. 29, 2010, s 7
s 5 amd No. 34, 1980, s 3; No. 66, 1985, s 4; No. 2, 1986, s 3; No. 64, 1986, s 2;
No. 59, 1987, s 2; No. 74, 1989, s 4; No. 44, 1990, s 4; No. 59, 1990, s 4;
No. 31, 1991, s 14; No. 79, 1991, s 5; No. 23, 1992, s 4; No. 33, 1992, s 4;
No. 8, 1996, s 3; No. 23, 1997, s 6; No. 37, 1998, s 2; No. 17, 2001, s 21;
No. 69, 2002, s 4; No. 44, 2003, s 5; No. 7, 2007, s 16; No. 6, 2008, s 3;
No. 14, 2009, s 118; No. 29, 2010, s 7; No. 8, 2016, s 4; No. 33, 2019, s 5;
No. 5, 2022, s 4; No. 24, 2023, s 4
s 5A ins No. 44, 1990, s 5
sub No. 24, 2023, s 5
s 5B ins No. 44, 1990, s 5
amd No. 14, 2009, s 119
s 6 amd No. 33, 2019, s 6
s 7 amd No. 79, 1991, s 6; No. 50, 1994, s 16; No. 3, 2001, s 8; No. 69, 2002,
s 5; No. 44, 2003, s 5; No. 7, 2007, s 16; No. 29, 2010, s 7; No 27, 2015, s 3;
No. 5, 2022, s 5; No. 6, 2022, s 8; No. 24, 2023, s 6
s 7A ins No. 44, 1990, s 6
amd No. 69, 2002, s 36
s 8 amd No. 66, 1985, s 5; No. 79, 1991, s 19; No. 69, 2002, s 36; No. 4, 2023,
s 23
s 9 amd No. 44, 1990, s 7; No. 69, 2002, s 36; No. 44, 2003, s 5; No. 29, 2010,
s 7; No. 4, 2017, s 34
s 10 rep No. 9, 1980, s 6
s 12 amd No. 69, 2002, s 6; No. 29 2010, s 7
s 13 amd No. 69, 2002, s 36
s 14 amd No. 44, 1990, s 8; No. 69, 2002, s 36; No. 29, 2010, s 7; No. 5, 2022, s 6
s 15 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 16 amd No. 29, 2010, s 7
s 17 amd No. 44, 1990, s 9; No. 79, 1991, s 7; No. 33, 1992, s 5; No. 18, 2002, s 6
sub No. 69, 2002, s 7
amd No. 12, 2010, s 3
s 18 rep No. 5, 2022, s 7
s 19 amd No. 69, 2002, s 36
rep No. 5, 2022, s 7
s 20 rep No. 79, 1991, s 19
ins No. 69, 2002, s 8
amd No. 44, 2003, s 5; No. 29, 2010, s 7; No. 5, 2022, s 8
s 21 rep No. 79, 1991, s 19
s 22 sub No. 79, 1991, s 8
amd No. 28, 1998, s 4
sub No. 69, 2002, s 9
amd No. 29 2010, s 7
sub No. 5, 2022, s 9
s 22A ins No. 69, 2002, s 10
amd No. 6, 2019, s 4
sub No. 5, 2022, s 9
s 23 rep No. 69, 2002, s 11
s 23A ins No. 95, 1981, s 5
amd No. 79, 1991, s 19
sub No. 69, 2002, s 12
s 24 amd No. 79, 1991, s 9
sub No. 33, 1992, s 6
-- 111 of 116 --
ENDNOTES
Agents Licensing Act 1979 106
s 25 sub No. 66, 1985, s 6
amd No. 48, 1999, s 3; No. 69, 2002, s 13; No. 29, 2010, s 7; No. 24, 2023,
s 7
s 25A ins No. 44, 1990, s 10
amd No. 69, 2002, s 36
s 26 amd No. 95, 1981, s 6; No. 69, 2002, s 36; No. 29, 2010, s 7; No. 12, 2016,
s 4; No. 5, 2022, s 10
s 27 amd No. 95, 1981, s 7; No. 69, 2002, s 36; No. 29, 2010, s 7; No. 12, 2016,
s 5; No. 5, 2022, s 11; No. 24, 2023, s 8
s 28 amd No. 69, 2002, s 36; No. 5, 2022, s 12
s 29 amd No. 28, 1998, s 5; No. 69, 2002, s 36; No. 5, 2007, s 4; No. 29, 2010,
s 7; No. 12, 2016, s 6; No. 25, 2016, s 112
s 31 amd No. 95, 1981, s 8; No. 44, 1990, s 11; No. 69, 2002, s 36; No. 8, 2016,
s 5; No. 5, 2022, s 13; No. 24, 2023, s 9
s 31AA ins No. 12, 2016, s 7
s 31A ins No. 69, 2002, s 14
s 31B ins No. 69, 2002, s 14
amd No. 6, 2019, s 4; No. 5, 2022, s 14
s 32 amd No. 95, 1981, s 9; No. 33, 1992, s 7; No. 28, 1998, s 6; No. 69, 2002,
s 15; No. 29, 2010, s 7; No. 12, 2016, s 8; No. 5, 2022, s 15; No. 24, 2023,
s 10; No. 2, 2026, s 4
s 32A ins No. 95, 1981, s 10
rep No. 69, 2002, s 16
s 32B ins No. 28, 1998, s 7
amd No. 69, 2002, s 36; No. 12, 2010, s 3; No. 5, 2022, s 16
s 32C ins No. 69, 2002, s 17
ss 33 – 36 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 37 amd No. 5, 2022, s 17; No. 2, 2026, s 5
s 39 amd No. 28, 1998, s 8; No. 69, 2002, s 36; No. 29, 2010, s 7; No. 5, 2022,
s 18
s 40 rep No. 33, 1992, s 8
s 41 amd No. 33, 1992, s 9; No. 28, 1998, s 9; No. 69, 2002, s 36; No. 5, 2022,
s 19
s 41A ins No. 44, 1990, s 12
amd No. 69, 2002, s 36
s 42 amd No. 33, 1992, s 10; No. 69, 2002, s 36; No. 5, 2022, s 20
s 43 amd No. 69, 2002, s 36
s 43A ins No. 34, 1980, s 4
sub No. 33, 1992, s 11
amd No. 28, 1998, s 10; No. 5, 2022, s 21
sub No. 2, 2026, s 6
s 44 amd No. 34, 1980 s 5; No. 44, 1990, s 13; No. 17, 1996, s 6
sub No. 28, 1998, s 11
amd No. 44, 2003, s 5; No. 33, 2019, s 7
s 44A ins No. 28, 1998, s 11
s 44B ins No. 28, 1998, s 11
amd No. 20, 2005, s 7; No. 29, 2010, s 7; No. 24, 2023, s 11
s 44C ins No. 28, 1998, s 11
s 46 amd No. 69, 2002, s 36
s 47 amd No. 69, 2002, s 36; No. 12, 2010, s 3; No. 5, 2022, s 22
s 48 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 49 amd No. 95, 1981, s 11; No. 69, 2002, s 36
s 50 amd No. 74, 1989, s 5; No. 33, 1992, s 22; No. 23, 1997, s 6; No. 46, 1999,
s 3; No. 69, 2002, s 36; No. 18, 2004, s 3; No. 29, 2010, s 7; No. 8, 2012,
s 30; No. 4, 2017, s 34
s 51 amd No. 33, 1992, s 12; No. 23, 1997, s 6; No. 69, 2002, s 36; No. 20, 2005,
s 8; No. 12, 2010, s 3; No. 4, 2017, s 34
s 52 amd No. 44, 2003, s 5; No. 29, 2010, s 7
s 54 amd No. 23, 1997, s 6; No. 69, 2002, s 18; No. 4, 2017, s 34
-- 112 of 116 --
ENDNOTES
Agents Licensing Act 1979 107
s 55 amd No. 69, 2002, s 36; No. 12, 2010, s 3; No. 29, 2010, s 7; No. 33, 2019,
s 8
s 56 amd No. 33, 1992, s 13; No. 20, 2005, s 9; No. 12, 2010, s 3
s 57 amd No. 69, 2002, s 36; No. 44, 2003, s 5; No. 12, 2010, s 3
s 59 amd No. 33, 1992, s 14; No. 69, 2002, s 36; No. 20, 2005, s 10; No. 12,
2010, s 3
s 60 amd No. 69, 2002, s 36; No. 1, 2004, s 62; No. 12, 2010, s 3; No. 29, 2010,
s 7
s 61 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 62 amd No. 33, 1992, s 22; No. 69, 2002, s 19; No. 12, 2010, s 3; No. 29, 2010,
s 7
s 63 amd No. 69, 2002, s 20; No. 12, 2010, s 3; No. 29, 2010, s 7
s 64 amd No. 79, 1991, s 10; No. 28, 1998, s 12; No. 69, 2002, s 36; No. 12,
2010, s 3; No. 29, 2010, s 7
s 64A ins No. 69, 2002, s 21
amd No. 29, 2010, s 7
sub No. 33, 2019, s 9
s 65 amd No. 66, 1985, s 7; No. 79, 1991, s 11; No. 33, 1992, s 15; No. 17, 1996,
s 6; No. 29, 2010, s 7; No. 33, 2019, s 10
pt VIA hdg ins No. 28, 1998, s 13
s 65A ins No. 28, 1998, s 13
s 65B ins No. 28, 1998, s 13
amd No. 29, 2010, s 7
ss 65C – 65D ins No. 28, 1998, s 13
s 65E ins No. 69, 2002, s 23
amd No. 12, 2010, s 3
s 66 amd No. 69, 2002, s 36
s 67 amd No. 95, 1981, s 12; No. 66, 1985, s 8; No. 44, 1990, s 14; No. 79, 1991,
s 12; No. 17, 1996, s 6; No. 69, 2002, s 24; No. 29, 2010, s 7; No. 2, 2026,
s 7
s 68 amd No. 44, 1990, s 15; No. 33, 1992, s 16; No. 28, 1998, s 14; No. 69,
2002, s 36; No. 44, 2003, s 5; No. 29, 2010, s 7; No. 5, 2022, s 23
s 68A ins No. 66, 1985, s 9
amd No. 69, 2002, s 36
s 69 amd No. 66, 1985, s 10; No. 44, 1990, s 16; No. 28, 1998, s 15; No. 20,
2005, s 11; No. 29, 2010, s 7; No. 33, 2019, s 11; No. 24, 2023, s 12
s 69A ins No. 95, 1981, s 13
amd No. 79, 1991, s 19; No. 69, 2002, s 36
s 71 amd No. 95, 1981, s 14; No. 79, 1991, s 19; No. 29, 2010, s 7; No. 4, 2023,
s 23
s 72 amd No. 69, 2002, s 36
s 73 amd No. 23, 1997, s 6; No. 69, 2002, s 25; No. 4, 2017, s 34
s 73A ins No. 95, 1981, s 15
s 75 amd No. 95, 1981, s 16; No. 33, 1992, s 22; No. 44, 2003, s 5
s 77 amd No. 44, 1990, s 17; No. 28, 1998, s 16; No. 69, 2002, s 36; No. 40,
2010, s 118
s 78 amd No. 69, 2002, s 3; No. 29, 2010, s 7
s 79 amd No. 69, 2002, s 3; No. 12, 2010, s 3
s 80 amd No. 69, 2002, s 3; No. 12, 2010, s 3; No. 40, 2010, s 118
ss 81 – 82 amd No. 69, 2002, s 36
s 84A ins No. 28, 1998, s 17
amd No. 5, 2022, s 24
s 84B ins No. 28, 1998, s 17
pt X hdg amd No. 8, 2016, s 6
sub No. 24, 2023, s 13
s 85 amd No. 14, 1989, s 7; No. 29, 2010, s 7; No. 8, 2016, s 7
sub No. 24, 2023, s 13
pt XI hdg rep No. 31, 1991, s 14
-- 113 of 116 --
ENDNOTES
Agents Licensing Act 1979 108
s 86 sub No. 95, 1981, s 17
rep No. 31, 1991, s 14
ss 87 – 89 rep No. 31, 1991, s 14
pt XII hdg sub No. 74, 1989, s 6
pt XII
div 1 hdg sub No. 74, 1989, s 6; No. 13, 2006, s 4
s 90 amd No. 66, 1985, s 11
rep No. 74, 1989, s 6
s 91 rep No. 74, 1989, s 6
s 92 amd No. 66, 1985, s 12; No. 74, 1989, s 6; No. 44, 1990, s 18; No. 33, 1992,
s 22; No. 20, 1995, s 3
sub No. 69, 2002, s 26
amd No. 44, 2003, s 5; No. 25, 2016, s 112; No. 26, 2020, s 3; No. 6, 2022,
s 9
s 93 amd No. 95, 1981, s 18; No. 87, 1982, s 2
rep No. 74, 1989, s 6
ins No. 13, 2006, s 5
amd No. 41, 2010, s 30
pt XII
div 2 hdg sub No. 33, 1992, s 17
s 94 amd No. 66, 1985, s 13; No. 74, 1989, s 6; No. 79, 1991, s 19
sub No. 33, 1992, s 17
amd No. 20, 1995, s 4; No. 29, 2010, s 7; No. 6, 2019, s 6
s 95 amd No. 34, 1980, s 6; No. 74, 1989, s 6; No. 44, 1990, s 19
sub No. 33, 1992, s 17
amd No. 69, 2002, s 36; No. 29, 2010, s 7
sub No. 6, 2019, s 7
s 95AA ins No. 6, 2019, s 7
pt XII
div 2A hdg ins No. 66, 1985, s 14
rep No. 33, 1992, s 17
s 95A ins No. 66, 1985, s 14
sub No. 33, 1992, s 17
amd No. 6, 2019, s 8
s 95AB ins No. 6, 2019, s 9
s 95B ins No. 66, 1985, s 14
amd No. 74, 1989, s 6
sub No. 33, 1992, s 17
amd No. 20, 1995, s 5; No. 69, 2002, s 27; No. 44, 2003, s 5; No. 7, 2006,
s 30; No. 13, 2006, s 6; No. 29, 2010, s 7; No. 6, 2022, s 9
ss 95C – 95D ins No. 66, 1985, s 14
rep No. 33, 1992, s 17
s 96 amd No. 95, 1981, s 19; No. 33, 1992, s 18; No. 29, 2010, s 7
ss 98 – 99 amd No. 69, 2002, s 36
s 100 amd No. 33, 1992, s 22; No. 17, 1996, s 6; No. 69, 2002, s 36
s 101 amd No. 14, 1989, s 7
rep No. 24, 2023, s 14
s 102 amd No. 33, 1992, s 22; No. 69, 2002, s 28; No. 6, 2022, s 9
s 104 amd No. 33, 1992, s 22; No. 69, 2002, s 36; No. 6, 2022, s 9
s 105 amd No. 69, 2002, s 36
s 107 amd No. 33, 1992, s 22; No. 69, 2002, s 36; No. 6, 2022, s 9
s 108 amd No. 33, 1992, s 22; No. 69, 2002, s 36; No. 44, 2003, s 5; No. 6, 2022,
s 9
pt XIIA hdg ins No. 44, 1990, s 20
sub No. 69, 2002, s 29
s 108A ins No. 44, 1990, s 20
amd No. 79, 1991, s 13
sub No. 69, 2002, s 29
amd No. 29, 2010, s 7
-- 114 of 116 --
ENDNOTES
Agents Licensing Act 1979 109
s 108B ins No. 44, 1990, s 20
sub No. 69, 2002, s 29
amd No. 12, 2010, s 3
s 108C ins No. 44, 1991, s 14
sub No. 69, 2002, s 29
amd No. 5, 2022, s 25
ss 108D –
108E ins No. 69, 2002, s 29
pt XIIB hdg ins No. 69, 2002, s 30
s 108F ins No. 69, 2002, s 30
amd No. 1, 2004, s 62; No. 29, 2010, s 7; No. 33, 2019, s 12
s 108G ins No. 69, 2002, s 30
amd No. 12, 2010, s 3; No. 29, 2010, s 7; No. 33, 2019, s 13
s 108H ins No. 69, 2002, s 30
amd No. 33, 2019, s 14; No. 5, 2022, s 26
s 108J ins No. 5, 2022, s 27
s 109 amd No. 79, 1991, s 15; No. 29, 2010, s 7
s 110 amd No. 66, 1985, s 15
sub No. 69, 2002, s 31
amd No. 12, 2010, s 3
s 110A ins No. 69, 2002, s 31
amd No. 12, 2010, s 3
s 111 amd No. 95, 1981, s 20; No. 69, 2002, s 36; No. 12, 2010, s 3; No. 2, 2026,
s 8
s 111A ins No. 30, 2010, s 24
s 112 amd No. 79, 1991, s 19; No. 69, 2002, s 36; No. 12, 2010, s 3
s 113 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 114 amd No. 79, 1991, s 19; No. 69, 2002, s 36; No. 12, 2010, s 3; No. 33, 2019,
s 15
ss 115 – 117 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 118 amd No. 69, 2002, s 36; No. 44, 2003, s 5; No. 12, 2010, s 3; No. 33, 2019,
s 16
s 119 amd No. 69, 2002, s 36; No. 44, 2003, s 5; No. 12, 2010, s 3
s 120 amd No. 69, 2002, s 36; No. 12, 2010, s 3
s 121 amd No. 79, 1991, s 16; No. 33, 2019, s 17
s 121A ins No. 33, 1992, s 19
amd No. 17, 1996, s 6; No. 16, 2002, s 7
sub No. 69, 2002, s 32
amd No. 12, 2010, s 3
s 121B ins No. 33, 1992, s 19
rep No. 69, 2002, s 32
s 122 amd No. 33, 1992, s 20
rep No. 6, 2019, s 10
s 123 amd No. 69, 2002, s 36
s 125 amd No. 69, 2002, s 36; No. 12, 2010, s 3; No. 8, 2016, s 8; No. 24, 2023,
s 15
s 125A ins No. 95, 1981, s 21
amd No. 17, 1996, s 6
rep No. 8, 2016, s 9
s 125AA ins No. 28, 1998, s 18
amd No. 10, 2018, s 6
s 125B ins No. 68, 1983, s 116
amd No. 33, 1992, s 21
s 126 amd No. 69, 2002, s 33
s 126A ins No. 5, 2022, s 28
s 127 amd No. 44, 1990, s 21; No. 31, 1991, s 14; No. 79, 1991, s 17; No. 69,
2002, s 34; No. 14, 2009, s 120; No. 29, 2010, s 7; No. 33, 2019, s 18
pt XIV hdg ins No. 33, 2019, s 19
-- 115 of 116 --
ENDNOTES
Agents Licensing Act 1979 110
s 128 rep No. 79, 1991, s 19
ins No. 33, 2019, s 19
pt XV hdg ins No. 5, 2022, s 29
ss 129 – 131 ins No. 5, 2022, s 29
pt XVI hdg ins No. 24, 2023, s 16
ss 132 – 137 ins No. 24, 2023, s 16
sch hdg amd No. 24, 2023, s 17
sch ins No. 79, 1991, s 18
amd No. 28, 1998, s 19; No. 45, 2000, s 11; No. 18, 2002, s 6; No. 69, 2002,
s 35; No. 14, 2009, s 121; No. 29, 2010, s 7
sch 2 ins No. 24, 2023, s 18
-- 116 of 116 --