Gambling Regulation Act 2003
Victorian Legislation and Parliamentary Documents
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Gambling Regulation Act 2003
Act No. 114/2003
TABLE OF PROVISIONS
Section Page
CHAPTER 1—PRELIMINARY 1
1.1 Purpose, objectives and outline 1
1.2 Commencement 4
1.3 Definitions 4
1.4 Who is an associate? 25
1.5 Money invested 27
1.6 Act binds the Crown 27
CHAPTER 2—GENERAL PROHIBITION ON GAMBLING 28
PART 1—INTRODUCTION 28
2.1.1 Purpose 28
2.1.2 Definitions 28
2.1.3 Application of Chapter 32
PART 2—PROHIBITION ON LOTTERIES 33
Division 1—Prohibited Lotteries 33
2.2.1 Lotteries prohibited 33
2.2.2 Establishing or conducting a lottery 33
2.2.3 Advertising lotteries 34
2.2.4 Lottery ticket offences 35
2.2.5 Keeping a house etc. for purpose of a lottery 36
2.2.6 Participants in a lottery 36
Division 2—Permitted Lotteries 37
2.2.7 Authorised raffles, lotteries etc. 37
2.2.8 Games at amusement centres, fetes, carnivals etc. 37
2.2.9 Calcutta Sweepstakes 38
PART 3—UNLAWFUL GAMES AND GAMING 40
2.3.1 Unlawful games 40
2.3.2 Two-up may be played on ANZAC Day 41
2.3.3 Common gaming houses and places 42
2.3.4 Gaming in public places 43
2.3.5 Cheating at play 43
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PART 4—GAMING OR WAGERING AGREEMENTS 44
2.4.1 Gaming or wagering contracts are void 44
2.4.2 Non-application of section 2.4.1 44
PART 5—BETTING 46
Division 1—Betting Houses and Places of Betting 46
2.5.1 What are betting houses and places of betting? 46
2.5.2 Offences in respect of betting houses or places of betting 47
2.5.3 Money received may be recovered from persons
receiving it 48
2.5.4 Division not to extend to stakeholder or to owner of horse
in any race 48
2.5.5 Penalty on persons exhibiting placards or advertising
betting houses or places of betting 49
2.5.6 Penalty on persons advertising as to betting 49
Division 2—Betting in Public Places 50
2.5.7 Definition 50
2.5.8 Prohibition on betting in public places 50
2.5.9 Money received may be recovered from persons receiving it 52
2.5.10 Permitted sports betting in public places 52
Division 3—Betting with Minors 52
2.5.11 Definition 52
2.5.12 Offence to bet with minor or invite minor to bet 53
2.5.13 Person betting with apparent minors is taken to have
knowledge of minority 53
Division 4—Totalisators 54
2.5.14 Offences in respect of totalisators 54
Division 5—Advertisements, Communications, etc., about Betting 55
2.5.15 Restrictions on publication etc. of information concerning
betting etc. 55
2.5.16 Exceptions to section 2.5.15 57
2.5.17 Betting placards and notices not to be posted up anywhere 58
2.5.18 Penalty for communicating certain racing information while
race meeting is being held 59
2.5.19 Certain communications etc. exempted 60
Division 6—Common Gaming Houses and Places 61
2.5.20 What is a common gaming house or place? 61
2.5.21 Warrant to enter common gaming house and search and
seize on premises 62
2.5.22 Offence to obstruct the entry of authorised members of
police force 63
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2.5.23 Obstructing entry to be evidence of house being a common
gaming house 64
2.5.24 Offence of permitting premises to be used as or as access to
a common gaming house or place 65
2.5.25 Power of owner to evict occupier of common gaming
house or place 65
2.5.26 Cancellation of notice to quit 66
2.5.27 Declaration of common gaming house or place 67
2.5.28 Application for rescission by owner etc. 68
2.5.29 Application for rescission by police 68
2.5.30 Notice in the Government Gazette 69
2.5.31 Other notices of declaration 69
2.5.32 Persons found etc. in declared common gaming house 71
2.5.33 Convicted persons found in declared common gaming
house 71
2.5.34 No business to be carried on in declared common gaming
house 72
2.5.35 Liability of owner 72
2.5.36 Liability of occupier 73
2.5.37 Additional penalty for continuing offences 73
2.5.38 Entry by police 73
2.5.39 Special warrant to enter premises suspected of being used
as accessory to a common gaming house 74
2.5.40 Procedure where house or place is entered under a special
warrant etc. 76
2.5.41 Persons required to be examined as witnesses making a
full discovery to receive a certificate 78
2.5.42 Indemnity of witnesses 79
2.5.43 Persons found in common gaming house or place 80
2.5.44 Being disguised in common gaming house or place 80
Division 7—Services relating to Betting 80
2.5.45 Offence to promote or advertise betting or offer or provide
services relating to betting 80
PART 6—GENERAL 82
2.6.1 Possession of instrument of betting 82
2.6.2 Search and seizure of instruments of betting 83
2.6.3 Money stolen and paid away in bets is recoverable 83
2.6.4 Acting as keeper of gaming houses etc. 83
2.6.5 Evidence as to offences 84
2.6.6 Instruments of gaming on vessels 86
2.6.7 Vicarious liability 86
2.6.8 Accomplice 86
2.6.9 Entry of police to public places 87
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CHAPTER 3—GAMING MACHINES 88
PART 1—INTRODUCTION 88
3.1.1 Purpose 88
3.1.2 Definitions 88
3.1.3 Machines may be declared to be gaming machines 90
3.1.4 Conduct of gaming and playing gaming machines 90
3.1.5 Application of Chapter to casino operator 91
3.1.6 Application of Chapter to tabaret premises 92
PART 2—GENERAL AUTHORISATION FOR GAMING ON
GAMING MACHINES 93
Division 1—Legality of Gaming Machine Gaming 93
3.2.1 Gaming in approved venue declared lawful 93
3.2.2 Possession of gaming machines may be authorised 93
Division 2—Ministerial Directions and Regional Limits 94
3.2.3 Ministerial directions as to requirements for gaming
machines 94
3.2.4 Regional limits on gaming machines 95
3.2.5 No compensation payable 97
PART 3—APPROVAL OF PREMISES FOR GAMING 98
Division 1—Introduction 98
3.3.1 Outline of Part 98
Division 2—Premises Approvals 98
3.3.2 Which premises may be approved as suitable for gaming? 98
3.3.3 Which premises may be approved for 24 hour gaming? 99
3.3.4 Application for approval of premises 99
3.3.5 Notification of responsible authority 100
3.3.6 Responsible authority may make submission 101
3.3.7 Matters to be considered in determining applications 101
3.3.8 Determination of application 102
3.3.9 Conditions of approval 103
3.3.10 Duration of approval 104
3.3.11 Variation of approval 104
3.3.12. Revocation of approval 104
3.3.13 Automatic revocation of approval 105
3.3.14 Tribunal review of approval 105
3.3.15 Surrender of approval 106
Division 3—Modification of Gaming Machine Areas 106
3.3.16 Modification of gaming machine areas 106
3.3.17 Appeal 107
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PART 4—LICENSING OF OPERATORS, EMPLOYEES AND
TECHNICIANS AND LISTING OF MANUFACTURERS,
SUPPLIERS AND TESTERS 108
Division 1—Authority Conferred by Licences and Listing 108
3.4.1 Authority conferred by venue operator's licence 108
3.4.2 Authority conferred by gaming operator's licence 108
3.4.3 Authority conferred by a special employee's licence 109
3.4.4 Authority conferred by a technician's licence 109
3.4.5 Authority conferred by listing on the Roll 110
3.4.6 Offence to breach licence conditions 111
3.4.7 Offence to breach condition of listing on Roll 111
Division 2—Venue Operator's Licence 111
3.4.8 Application for venue operator's licence 111
3.4.9 Gaming operator not to be venue operator 112
3.4.10 Objections 112
3.4.11 Matters to be considered in determining applications 113
3.4.12 Determination of applications and duration of licence 114
3.4.13 Register of venue operators and approved venues 115
3.4.14 Nominee of licensee 116
3.4.15 Venue operator's licence is non-transferable 118
3.4.16 Renewal of venue operator's licence 118
3.4.17 Amendment of conditions 119
3.4.18 Proposal of amendment by venue operator 120
3.4.19 Submissions on proposed amendments 121
3.4.20 Consideration and making of amendment 122
3.4.21 Tribunal review of amendment increasing number of
gaming machines 124
3.4.22 Notification of certain applications concerning liquor
licence 125
3.4.23 Notification of certain changes 126
3.4.24 Endorsement of licence and Register 127
3.4.25 Disciplinary action against venue operator 129
3.4.26 Letter of censure 132
3.4.27 Suspension of venue operator's licence pending criminal
proceedings 132
3.4.28 Provisional venue operator's licence 133
Division 3—Gaming Operator's Licence 133
3.4.29 Gaming operator's licence 133
3.4.30 Premium payment 133
3.4.31 Matters to be considered in determining grant of licence 134
3.4.32 Duration of licence 135
3.4.33 Entitlement of former licensee on grant of new licence 135
3.4.34 Amendment of conditions 137
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3.4.35 Gaming operator's licence is non-transferable 137
3.4.36 Disciplinary action 137
3.4.37 Cancellation of gaming operator's licence 138
Division 4—Special Employee's Licence 140
3.4.38 Definitions 140
3.4.39 Special employees to be licensed 140
3.4.40 Application for special employee's licence 141
3.4.41 Determination of applications 141
3.4.42 Conditions of special employee's licence 142
3.4.43 Appeal 143
3.4.44 Identification of special employees 144
3.4.45 Provisional special employee's licences 145
3.4.46 Duration of special employee's licence 145
3.4.47 Renewal of special employee's licence 146
3.4.48 Disciplinary action 147
3.4.49 Suspension of special employee's licence in connection
with criminal proceedings 149
3.4.50 Effect etc. of suspension 149
3.4.51 Return of licence on suspension or cancellation 149
3.4.52 Termination of employment on suspension or cancellation
of licence 149
3.4.53 Licensee to provide information relating to licence 150
3.4.54 Compulsory training for special employees 150
Division 5—Technician's Licence 151
3.4.55 Definitions 151
3.4.56 Only licensed technicians to repair etc. gaming equipment 152
3.4.57 Licensing procedure 152
3.4.58 Offences 153
Division 6—Casino and Bingo Centre Employees 153
3.4.59 Special employee's licences and technician's licences 153
Division 7—Roll of Manufacturers, Suppliers and Testers 154
3.4.60 The Roll 154
3.4.61 Application to be listed on Roll 154
3.4.62 Objections 155
3.4.63 Determination of applications 156
3.4.64 Imposition and amendment of conditions 157
3.4.65 Disciplinary action 158
3.4.66 Letter of censure 160
3.4.67 Voluntary removal from Roll 161
3.4.68 Payments etc. to venue operator unlawful 161
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PART 5—CONTROL OF GAMING 162
Division 1—Manufacturing and Obtaining Gaming Machines 162
3.5.1 Manufacture, sale, supply, obtaining or possession of
gaming machines 162
3.5.2 Gaming machine contracts to be approved by Commission 163
Division 2—Controls over Gaming Machines and Games 164
3.5.3 Commission's standards for gaming machine types and
games 164
3.5.4 Approval of gaming machine types and games 165
3.5.5 Variation of gaming machine types and games 165
3.5.6 Withdrawal of approval 166
3.5.7 Linked jackpots unlawful without approval 168
3.5.8 Identification of machines 168
3.5.9 Gaming prohibited on unprotected devices 169
3.5.10 Unlawful interference with gaming equipment 169
3.5.11 Protection of sensitive areas of gaming equipment 170
3.5.12 Testing of electronic monitoring system 172
3.5.13 Approval of electronic monitoring systems 172
3.5.14 Access to gaming machines 173
3.5.15 Installation and storage of gaming machines 174
3.5.16 Certificates of installation 174
3.5.17 Offence to play gaming machine not installed as authorised 176
3.5.18 Gaming only permitted in gaming machine areas 176
3.5.19 Gaming tokens 176
3.5.20 Malfunction of gaming machines 176
3.5.21 Defective gaming machines not allowed 177
3.5.22 After hours gaming 178
3.5.23 The Commission's rules 179
3.5.24 Disallowance of rules 180
3.5.25 Inspection of rules 181
3.5.26 Rules to be enforced 181
3.5.27 Commission may give directions 181
3.5.28 Inducements, cheating etc. 182
Division 3—Responsible Gaming Measures 184
3.5.29 Banning large denomination note acceptors and autoplay
facilities 184
3.5.30 Spin rates 185
3.5.31 Credit etc. 185
3.5.32 Limiting withdrawals and advances from cash facilities 185
3.5.33 Payment of winnings and cashing of cheques 186
Division 4—Gaming Machine Advertising 187
3.5.34 Prohibition on publishing gaming machine advertising 187
3.5.35 Prohibition on displaying gaming machine related signs 188
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Division 5—Loyalty Schemes 189
3.5.36 Loyalty schemes 189
3.5.37 Player activity statements 191
3.5.38 Suspension of person who fails to collect their player
activity statement 192
3.5.39 Opting out of loyalty schemes 193
3.5.40 No advertising to people suspended or removed from
loyalty schemes 193
3.5.41 Loyalty scheme participant information 194
Division 6—Removal of People from Approved Venues 195
3.5.42 Application of Division 195
3.5.43 Removal of certain persons 195
Division 7—Minors 196
3.5.44 Definitions 196
3.5.45 Application of Division 196
3.5.46 Minors not to enter gaming machine areas 196
3.5.47 Minors not to play gaming machines in approved venues 196
3.5.48 Minors in approved venue—offences by venue operator 196
3.5.49 Entry of minors to be prevented 197
3.5.50 Proof of age may be required 198
3.5.51 Minor using false evidence of age 198
3.5.52 Notices to be displayed 199
3.5.53 Apprentices permitted entry to gaming machine area 199
PART 6—RETURNS TO PLAYERS, LEVIES AND TAXES 200
Division 1—Returns to Players 200
3.6.1 Returns to players 200
Division 2—Taxes and Levies 200
3.6.2 Definitions 200
3.6.3 Health benefit levy 201
3.6.4 Hypothecation of health benefit levy 202
3.6.5 Holder of gaming operator's licence to pay supervision
charge 202
3.6.6 Taxation 203
3.6.7 Additional tax for holder of gaming operator's licence 205
3.6.8 Declaration of different rate of return 205
3.6.9 Community benefit statements 207
3.6.10 Interest on late payment 208
3.6.11 Hospitals and charities and mental health levy 209
3.6.12 Payment to Community Support Fund 209
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PART 7—COMPLIANCE REQUIREMENTS 210
Division 1—Introduction 210
3.7.1 Definition 210
3.7.2 Application of Part 210
Division 2—Banking, Accounting and Auditing 210
3.7.3 Banking 210
3.7.4 Accounting records 211
3.7.5 Books etc. to be kept on the premises 212
3.7.6 Audit of gaming operator 213
PART 8—ONGOING MONITORING 215
3.8.1 Change in situation of licensees, associates etc. 215
3.8.2 Notification of persons becoming associates 215
3.8.3 Investigation of associates and others 216
3.8.4 Termination of association 216
PART 9—GENERAL 219
Division 1—Declared Operator of Gaming Operator's Licence 219
3.9.1 Minister may declare company to be operator 219
3.9.2 Application for approval 220
3.9.3 Approval of a wholly-owned subsidiary 220
Division 2—General 221
3.9.4 Prohibition on recovery of costs of investigating persons
on Roll or their associates 221
3.9.5 Appeals 222
3.9.6 Injunctions to prevent contraventions etc. 223
CHAPTER 4—WAGERING AND BETTING 224
PART 1—INTRODUCTION 224
4.1.1 Purpose 224
4.1.2 Definitions 224
4.1.3 Exemption of totalisators 225
PART 2—GENERAL AUTHORISATION FOR WAGERING
AND BETTING 226
Division 1—Legality of Wagering and Betting 226
4.2.1 Wagering and approved betting competitions 226
4.2.2 Use of totalisator lawful 226
4.2.3 Approval of totalisator equipment 227
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Division 2—Betting rules 228
4.2.4 Totalisator or approved betting competition not to be
conducted without rules 228
4.2.5 Licensee to make betting rules 228
4.2.6 Disallowance of betting rules 230
PART 3—WAGERING LICENCE AND GAMING LICENCE 231
Division 1—Authority of Licences 231
4.3.1 Wagering licence 231
4.3.2 Gaming licence 231
4.3.3 One licence 231
4.3.4 Licences non-transferable 232
Division 2—Grant of Licences 232
4.3.5 Application for licences 232
4.3.6 Matters to be considered in determining application 233
4.3.7 Recommendation on application 234
4.3.8 Grant of licences 234
4.3.9 Duration of licences and licence conditions 235
4.3.10 Amendment of licence conditions 236
4.3.11 Powers of licensee under Corporations Act not affected 236
Division 3—Entitlement of Former Licensee 236
4.3.12 Entitlement of former licensee on grant of new licences 236
4.3.13 What is the licence value of the former licences? 237
4.3.14 When must the payment be made? 239
Division 4—Operators 239
4.3.15 Appointment of operators 239
4.3.16 Application for approval 240
4.3.17 Approval of wholly-owned subsidiary 240
Division 5—Regulation of Shareholding Interests 241
4.3.18 Definitions 241
4.3.19 Application of Division 244
4.3.20 Prohibited shareholding interest 245
4.3.21 Power to require information relating to entitlement to
shares in licensee 245
4.3.22 Disposal, forfeiture etc. of shares where prohibited
shareholding interest 247
4.3.23 Voting rights in respect of certain shares 249
4.3.24 Annulment of certain resolutions of the licensee 250
4.3.25 Making, review and revocation of declarations by Minister 251
4.3.26 Appeal against declarations of Minister 252
4.3.27 Sale of forfeited shares 253
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Division 6—Further Licensing Restrictions and Requirements 254
4.3.28 Restrictions on directors of licensee or operator 254
4.3.29 Licensee and others not to be associated with certain
activities 255
4.3.30 Change in situation of licensee or operator 256
Division 7—Disciplinary action and cancellation 258
4.3.31 Disciplinary action 258
4.3.32 Cancellation of both licences 259
4.3.33 Appointment of temporary licensee if licence cancelled 260
PART 4—ON-COURSE WAGERING PERMIT 262
Division 1—Authority of Permit 262
4.4.1 On-course wagering permit 262
Division 2—Grant of Permit 262
4.4.2. Application for permit 262
4.4.3 Matters to be considered in determining application 263
4.4.4 Grant of permit 264
4.4.5 Permit is non-transferable 264
Division 3—Conduct of On-course Wagering 265
4.4.6 Compliance with betting rules 265
4.4.7 Racing industry and licensee 265
Division 4—Commissions, Dividends and Taxes 265
4.4.8 Commissions 265
4.4.9 Dividends 265
4.4.10 Wagering tax 266
4.4.11 Hospitals and Charities Fund 267
4.4.12 Supervision charge 267
Division 5—General 268
4.4.13 Unclaimed refunds and dividends 268
PART 5—APPROVED BETTING COMPETITIONS 269
4.5.1 Approval of betting competitions 269
4.5.2 Events and contingencies 269
4.5.3 Notice of approved betting competitions 270
4.5.4 Conditions of approval 270
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PART 6—COMMISSIONS, DIVIDENDS AND TAXES 271
Division 1—Wagering 271
4.6.1 Commissions 271
4.6.2 Dividends 271
4.6.3 Wagering tax 272
Division 2—Approved Betting Competitions 273
4.6.4 Commissions—totalisators 273
4.6.5 Dividends 273
4.6.6 Tax 274
Division 3—Supervision Charge 275
4.6.7 Licensee to pay charge 275
Division 4—General 275
4.6.8 Hospitals and Charities Fund 275
4.6.9 Unclaimed refunds, dividends and prizes 276
PART 7—OFFENCES 277
4.7.1 Minors 277
4.7.2 Offences relating to totalisators and approved betting
competitions 277
4.7.3 Tickets etc. purportedly issued by licensee 280
4.7.4 Offence related to payment of dividends or prizes 280
4.7.5 Inducements, cheating etc. 280
4.7.6 Offence to extend credit etc. 281
PART 8—COMPLIANCE REQUIREMENTS 282
Division 1—Banking, Accounting and Auditing 282
4.8.1 Application of Division 282
4.8.2 Banking 282
4.8.3 Accounts 283
4.8.4 Books etc. to be kept on the premises 284
4.8.5 Audit of wagering operator and permit holders 285
Division 2—Reporting 286
4.8.6 Submission of reports 286
CHAPTER 5—LOTTERIES 288
PART 1—INTRODUCTION 288
5.1.1 Purposes 288
5.1.2 Definitions 288
5.1.3 Application of Chapter 289
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PART 2—PUBLIC LOTTERIES 290
Division 1—Legality of Public Lotteries 290
5.2.1 Public lotteries declared lawful 290
Division 2—Public Lottery Rules 290
5.2.2 Lottery rules 290
5.2.3 When do lottery rules come into force? 291
5.2.4 Publication and inspection of lottery rules 291
5.2.5 Disallowance of lottery rules 292
Division 3—Conduct of Public Lotteries 293
5.2.6 Supervision of public lottery draws by Commission's
representative 293
5.2.7 Licensee to record entries 293
5.2.8 Prohibition on accepting public lottery entries by minors 294
5.2.9 Licensee not to act as credit provider 294
5.2.10 Non-monetary prizes 294
5.2.11 Prohibition of certain schemes 295
5.2.12 Publicity concerning prizewinners 296
PART 3—PUBLIC LOTTERY LICENCES 297
Division 1—Number and Type of Public Lottery Licences 297
5.3.1 Minister determines number and type of public lottery
licences 297
5.3.2 Which public lotteries can be licensed? 297
Division 2—Licensing Procedure 298
5.3.3 Application for licence 298
5.3.4 Report to Minister by Commission 299
5.3.5 Determination of applications 300
5.3.6 Issue of licence 300
5.3.7 Licence conditions 301
5.3.8 Duration of licence 301
5.3.9 Premium payment 302
5.3.10 Licence is non-transferable 302
5.3.11 Publication and tabling of licences 302
5.3.12 Inspection of licence 302
5.3.13 Register of licences 303
Division 3—Appointing Subsidiaries to Conduct Public Lotteries 303
5.3.14 Appointment of subsidiaries 303
5.3.15 Approval of subsidiary 304
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Division 4—Amending and Surrendering Licences 304
5.3.16 Request by licensee for amendment of licence 304
5.3.17 Notification of other affected licensees 305
5.3.18 Objection by other licensees 305
5.3.19 Amendment of licence 305
5.3.20 Surrender of licence 307
Division 5—Disciplinary Action 307
5.3.21 Grounds for disciplinary action 307
5.3.22 Commission may recommend disciplinary action 308
5.3.23 Minister may take disciplinary action 308
5.3.24 Suspension of licence pending criminal proceedings 310
5.3.25 Effect of licence suspension 310
5.3.26 Application of Division to appointed subsidiaries 310
PART 4—RETURNS TO PLAYERS AND TAXES 311
Division 1—Returns to Players 311
5.4.1 Returns to players 311
Division 2—Taxes 311
5.4.2 Supervision charge 311
5.4.3 Public lottery tax 312
5.4.4 Penalty interest for late payment 313
5.4.5 Recovery of amounts 313
5.4.6 Application of tax proceeds 314
5.4.7 Sharing tax with other jurisdictions 314
PART 5—COMPLIANCE REQUIREMENTS 317
Division 1—Financial Recording and Reporting 317
5.5.1 Licensee to keep accounts and records 317
5.5.2 Annual financial statements 317
5.5.3 Audit 318
5.5.4 Extension of time for annual financial statements 318
5.5.5 Failure to submit annual financial statements 319
5.5.6 Agents and subsidiaries to comply with Division 319
Division 2—Other Requirements 319
5.5.7 Directions to licensees 319
5.5.8 Claims for prize 320
5.5.9 Prizes unclaimed after 12 months 321
5.5.10 Complaints 321
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PART 6—ONGOING MONITORING 323
5.6.1 Notification of change in situation of licensee or associates 323
5.6.2 Notification of persons becoming associates 324
5.6.3 Investigations of licensee 324
5.6.4 Requirement to give information to Commission 324
5.6.5 Investigation of associates and others 326
5.6.6 Termination of association 326
5.6.7 Application of Division to appointed subsidiary 328
PART 7—TRADE PROMOTION LOTTERIES 329
Division 1—Legality of Trade Promotion Lotteries 329
5.7.1 Trade promotion lotteries declared lawful 329
5.7.2 No permit required if prize value $5000 or less 329
Division 2—Permit to Conduct a Trade Promotion Lottery 329
5.7.3 Application for permit to conduct a trade promotion lottery 329
5.7.4 Determination of application 330
5.7.5 Permit conditions 331
5.7.6 Duration of permit 331
5.7.7 Nominee of permit holder 331
5.7.8 Replacement nominee 332
5.7.9 Amendment of conditions 333
5.7.10 Appeal 334
Division 3—Disciplinary Action 335
5.7.11 Definitions 335
5.7.12 Investigation of permit holder 336
5.7.13 Taking disciplinary action 337
5.7.14 Letter of censure 338
5.7.15 Suspension of permit 338
Division 4—Compliance and Offences 338
5.7.16 Conducting trade promotion lottery in contravention of
Act etc. 338
5.7.17 Change in situation of permit holder 339
5.7.18 Records 339
Division 5—Reviews 339
5.7.19 Tribunal reviews 339
Division 6—General 340
5.7.20 Commissioner may perform Commission's functions 340
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CHAPTER 6—CLUB KENO 341
PART 1—INTRODUCTION 341
6.1.1 Purpose 341
6.1.2 Definitions 341
PART 2—CLUB KENO GAMES 342
Division 1—Legality of Club Keno Games 342
6.2.1 Club keno games conducted by participants are lawful 342
6.2.2 Authorisation for club keno games 342
6.2.3 Club keno not subject to Chapter 3 342
6.2.4 Club Keno games may be conducted in approved venues 342
Division 2—Conducting Club Keno Games 343
6.2.5 Sale of tickets 343
6.2.6 Agents of participants 343
6.2.7 Defective machinery etc. 343
6.2.8 Unlawful interference with club keno system 344
6.2.9 Use of defective club keno machinery etc. 344
6.2.10 Credit etc. 345
PART 3—RETURNS TO PLAYERS, TAXES AND LEVIES 346
Division 1—Returns to Players 346
6.3.1 Returns to players 346
Division 2—Taxes and Levies 346
6.3.2 Duty payable by participants 346
6.3.3 Hospitals, charities and mental health levy 348
PART 4—COMPLIANCE REQUIREMENTS 349
Division 1—Accounting, Reporting and Auditing 349
6.4.1 Accounting records 349
6.4.2 Annual financial statements 349
6.4.3 Audit 350
6.4.4 Tabling financial statements in Parliament 351
Division 2—Complaints 351
6.4.5 Investigation of complaints 351
PART 5—APPROVAL OF SUBSIDIARIES 352
6.5.1 Minister may declare company to be participant 352
6.5.2 Application for approval 353
6.5.3 Approval of a wholly-owned subsidiary 353
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CHAPTER 7—INTERACTIVE GAMING 355
PART 1—INTRODUCTION 355
7.1.1 Purpose 355
7.1.2 Definitions 355
7.1.3 Meaning of interactive game 357
7.1.4 Meaning of approved game 359
7.1.5 Participating jurisdictions 359
7.1.6 Territorial application of this Chapter 361
PART 2—GENERAL AUTHORISATION FOR INTERACTIVE
GAMING 362
7.2.1 Lawful activities 362
7.2.2 Offence to conduct unauthorised interactive gaming 362
PART 3—INTERACTIVE GAMING LICENCES 364
Division 1—Licensing Procedure 364
7.3.1 Application for interactive gaming licence 364
7.3.2 Matters to be considered in determining applications 364
7.3.3 Suitability of applicant to hold interactive gaming licence 365
7.3.4 Suitability of associates 367
7.3.5 Determination of applications 367
7.3.6 Changing conditions of licence 368
7.3.7 Interactive gaming licence non-transferable 368
7.3.8 Surrender of interactive gaming licence 368
Division 2—Disciplinary Action 369
7.3.9 Definitions 369
7.3.10 Grounds for disciplinary action 370
7.3.11 Taking disciplinary action 371
7.3.12 Letter of censure 372
7.3.13 Suspension of interactive gaming licence pending criminal
proceedings 372
7.3.14 Effect of licence suspension 373
Division 3—Endorsement of Licence 373
7.3.15 Power to executors, trustees etc. to carry on business
under licence 373
7.3.16 Effect of endorsements 374
7.3.17 Licence lapses if not endorsed 374
PART 4—CONTROL OF INTERACTIVE GAMING 375
Division 1—Player Registration 375
7.4.1 Player registration and acceptance of wagers 375
7.4.2 Minors not to be registered 375
7.4.3 Verification of player's identity 376
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Division 2—General Conduct of Interactive Gaming 376
7.4.4 Compliance with certain conditions 376
7.4.5 Licensed testers to test interactive gaming equipment 377
7.4.6 Offence for licensed provider to participate etc. 377
7.4.7 Commission's power to restrict participation in approved
games by gaming officials 377
7.4.8 Licensed provider not to act as credit provider 378
Division 3—Players' Funds and Prizes 378
7.4.9 Players funds 378
7.4.10 Funds held on behalf of players 379
7.4.11 Inactive players 379
7.4.12 Disposal of unclaimed non-monetary prizes 379
7.4.13 Claims for prize 380
7.4.14 Monetary prizes not claimed within 2 years 381
7.4.15 Power to withhold prizes in certain cases 381
Division 4—Responsible Gambling Measures 382
7.4.16 Limitation on amount wagered 382
7.4.17 Self-exclusion order 383
PART 5—RETURNS TO PLAYERS AND TAXES 385
Division 1—Returns to Players 385
7.5.1 Returns to players 385
Division 2—Taxes 385
7.5.2 Supervision charge 385
7.5.3 Interactive gaming tax 386
7.5.4 Returns for calculation of tax 387
7.5.5 Penalty interest for late payment 388
7.5.6 Recovery of amounts 388
7.5.7 Revenue offences 388
PART 6—COMPLIANCE REQUIREMENTS 390
Division 1—Directions 390
7.6.1 Directions 390
Division 2—Complaint Handling 390
7.6.2 Inquiries about complaints 390
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PART 7—ONGOING MONITORING 393
7.7.1 Investigation of licensed providers 393
7.7.2 Investigation of business and executive associates of
licensed providers 393
7.7.3 Requirement to give information or document for
investigation 394
7.7.4 Notification of persons becoming associates 395
7.7.5 Investigation of associates and others 395
7.7.6 Termination of association 396
PART 8—TRIBUNAL REVIEWS 397
7.8.1 Review by Tribunal 397
CHAPTER 8—COMMUNITY AND CHARITABLE GAMING 399
PART 1—INTRODUCTION 399
8.1.1 Purpose 399
8.1.2 Definitions 399
PART 2—LEGALITY OF COMMUNITY AND CHARITABLE
GAMING 401
8.2.1 Community and charitable gaming declared lawful 401
8.2.2 General requirement for minor gaming permit 401
8.2.3 Permit not required for raffle where prize value $5000
or less 401
8.2.4 Permit not required for some bingo sessions 402
PART 3—COMMUNITY OR CHARITABLE ORGANISATIONS 403
Division 1—Community or Charitable Organisations 403
8.3.1 Application to be declared as a community or charitable
organisation 403
8.3.2 Commission may require further information etc. 403
8.3.3 Commission may make declaration 404
8.3.4 Can the applicant appeal? 405
8.3.5 Commission to determine appeal 405
8.3.6 Duration of declaration 406
8.3.7 Commission may require organisation to show cause 406
8.3.8 Organisation may make submissions 407
8.3.9 Revocation of declaration 407
8.3.10 Appeal to Supreme Court 407
8.3.11 Suspension of declaration 408
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Division 2—Minor Gaming Permits 409
8.3.12 Application for minor gaming permit 409
8.3.13 Determination of application 410
8.3.14 What does a minor gaming permit authorise? 411
8.3.15 Duration of minor gaming permit 411
8.3.16 Nominee of organisation 411
8.3.17 Amendment of permit conditions 412
8.3.18 Appeal 413
Division 3—Disciplinary Action 414
8.3.19 Definitions 414
8.3.20 Taking disciplinary action 416
8.3.21 Letter of censure 417
8.3.22 Performance of functions 417
PART 4—CONDUCT OF COMMUNITY AND CHARITABLE
GAMING 418
Division 1—Lucky Envelopes 418
8.4.1 Lucky envelopes must comply with prescribed standards 418
8.4.2 Lucky envelopes only to be supplied to permit holder 418
Division 2—Bingo 418
8.4.3 Bingo equipment must comply with prescribed standards 418
8.4.4 Bingo equipment only to be supplied to permit holder 419
8.4.5 Braille bingo tickets 420
8.4.6 Permit holder may contract with bingo centre operator to
conduct bingo 420
8.4.7 Expenses operators can charge for bingo 421
Division 3—Bingo Pooling Schemes 421
8.4.8 When can a pooling scheme operate? 421
8.4.9 Membership of pooling scheme 422
8.4.10 Pooling scheme rules 422
8.4.11 Commission may specify matters for rules 423
8.4.12 Disallowance of rules 423
8.4.13 Scheme administrator 424
8.4.14 Amendment of rules 424
8.4.15 Declaration of interest 425
8.4.16 Application to political parties 426
PART 5—BINGO CENTRES 427
Division 1—Licensing of bingo centre operators 427
8.5.1 Requirement to be licensed 427
8.5.2 Application for licence 427
8.5.3 Application procedure 427
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8.5.4 Objections 428
8.5.5 Responsible authority's report 429
8.5.6 Matters to be considered in determining applications 429
8.5.7 Determination of applications 430
8.5.8 Duration of licence 431
8.5.9 Nominee of licensee 431
8.5.10 Licence non-transferable 433
8.5.11 Licence renewal 433
8.5.12 Amendment of conditions 433
8.5.13 Disciplinary action 434
8.5.14 Letter of censure 437
8.5.15 Effect and maximum period of suspension of bingo centre
operator's licence 438
8.5.16 Suspension of bingo centre operator's licence pending
criminal proceedings 438
8.5.17 Licence document to be surrendered 439
8.5.18 Provisional bingo centre operator's licence 439
Division 2—Licensing of bingo centre employees 439
8.5.19 General requirement to be licensed 439
8.5.20 Exceptions 440
8.5.21 Application for bingo centre employee's licence 441
8.5.22 Determination of application 442
8.5.23 What does a licence authorise? 443
8.5.24 Conditions of licence 443
8.5.25 Appeal 443
8.5.26 Identification of bingo centre employees 444
8.5.27 Duration of bingo centre employee's licence 445
8.5.28 Renewal of bingo centre employee's licence 445
8.5.29 Persons licensed under other Acts 446
8.5.30 Disciplinary action 447
8.5.31 Letter of censure 449
8.5.32 Disqualification 450
8.5.33 Suspension of bingo centre employee's licence pending
criminal proceedings 450
8.5.34 Effect etc. of suspension 450
8.5.35 Termination of employment on suspension or cancellation
of bingo centre employee's licence 451
8.5.36 Provisional bingo centre employee's licences 451
Division 3—Compliance Requirements and Monitoring 452
8.5.37 Accounts and financial statements 452
8.5.38 Returns to the Commission 452
8.5.39 Notification of persons becoming associates 453
8.5.40 Investigation of associates 453
8.5.41 Termination of association 454
8.5.42 Gaming machines in bingo centres 455
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PART 6—GENERAL COMPLIANCE REQUIREMENTS 456
Division 1—Banking and records 456
8.6.1 Banking 456
8.6.2 Records 457
Division 2—Ongoing Notification Requirements 457
8.6.3 Change in situation of holder of licence or permit or of
associate 457
PART 7—REVIEWS 459
8.7.1 Tribunal reviews 459
PART 8—GENERAL 460
8.8.1 Refusal to issue licence or permit 460
CHAPTER 9—ONBOARD GAMING 462
PART 1—INTRODUCTION 462
9.1.1 Purpose 462
9.1.2 Definitions 462
9.1.3 Application of Chapter 463
PART 2—APPLICATION OF TASMANIAN ACT 464
9.2.1 Tasmanian Act applies as law of Victoria 464
9.2.2 Amendment of Schedules 464
PART 3—FURTHER PROVISIONS REGULATING ONBOARD
GAMING 465
Division 1—Legality of Onboard Gaming 465
9.3.1 Legality of onboard gaming 465
9.3.2 Non-applicability of other laws 465
Division 2—Conduct of Onboard Gaming 465
9.3.3 Limit on number of gaming machines 465
9.3.4 Unlawful interference with gaming equipment 466
9.3.5 Inducements, cheating etc. 466
Division 3—Taxes 468
9.3.6 Revenue-sharing agreement 468
PART 4—SUSPENSION OF CHAPTER 469
9.4.1 Suspension of Chapter 469
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CHAPTER 10—ADMINISTRATION AND ENFORCEMENT 470
PART 1—VICTORIAN COMMISSION FOR GAMBLING
REGULATION 470
Division 1—Establishment 470
10.1.1 Establishment of Commission 470
10.1.2 Relationship to the Crown 470
10.1.3 Objectives of Commission 471
10.1.4 Functions of Commission 471
10.1.5 Powers of Commission 473
Division 2—Membership of Commission 473
10.1.6 Constitution of Commission 473
10.1.7 Qualifications and eligibility for appointment 473
10.1.8 Chairperson and Deputy Chairperson 474
10.1.9 Executive Commissioner 474
10.1.10 Sessional commissioners 475
10.1.11 Term of appointment 475
10.1.12 Remuneration 475
10.1.13 Vacancies and resignation 476
10.1.14 Acting appointments 476
10.1.15 Validity of decisions 477
Division 3—Performance of Commission's Functions 477
10.1.16 Basic requirement 477
10.1.17 How may Commission's functions be performed? 478
10.1.18 Meetings 478
10.1.19 Disclosure of pecuniary interest 479
10.1.20 Commission may hold inquiries 480
10.1.21 Representation 480
10.1.22 Are Commission proceedings open to the public? 480
Division 4—Reasons for Decisions 482
10.1.23 Commission to give written statement after public hearing
or on request 482
10.1.24 Request for statement of reasons for decision 483
Division 5—Staffing and Delegation 483
10.1.25 Staff 483
10.1.26 Delegation 484
10.1.27 Protection of Commissioners 484
10.1.28 Conflict of interest and duty 484
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Division 6—Confidentiality 486
10.1.29 What is protected information? 486
10.1.30 General duty of confidentiality 486
10.1.31 Disclosure in legal proceedings 486
10.1.32 Disclosure by casino operator 487
10.1.33 Public interest disclosures 488
10.1.34 Other permitted disclosures 488
10.1.35 Disclosure of statistical information 490
10.1.36 Disclosure for anti-smoking purposes 491
10.1.37 Memorandum of understanding 492
PART 2—GAMBLING RESEARCH PANEL 494
10.2.1 Continuation of Panel 494
10.2.2 Relationship to the Crown 494
10.2.3 Functions and powers 494
10.2.4 Members of the Panel 495
10.2.5 Remuneration 495
10.2.6 Term of office 496
10.2.7 Acting appointments 496
10.2.8 Vacancies, resignations 497
10.2.9 Disclosure of pecuniary interests 497
10.2.10 Chairperson to preside 498
10.2.11 Proceedings of the Panel 498
10.2.12 Validity of decisions 498
10.2.13 Research plan 499
PART 3—FUNDS 501
Division 1—Community Support Fund 501
10.3.1 Community Support Fund 501
10.3.2 Payments into Community Support Fund 501
10.3.3 Payments from the Community Support Fund 501
Division 2—Mental Health Fund 503
10.3.4 Mental Health Fund 503
10.3.5 Payments into the Mental Health Fund 503
10.3.6 Payments from the Mental Health Fund 503
PART 4—INVESTIGATIONS AND INFORMATION
GATHERING BY THE COMMISSION 504
Division 1—Investigation of applications 504
10.4.1 Application of Division 504
10.4.2 Investigation of application 505
10.4.3 Photographs, finger prints and palm prints 506
10.4.4 Police inquiry and report 507
10.4.5 Commission may require further information etc. 508
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10.4.6 Updating of application 510
10.4.7 Costs of investigating applications 511
Division 2—General Investigatory Powers of Commission 512
10.4.8 Definitions 512
10.4.9 General investigations 512
10.4.10 Provision of information 513
Division 3—Information Gathering for Law Enforcement Purposes 514
10.4.11 Information gathering for law enforcement purposes 514
PART 5—COMPLIANCE AND ENFORCEMENT 517
Division 1—Inspectors 517
10.5.1 Appointment 517
10.5.2 Criminal record checks 518
10.5.3 Identity cards 518
10.5.4 Police may perform functions of inspectors 518
10.5.5 Responsibilities of inspectors while on duty 519
10.5.6 Former inspectors 519
Division 2—Functions of Inspectors 519
10.5.7 Functions of inspectors 519
10.5.8 Right of entry 520
10.5.9 Powers of inspectors 521
10.5.10 Power to require names and addresses 522
10.5.11 Inspector to investigate complaints 523
10.5.12 Search warrants 524
10.5.13 Announcement before entry 525
10.5.14 Copy of warrant to be given to occupier 526
Division 3—Offences 526
10.5.15 Offences relating to obstruction of inspectors 526
10.5.16 False or misleading information 527
10.5.17 Impersonation of inspectors or commissioners 528
10.5.18 Bribery of authorised person 528
10.5.19 Protection against self-incrimination 530
Division 4—Infringement Notices 530
10.5.20 Power to serve a notice 530
10.5.21 Form of notice 531
10.5.22 Late payment of penalty 532
10.5.23 Withdrawal of notice 532
10.5.24 Payment expiates offence 533
10.5.25 Application of penalty 533
10.5.26 Prosecution after service of infringement notice 534
10.5.27 Proof of prior convictions 534
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Division 5—Forfeiture 535
10.5.28 Forfeiture 535
10.5.29 Seizure and forfeiture of equipment 536
Division 6—Prosecutions and Evidentiary Provisions 537
10.5.30 Offences by bodies 537
10.5.31 Proceedings 538
10.5.32 Evidence 538
CHAPTER 11—GENERAL 540
PART 1—ADMINISTRATIVE PROVISIONS 540
Division 1—Service of Documents 540
11.1.1 Service of documents on Commission 540
11.1.2 Service of documents on other persons 540
Division 2—Records and Forms 541
11.1.3 Records not kept in writing 541
11.1.4 Sufficient compliance with approved forms 541
Division 3—General 542
11.1.5 Destruction of finger prints and palm prints 542
11.1.6 Refund of fees 543
11.1.7 Supreme Court—limitation of jurisdiction 543
PART 2—REGULATIONS 544
11.2.1 Regulations 544
CHAPTER 12—AMENDMENTS, REPEALS AND
TRANSITIONAL PROVISIONS 546
PART 1—AMENDMENTS AND REPEALS 546
12.1.1 Repeals 546
12.1.2 Casino Control Act 1991 546
12.1.3 Further consequential amendments 546
12.1.4 Gaming and Betting Act 1994—unclaimed refunds and
dividends 546
12.1.5 Abolition of special tax arrangements for tabarets 548
3.1.6. Application of Chapter to tabaret premises 548
PART 2—TRANSITIONAL PROVISIONS 549
12.2.1 Transitional provisions 549
__________________
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SCHEDULES 550
SCHEDULE 1—Subject Matter for Regulations 550
SCHEDULE 2—Modifications of Tasmanian Act 554
SCHEDULE 3—Modifications of Tasmanian Regulations 556
SCHEDULE 4—Forms for Chapter 2 557
Form 1—Special Warrant 557
Form 2—Special Warrant 558
Form 3—Warrant to Imprison 559
SCHEDULE 5—Amendments to Casino Control Act 1991 560
SCHEDULE 6—Further Consequential Amendments 588
SCHEDULE 7—Transitional Provisions 595
═══════════════
ENDNOTES 633
INDEX 634
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Gambling Regulation Act 2003†
[Assented to 16 December 2003]
The Parliament of Victoria enacts as follows:
CHAPTER 1—PRELIMINARY
1.1 Purpose, objectives and outline
(1) The main purpose of this Act is to re-enact and
consolidate the law relating to various forms of
gambling and to establish a Victorian Commission
for Gambling Regulation.
Victoria
No. 114 of 2003
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(2) The main objectives of this Act are—
(a) to foster responsible gambling in order to—
(i) minimise harm caused by problem
gambling; and
(ii) accommodate those who gamble
without harming themselves or others;
(b) to ensure that gaming on gaming machines is
conducted honestly;
(c) to ensure that the management of gaming
machines and gaming equipment is free from
criminal influence and exploitation;
(d) to ensure that other forms of gambling
permitted under this or any other Act are
conducted honestly and that their
management is free from criminal influence
and exploitation;
(e) to ensure that—
(i) activities authorised by a minor gaming
permit benefit the community or
charitable organisation to which the
permit is issued;
(ii) practices that could undermine public
confidence in community and
charitable gaming are eliminated;
(iii) bingo centre operators do not act
unfairly in providing commercial
services to community or charitable
organisations;
(f) to promote tourism, employment and
economic development generally in the
State.
s. 1.1
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(3) In outline, this Act—
(a) generally prohibits gambling and activities
relating to gambling unless authorised under
this Act or the Casino Control Act 1991;
(b) provides for the conduct under licence of
gaming on gaming machines at approved
venues and the casino;
(c) provides for the licensing of wagering and
betting competitions, including on-course
wagering;
(d) provides for the conduct under licence of
public lotteries and trade promotion lotteries;
(e) provides for the conduct of club keno games;
(f) provides for the conduct under licence of
interactive gaming;
(g) provides for the conduct of gaming by
community or charitable organisations;
(h) provides for the licensing of bingo centre
operators and employees;
(i) provides for the conduct of gaming on board
ships travelling between Victoria and
Tasmania;
(j) establishes the Victorian Commission for
Gambling Regulation to oversee gambling in
Victoria;
(k) continues the Gambling Research Panel;
(l) provides for the appointment of inspectors
and inspection powers to ensure compliance
with the Act;
(m) sets out offences;
s. 1.1
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(n) repeals 8 existing Acts that prohibit or
regulate various forms of gambling, amends
the Casino Control Act 1991 and makes
consequential amendments to other Acts.
(4) Sub-section (3) is intended only as a guide to
readers as to the general scheme of this Act.
1.2 Commencement
(1) This Part and section 12.1.4 come into operation
on the day after the day on which this Act receives
the Royal Assent.
(2) Subject to sub-sections (3) and (4), the remaining
provisions of this Act come into operation on a
day or days to be proclaimed.
(3) Section 12.1.5 comes into operation on 1 July
2009.
(4) If a provision referred to in sub-section (2) (other
than section 12.1.5) does not come into operation
before 1 July 2005, it comes into operation on that
day.
1.3 Definitions
(1) In this Act—
"AFL footy tipping competition" means a
public lottery in which the prizes are
distributed on the basis of results of matches
played in the Australian Football League;
"amusement machine" means—
(a) any machine, device, contrivance or
electronic apparatus operated for
pecuniary consideration for the purpose
of playing games which involve the
activation or manipulation of the
machine, device, contrivance or
electronic apparatus to achieve a pre-
set, programmed, designated or
s. 1.2
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otherwise defined score, object or
result; and
(b) any machine, device, contrivance or
electronic apparatus prescribed as an
amusement machine;
"approved betting competition" means a betting
competition of a kind or class approved by
the Minister under Part 5 of Chapter 4;
"approved bookmaking company" has the same
meaning as in Part IV of the Racing Act
1958;
"approved gaming machine" means a gaming
machine of a type approved by the
Commission under section 3.5.4;
"approved racing club" means a club, society or
other association the rules of which are
approved under section 26 of the Racing Act
1958;
"approved venue" means premises—
(a) to which a venue operator's licence
applies; and
(b) in respect of which an approval is in
force under Part 3 of Chapter 3;
"associate" has the meaning given in section 1.4;
"approved bookmaker" means—
(a) a registered bookmaker; or
(b) an approved bookmaking company;
"authorised deposit-taking institution" has the
same meaning as in the Banking Act 1959 of
the Commonwealth;
s. 1.3
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"authorised person" means—
(a) a commissioner; or
(b) an inspector; or
(c) a person appointed under sub-
section (3);
"betting rules" means rules made in accordance
with Chapter 4 for wagering or approved
betting competitions;
"bingo" means the game of bingo or any similar
game;
"bingo centre" means a house or place in which
there is regularly conducted more than
7 sessions of bingo within a period of
7 consecutive days;
"bingo centre employee" means the holder of a
bingo centre employee's licence;
"bingo centre employee's licence" means a
licence issued under Division 2 of Part 5 of
Chapter 8;
"bingo centre operator" means the holder of a
bingo centre operator's licence;
"bingo centre operator's licence" means a
licence to operate a bingo centre under
Division 1 of Part 5 of Chapter 8;
"cash facility" means—
(a) an automatic teller machine; or
(b) an EFTPOS facility; or
(c) any other prescribed facility that
enables a person to gain access to his or
her funds or to credit;
s. 1.3
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"casino" has the same meaning as in the Casino
Control Act 1991;
"casino licence" means a casino licence issued
under the Casino Control Act 1991;
"casino operator" has the same meaning as in
the Casino Control Act 1991;
"casino special employee's licence" means a
special employee's licence issued under the
Casino Control Act 1991;
"club" includes club, society or other association
of persons by whatever name called and
whether incorporated or unincorporated;
"club keno game" means a game that complies
with the prescribed requirements and is
known as club keno;
"club licence" means a club licence (whether full
or restricted) under section 10 of the Liquor
Control Reform Act 1998;
"Commission" means Victorian Commission for
Gambling Regulation established by
section 10.1.1;
"commissioner" means a member of the
Commission;
"common gaming house or place" has the
meaning given in section 2.5.20;
"community or charitable organisation" means
an organisation declared to be a community
or charitable organisation under Division 1
of Part 3 of Chapter 8;
s. 1.3
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"community purpose"—
(a) in Division 2 of Part 6 of Chapter 3, has
the meaning given in section 3.6.2;
(b) elsewhere, means—
(i) any philanthropic or benevolent
purpose, including the promotion
of art, culture, science, religion,
education or charity, and
including the benefiting of a fund
certified to be a patriotic fund
under section 24 of the Patriotic
Funds Act 1958 or the fund or
part of the fund of the Australian
Red Cross Society; or
(ii) any sporting or recreational
purpose, including the benefiting
of any sporting or recreational
club or association;
"computer cabinet", in relation to a gaming
machine, means the sealable cabinet in the
machine that contains the game program
storage medium and the Random Access
Memory;
"computer server" means a computer that is
capable of—
(a) communicating with another computer;
and
(b) providing to that other computer—
(i) access to a database; or
(ii) transaction based services; or
(iii) software applications;
"conduct" includes carry on, manage or assist in
carrying on or managing;
s. 1.3
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"conduct of gaming" has the meaning given in
section 3.1.4;
"decision", in relation to the Commission,
includes determination;
"declared operator" of a gaming operator's
licence, means the company (if any) declared
under section 3.9.1 as operator in relation to
the licence;
"director", in relation to a body corporate, has
the same meaning as in section 9 of the
Corporations Act;
"domestic partner" of a person means an adult
person to whom the person is not married but
with whom the person is in a relationship as
a couple where one or each of them provides
personal or financial commitment and
support of a domestic nature for the material
benefit of the other, irrespective of their
genders and whether or not they are living
under the same roof, but does not include a
person who provides domestic support and
personal care to the person—
(a) for fee or reward; or
(b) on behalf of another person or an
organisation (including a government
or government agency, a body
corporate or a charitable or benevolent
organisation);
"electronic monitoring system" means any
electronic or computer or communications
system or device that is so designed that it
may be used, or adapted, to send or receive
data from gaming equipment in relation to
the security, accounting or operation of
gaming equipment;
s. 1.3
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"executive officer", has the meaning given in
section 1.4;
"Executive Commissioner" means Executive
Commissioner of the Commission appointed
under section 10.1.9;
"externally-administered body corporate" has
the same meaning as in the Corporations
Act;
"function" includes power, authority and duty;
"fundraising event" means an event conducted
by a community or charitable organisation
for the purpose of raising money for the
organisation and at which unlawful games
are played;
"gambling business" means the business of
conducting or operating an activity that is
regulated by this Act;
"gaming Act" means—
(a) this Act;
(b) the Casino Control Act 1991;
"gaming equipment" means any—
(a) gaming machine;
(b) linked jackpot equipment;
(c) electronic monitoring system;
(d) part of, or replacement part for, any
such machine, equipment or system;
(e) restricted component;
"gaming licence" means the gaming licence
granted under Part 3 of Chapter 4;
s. 1.3
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"gaming machine" means any device, whether
wholly or partly mechanically or
electronically operated, that is so designed
that—
(a) it may be used for the purpose of
playing a game of chance or a game of
mixed chance and skill; and
(b) as a result of making a bet on the
device, winnings may become
payable—
and includes any machine declared to be a
gaming machine under section 3.1.3 but does
not include—
(c) a lucky envelope vending machine
within the meaning of Chapter 8; or
(d) interactive gaming equipment that is
used or intended to be used for the
purposes of interactive games and not
for gaming of any other kind;
"gaming machine area" means any area in an
approved venue that is approved by the
Commission under Part 3 of Chapter 3 as an
area in which a gaming machine is permitted
to be installed;
"gaming machine type" means a type of gaming
machine, including the machine cabinet and
computer hardware and software, on which a
range of games may be played without any
alteration to the gaming machine other than
the substitution of a new game program or an
alteration to the information or artwork
displayed on the gaming machine;
s. 1.3
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"gaming operator" means—
(a) the holder of a gaming operator's
licence and the declared operator (if
any) of the licence;
(b) the holder of the gaming licence and
the operator or operators (if any) of the
licence approved under
section 4.3.15(1)(b);
"gaming operator's licence" means a licence
granted under Division 3 of Part 4 of
Chapter 3;
"gaming regulations" means regulations made
under a gaming Act;
"gaming token" means Australian currency or
any token, credit or any other thing that
enables a bet to be made on a gaming
machine;
"greyhound race" means a race in which
greyhounds compete;
"GST" has the same meaning as it has in the
A New Tax System (Goods and Services
Tax) Act 1999 of the Commonwealth;
"harness race" means a race in which horses
compete moving at a gait generally known as
pacing or trotting;
"Hospitals and Charities Fund" means the fund
established under section 136 of the Health
Services Act 1988;
"horse race" means a race in which horses
compete but does not include a harness race;
"insolvent under administration" has the same
meaning as in the Corporations Act;
"inspector" means an inspector appointed under
section 10.5.1;
s. 1.3
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"interactive game" has the meaning given by
section 7.1.3;
"interactive gaming equipment" has the
meaning given in section 7.1.2;
"interactive gaming licence" means a licence
under Part 3 of Chapter 7;
"key operative" means—
(a) the holder of the gaming licence and
the wagering licence;
(b) the holder of a gaming operator's
licence;
(c) the holder of a venue operator's licence;
(d) a person listed on the Roll;
(e) a casino operator;
(f) a holder of a public lotteries licence;
(g) a holder of an interactive gaming
licence;
(h) a bingo centre operator;
"liabilities" means all liabilities, duties and
obligations, whether actual, contingent or
prospective;
"licensed premises" has the same meaning as in
the Liquor Control Reform Act 1998;
"licensed provider" means a person who is
licensed under Part 3 of Chapter 7 to conduct
interactive games;
"licensed racing club" means Harness Racing
Victoria, Greyhound Racing Victoria or a
club licensed under section 24A of the
Racing Act 1958;
s. 1.3
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"licensed technician" means a person who holds
a technician's licence;
"liquor" has the same meaning as in the Liquor
Control Reform Act 1998;
"lottery" includes—
(a) any scheme by which prizes of money
or of any other property, matter or thing
are, or are proposed to be, drawn or
won by lot, dice or any other mode of
chance or by reference to any event or
contingency dependent on chance; or
(b) any scheme in which any such prizes
are, or are proposed to be, given and in
which at any stage the persons eligible
to receive the prizes or to participate
further in the scheme are, or are to be,
determined by lot, dice or any other
mode of chance or by reference to any
event or contingency dependent on
chance despite that at an earlier or later
stage a test of knowledge or skill is or
may be required to be passed by any
person in order to qualify him or her to
receive a prize or to participate further
in the scheme—
whether the scheme is real or pretended or is
established or conducted, or intended or
proposed to be established or conducted, and
in any case whether wholly or partly in
Victoria or elsewhere, but does not include
any distribution of property or money or
raffle such as is referred to in section 2.1.3;
s. 1.3
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"loyalty scheme" means—
(a) a system, used in connection with the
operation of gaming machines in
approved venues or a casino, in which
the players of those gaming machines
accumulate bonus, loyalty or reward
points from playing the gaming
machines; or
(b) any other system that tracks a player's
expenditure on a gaming machine;
"loyalty scheme provider" means a person who
conducts a loyalty scheme;
"Melbourne Statistical Division" means the
Major Statistical Region of Melbourne
described in the publication entitled
Statistical Geography—Volume 1—
Australian Standard Geographical
Classification (ASGC), Catalogue number
1216.0 published in 1996 by the Australian
Bureau of Statistics;
"minor" means a person who is under the age of
18 years;
"money" includes bank notes, cheques, drafts
provided by an authorised deposit-taking
institution and any order, warrant,
Commission or request for the payment,
collection or receipt of money;
"money clearance" means the removal of
gaming tokens from the drop box of a
gaming machine;
"municipal district" has the same meaning as in
the Local Government Act 1989;
"newspaper" includes a newspaper printed in
any part of the Commonwealth;
s. 1.3
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"Panel" means Gambling Research Panel
continued under section 10.2.1;
"perform a function" includes exercise a power
or authority;
"person" includes a body (whether or not
incorporated), a partnership and the Trustees;
"political party" means a political party
registered under—
(a) the Electoral Act 2002; or
(b) the Commonwealth Electoral Act 1918
of the Commonwealth; or
(c) a law of another State or Territory of
the Commonwealth corresponding to a
law referred to in paragraphs (a)
and (b);
"pooling scheme" means an arrangement,
whether or not in writing and whether or not
enforceable at law, under which a person
derives a direct or indirect benefit from the
gross proceeds of the conduct of a session of
bingo games and that person is not the holder
of the minor gaming permit for that session;
"property" means any legal or equitable estate or
interest (whether present or future and
whether vested or contingent) in real or
personal property of any description;
"pub licence" means a general licence under
section 8 of the Liquor Control Reform
Act 1998;
"public lottery" has the meaning given in
section 5.1.2;
"public lottery licence" means a public lottery
licence issued under Division 2 of Part 3 of
Chapter 5;
s. 1.3
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"public lottery licensee" means a person or body
that holds a public lottery licence;
"race" includes a division of a race;
"race meeting" (except in Chapter 2) means a
meeting conducted by a licensed racing club
for the purpose of horse racing, harness
racing or greyhound racing;
Note: Section 2.1.2 defines "race meeting" for the
purposes of Chapter 2.
"racing club licence" means a licence under
Part I of the Racing Act 1958;
"Racing Products" means Racing Products
Victoria Pty Ltd (A.C.N. 064 067 867);
"raffle"—
(a) means any lottery by which any
property, matter or thing (not including
money, stocks or shares or any warrant,
order or security for the payment of
money) is assigned by the drawing of
lots or by any other method of chance
to one or more of a number of persons
each of whom has paid a certain sum
for a chance of taking or participating
in such assignment; and
(b) despite paragraph (a), includes any
lottery in which money is assigned if—
(i) the money is part of a prize which
includes travel or accommodation
or both; and
(ii) the value of the money assigned
does not exceed 10% of the total
value of the prize or any other
amount that is approved by the
Commission in writing in a
particular case;
s. 1.3
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"random number generator" means a machine
or device that is so designed that it may be
used to select random numbers;
"refund" means the amount of an investment
made in a totalisator under this Act which is
repayable to an investor (whether wholly or
partly) in accordance with the betting rules;
"regional limit" means the maximum permissible
number of gaming machines available for
gaming in a region of the State determined
and in force under section 3.2.4;
"Register" means the Register of Venue
Operators and Approved Venues established
and maintained under section 3.4.24;
"registered bookmaker" means the holder of a
current certificate of registration as a
bookmaker under Part IV of the Racing Act
1958;
"registered company auditor" means a person
registered as an auditor, or taken to be so
registered, under Part 9.2 of the Corporations
Act;
"related entity", in relation to the Trustees,
includes—
(a) a body corporate, partnership or trust of
which, or in which—
(i) the Trustees or one or more of the
Trustees; or
(ii) a person who holds a direct or
indirect interest as legatee,
beneficiary or otherwise in the
will and estate of the late George
Adams; or
s. 1.3
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(iii) a person who is a discretionary
beneficiary in that will and
estate—
is a director, partner or trustee or holds
a substantial interest, whether direct or
indirect; and
(b) a trust of which the Trustees, or one or
more of the Trustees, or a person
referred to in paragraph (a)(ii) or (iii) is
a beneficiary or discretionary
beneficiary;
"related body corporate", in relation to a body
corporate, has the same meaning as in
section 9 of the Corporations Act;
"relevant financial interest" has the meaning
given in section 1.4;
"relevant power" has the meaning given in
section 1.4;
"relative" has the meaning given in section 1.4;
"restricted component", in relation to gaming
equipment, means any component that is
prescribed as a restricted component;
"rights" means all rights, powers, privileges and
immunities, whether actual, contingent or
prospective;
"Roll" means the Roll of Manufacturers,
Suppliers and Testers established under
section 3.4.60;
"sell" includes offer for sale;
"share", in relation to a body corporate, has the
same meaning as in section 9 of the
Corporations Act;
s. 1.3
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"soccer football pool" means a public lottery in
which the prizes are distributed on the basis
of results of soccer football matches played
in Australia or elsewhere in accordance with
a system where results are selected and given
an order of rank;
"special employee's licence" means a licence
issued under Division 4 of Part 4 of
Chapter 3;
"spin" means a sequence of actions and states in
a gaming machine initiated by a player
through a wagering of credits and terminated
when all credits wagered have been lost or
all winnings have been transferred to the
gaming machine's total wins meter and the
player's credit meter;
"spin rate", in relation to a gaming machine,
means the interval between spins on the
gaming machine;
"spouse" of a person means a person to whom the
person is married;
"subsidiary"—
(a) in relation to a body corporate, means
another body corporate that is a
subsidiary of the first-mentioned body
corporate within the meaning of the
Corporations Act (but not a subsidiary
of another such body corporate);
(b) in relation to any other body (including
the Trustees), means a body corporate
that, if the body were a body corporate,
would be a subsidiary of the body
within the meaning of the Corporations
Act (but not a subsidiary of another
such body corporate);
s. 1.3
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"tabaret premises" means—
(a) the Old Ballarat Village situated at
623–643 Main Road, Ballarat;
(b) Tabaret situated at the All Seasons
Motor Inn, 171–183 McIvor Road,
Bendigo;
"technician's licence" means a licence issued
under Division 5 of Part 4 of Chapter 3;
"telecommunication device" means—
(a) a computer adapted for communicating
by way of the internet or another
communications network; or
(b) a television receiver adapted to allow
the viewer to transmit information by
way of a cable television network or
another communications network; or
(c) a telephone; or
(d) any other electronic device or thing for
communicating at a distance;
"the applied provisions" has the meaning given
in section 9.1.2;
"this Act" includes the applied provisions;
"ticket" includes—
(a) any document or thing purporting to be,
or usually or commonly known as, a
ticket or giving, or purporting to give,
or usually or commonly understood to
give, any right, title, chance, share,
interest, authority or permission in or in
connection with a lottery, or intended
or proposed lottery, or any game; and
s. 1.3
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(b) in relation to a totalisator—a card,
token or thing entitling or purporting to
entitle any person to any interest in any
dividend, division or distribution of any
money by means of, or in connection
with, or as the result of, the operation of
a totalisator;
"totalisator" means a scheme of pari-mutuel
betting, whether conducted by means of an
instrument or contrivance known as a
totalisator or otherwise;
"trade or business", in relation to a community
or charitable organisation, includes the
conduct of a trade or business of promoting a
community or charitable purpose of the
organisation;
"trade promotion lottery" means a lottery for
the promotion of a trade or business;
"Tribunal" means Victorian Civil and
Administrative Tribunal established by the
Victorian Civil and Administrative
Tribunal Act 1998;
"Trustees" means the trustees of the will and
estate of the late George Adams;
"unlawful game" means a game declared to be
an unlawful game by section 2.3.1;
"venue operator" means the holder of a venue
operator's licence;
"venue operator's licence" means a licence
issued under Division 2 of Part 4 of
Chapter 3;
s. 1.3
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"VicRacing" means VicRacing Pty Ltd (A.C.N.
064 067 849);
"Victorian company" means a company within
the meaning of the Corporations Act that is
taken to be registered in Victoria;
"voting share", in relation to a body corporate,
has the same meaning as in section 9 of the
Corporations Act;
"wagering" means pari-mutuel betting on a horse
race, harness race or greyhound race;
"wagering event" means a horse race, harness
race or greyhound race;
"wagering licence" means the wagering licence
granted under Part 3 of Chapter 4;
"wagering operator" means the company (if
any) appointed under section 4.3.15(1)(a) as
operator of the wagering licence;
"wholly-owned subsidiary"—
(a) in relation to a body corporate, means a
wholly-owned subsidiary of the body
corporate within the meaning of the
Corporations Act;
(b) in relation to the Trustees, means a
company—
(i) that is a subsidiary of the Trustees
or of a body corporate that is a
subsidiary of the Trustees; and
(ii) none of whose members is a
person other than—
(A) the Trustees; or
(B) a nominee of the Trustees; or
s. 1.3
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(C) a subsidiary of the Trustees,
being a subsidiary none of
whose members is a person
other than the Trustees or a
nominee of the Trustees; or
(D) a nominee of such a
subsidiary;
(c) in relation to any other body, means a
body corporate that would be a wholly-
owned subsidiary of the body within
the meaning of the Corporations Act if
the body were a body corporate;
"written notice" includes a notice given in the
form of electronic data from which a written
document can be produced or reproduced.
(2) For the purposes of the definition of "domestic
partner" in sub-section (1)—
(a) in determining whether persons are domestic
partners of each other, all the circumstances
of their relationship are to be taken into
account, including any one or more of the
matters referred to in section 275(2) of the
Property Law Act 1958 as may be relevant
in a particular case;
(b) a person is not a domestic partner of another
person only because they are co-tenants.
(3) The Commission may, by instrument, appoint an
employee or member of staff referred to in
section 10.1.25 to be an authorised person for the
purposes of this Act.
s. 1.3
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1.4 Who is an associate?
(1) For the purposes of this Act, an "associate" of a
person (the first person) is—
(a) a person who holds or will hold any relevant
financial interest, or is or will be entitled to
exercise any relevant power (whether in right
of the person or on behalf of any other
person) in the gambling business of the first
person, and by virtue of that interest or
power, is able or will be able to exercise a
significant influence over or with respect to
the management or operation of that
business; or
(b) a person who is or will be an executive
officer, whether in right of the person or on
behalf of any other person, of the gambling
business of the first person; or
(c) if the first person is a natural person—a
person who is a relative of the first person.
(2) Sub-section (1) does not apply for the purposes of
Division 5 of Part 3 of Chapter 4 (Regulation of
Shareholding Interests in Wagering and Gaming
Licensee).
Note: Section 4.3.18 defines "associate" for the purposes of
Division 5 of Part 3 of Chapter 4.
(3) In this section—
"executive officer", in relation to a body
(whether incorporated or not), means—
(a) a director, secretary or member of the
committee of management of the body
(by whatever name called); or
s. 1.4
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(b) any other person who is concerned
with, or takes part in, the management
of the body, whether or not the person's
position is given the name of executive
officer;
"relative", in relation to a person, means—
(a) the spouse or domestic partner of the
person;
(b) a parent, son, daughter, brother or sister
of the person; or
(c) a parent, son, daughter, brother or sister
of the spouse or domestic partner of the
person;
"relevant financial interest", in relation to a
gambling business, means—
(a) any share in the capital of the business;
or
(b) any entitlement to receive any income
derived from the business; or
(c) any entitlement to receive any payment
as a result of money advanced;
"relevant power" means any power, whether
exercisable by voting or otherwise and
whether exercisable alone or in association
with others—
(a) to participate in any directorial,
managerial, or executive decision; or
(b) to elect or appoint any person as an
executive officer.
s. 1.4
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1.5 Money invested
A reference in this Act to money or an amount
invested whether in a totalisator or otherwise is
taken to refer to money or an amount so invested,
less any amount repayable to the investor by way
of a refund whether because of the cancellation or
calling off of a bet or otherwise.
1.6 Act binds the Crown
(1) This Act binds the Crown in right of Victoria and,
so far as the legislative power of the Parliament
permits, the Crown in all its other capacities.
(2) However, nothing in this Act makes the Crown in
any of its capacities liable for an offence.
__________________
s. 1.5
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CHAPTER 2—GENERAL PROHIBITION ON
GAMBLING
PART 1—INTRODUCTION
2.1.1 Purpose
The purpose of this Chapter is to impose a general
prohibition on gambling and create certain
offences.
Note: Other Chapters and the Casino Control Act 1991
authorise and regulate the conduct of gambling.
2.1.2 Definitions
(1) In this Chapter—
"instrument of betting" includes—
(a) a document;
(b) a card, list, money, paper, record, sheet,
table, ticket or other written document;
(c) a mechanical, electrical, telephonic,
electronic or other equipment or device
or any access to such equipment or
device;
(d) a board, chart or screen; or
(e) any form or means of recording, storing
or transmitting information or data—
used, apparently used or likely to be used in
carrying on or in connection with betting on
a sporting event (being betting that is not
authorised by a gaming Act or any other
Act);
s. 2.1.1
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"instrument of gaming" includes an instrument
of betting and—
(a) a document;
(b) playing cards, dice, balls, coins, tokens
or counters;
(c) a card, list, money, paper, record, sheet,
table, ticket or other written document;
(d) a mechanical, electrical, telephonic,
electronic or other equipment or device
or any access to any such equipment or
device;
(e) a board, chart or screen; or
(f) any form or means of recording, storing
or transmitting information or data—
used, apparently used or likely to be used in
carrying on or in connection with betting or
gaming that is not authorised by a gaming
Act or any other Act;
"occupier" of a house or place or of any land or
building or premises includes the lessee or
sub-lessee who is not the owner or named in
the certificate of title;
"officer of police" means a member of the police
force of or above the rank of inspector;
"owner" of a house, place, land, building or
premises includes every person who is,
whether at law or in equity—
(a) entitled thereto for any estate of
freehold in possession; or
(b) in actual receipt of or entitled to receive
or if the house, place, land, building or
premises were let to a tenant would be
entitled to receive the rents and profits
thereof and if a house, place, land,
s. 2.1.2
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building or premises is sub-leased
includes any lessee or sub-lessee from
whom a sub-lessee holds;
"place" means any place, whether or not—
(a) within a building; or
(b) on land or water; or
(c) defined as to area; or
(d) on private property;
"profit" includes a fee, commission, reward,
payment, benefit, advantage, share or
interest;
"public place" includes—
(a) a public highway;
(b) a park, garden, reserve or other place of
public recreation or resort;
(c) a railway station, platform or carriage;
(d) a wharf, pier or jetty;
(e) a passenger ship or hire vessel;
(f) a hire vehicle;
(g) a church or chapel open to the public or
any other building where divine service
is publicly held;
(h) a State school, including the school's
land or premises;
(i) a public hall, theatre or room where
members of the public are, or are
assembling for or departing from, a
public entertainment or meeting;
(j) a market;
s. 2.1.2
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(k) an auction room, mart or place while a
sale by auction is proceeding;
(l) licensed premises or authorised
premises within the meaning of the
Liquor Control Reform Act 1998;
(m) a racecourse, cricket ground, football
ground or other sporting ground where
members of the public are present or
are permitted to have access to, whether
with or without an admission fee;
(n) any open place to which the public
have access;
"racecourse" means land used for race meetings;
"race meeting" means meeting for the purpose of
horse or pony or harness racing or of
greyhound racing and includes any meeting
deemed to be a race meeting by section 3(4)
of the Racing Act 1958;
"sporting event" includes a horse race or other
race, fight, game, sport or exercise;
"undertaking" includes an assurance, contract,
agreement or promise, whether express or
implied;
"vehicle" includes an aircraft, caravan or trailer;
"vessel" includes a ship, boat or vehicle that is
capable of use in or on water, whether
floating or submersible and whether or not
self-propelled.
(2) In this Chapter, a reference to a person found
committing an offence includes a reference to a
person found doing or omitting to do an act in
such circumstances that the finder believes on
reasonable grounds that the person is guilty of an
offence against this Chapter.
s. 2.1.2
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2.1.3 Application of Chapter
Nothing in this Chapter applies to any of the
following—
(a) the distribution of property among its owners
if—
(i) the property is capable of being fairly
apportioned among all the owners; and
(ii) the property is proposed to be
apportioned equally so far as
practicable among all the owners;
(b) a scheme—
(i) which is not for the promotion of a
trade or business; and
(ii) in which all participation is gratuitous;
(c) a private raffle among persons engaged in
common employment under the same
employer if—
(i) the net proceeds of the raffle are
intended to be appropriated to the
provision of amenities for persons in
that employment; and
(ii) the value of the prize does not exceed
$5000;
(d) a competition based on predicting the results
of a sporting event or to a sweepstake if the
competition or sweepstake—
(i) is not of a commercial nature; and
(ii) does not result in the distribution of
prizes having a total value of more than
$5000.
__________________
s. 2.1.3
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PART 2—PROHIBITION ON LOTTERIES
Division 1—Prohibited Lotteries
2.2.1 Lotteries prohibited
(1) Every lottery is declared by this section to be a
public nuisance and contrary to law.
Note: This section does not apply to lotteries permitted by
Division 2.
(2) A person must not—
(a) establish or conduct or assist in establishing
or conducting a lottery; or
(b) be a partner in a lottery; or
(c) allot any prize of money or any prize of
which money forms a part or which is
redeemable for money by means of an
amusement machine in an amusement centre,
tourist centre or recreational centre; or
(d) subject to section 2.2.8, under any pretence
or by means of any device, sell or dispose of
or endeavour to sell or dispose of any
property of any kind or allot any prize of
money by means of a game of chance or a
game of mixed skill and chance.
Penalty: 100 penalty units.
2.2.2 Establishing or conducting a lottery
(1) A person must not, for payment or otherwise—
(a) forward; or
(b) receive for forwarding—
whether directly or indirectly, a packet, parcel or
money relating to a lottery to a person—
s. 2.2.1
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(c) establishing or conducting the lottery; or
(d) assisting in establishing or conducting the
lottery.
Penalty: 100 penalty units.
(2) It is a defence to a prosecution for an offence
against sub-section (1) to prove that the defendant
did not know, and had reasonable grounds for not
knowing, that the packet, parcel or money related
to a lottery.
2.2.3 Advertising lotteries
(1) A person must not—
(a) publish or exhibit; or
(b) cause or permit to be published or
exhibited—
in a newspaper or broadcast telecast or on a notice
or by electronic means or otherwise any
information relating to a lottery.
Penalty: 100 penalty units.
(2) A person must not sell, dispose of, circulate,
distribute or exhibit a newspaper containing any
information relating to a lottery.
Penalty: 100 penalty units.
(3) A person must not permit or allow the printing or
publication in a newspaper of which the person is
registered as the proprietor, printer or publisher
any information relating to a lottery.
Penalty: 100 penalty units.
s. 2.2.3
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(4) A person must not permit or allow the publication
in—
(a) a broadcast telecast; or
(b) an exhibition of a film—
under the management or control of the person of
any information relating to a lottery.
Penalty: 100 penalty units.
(5) A person must not—
(a) exhibit; or
(b) permit or allow to be exhibited; or
(c) assist in exhibiting—
in, on or about any land, building or premises a
document containing any information relating to a
lottery.
Penalty: 100 penalty units.
(6) It is a defence to a prosecution for an offence
against this section to prove that the defendant did
not know, and had reasonable grounds for not
knowing, that the information related to a lottery.
2.2.4 Lottery ticket offences
(1) A person must not print a ticket in a lottery.
Penalty: 100 penalty units.
(2) A person must not—
(a) sell or dispose of; or
(b) offer for sale or disposal; or
(c) buy or pay for; or
(d) deliver; or
(e) give; or
s. 2.2.4
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(f) knowingly receive; or
(g) accept—
a ticket in a lottery.
Penalty: 60 penalty units.
(3) It is a defence to a prosecution for an offence
against sub-section (2)(d) to prove that there was
and is no consideration for the delivery.
2.2.5 Keeping a house etc. for purpose of a lottery
(1) A person must not keep a house or place for the
purpose of conducting a lottery there, whether the
house or place is used for any other purpose.
Penalty: 100 penalty units.
(2) A person must not knowingly allow a lottery to be
conducted in a house or place kept by the person.
Penalty: 100 penalty units.
2.2.6 Participants in a lottery
(1) A person must not—
(a) participate in a lottery; or
(b) contribute any money or other valuable
property or thing to a sale or disposition of
property by way of lottery.
Penalty: 5 penalty units.
(2) A person must not receive, or cause to be
received, any money or other valuable property or
thing in consideration of the payment, transfer or
gift of any money or other valuable property or
thing in the event that a ticket or chance in a
lottery will win a prize.
Penalty: 5 penalty units.
s. 2.2.5
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(3) A person must not, whether with or without
consideration and whether or not deception or
fraud is involved, promise or agree—
(a) to pay, transfer or give any money or other
valuable property or thing for the benefit of a
person; or
(b) to do or forbear doing anything for the
benefit of a person—
on an event or contingency relating to the result of
a lottery.
Penalty: 5 penalty units.
Division 2—Permitted Lotteries
2.2.7 Authorised raffles, lotteries etc.
A person does not commit an offence against this
Chapter in respect of anything done by that person
for the purposes of a raffle, lottery or other
activity authorised by or under a gaming Act or
any other Act.
2.2.8 Games at amusement centres, fetes, carnivals etc.
A person does not commit an offence against
section 2.2.1(2)(d) if—
(a) the person, by means of a device or game
and in accordance with the prescribed
standards and conditions, sells or disposes
of, or endeavours to sell or dispose of,
property or allots any prize of money at an
amusement centre, tourist centre or
recreational centre, fete, fair, bazaar,
carnival, gymkhana or similar function; and
(b) the value of the property or money to which
each participant is entitled at each attempt
does not exceed $50.
s. 2.2.7
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2.2.9 Calcutta Sweepstakes
(1) A club may apply to the Minister for approval to
conduct Calcutta Sweepstakes.
(2) An application must be accompanied by the
prescribed fee.
(3) The Minister may issue an approval under this
section and for that purpose may take into account
any matter that the Minister considers relevant.
(4) Without limiting sub-section (3), the Minister may
consider—
(a) whether the club is conducted in good faith;
and
(b) whether the club has contravened any law
relating to gaming or betting; and
(c) the types of sporting event on which the club
wishes to conduct Calcutta Sweepstakes.
(5) An approval is subject to the following
conditions—
(a) the Calcutta Sweepstakes may be conducted
only with respect to sporting contingencies;
(b) subscriptions may be canvassed or made
only on the club premises;
(c) participation must be limited to members and
their guests;
(d) not more than 5% of the proceeds of each
sweepstake may be retained by the club for
its expenses of conducting the sweepstake
and the whole of the remainder must be
distributed as prizes among the participants;
s. 2.2.9
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(e) no written notice or advertisement of a
Calcutta Sweepstake may be exhibited,
distributed or published except—
(i) a notice exhibited on the premises of
the club;
(ii) a circular to members advising of the
intention to conduct the sweepstake;
(f) a Calcutta Sweepstake must be conducted in
accordance with the regulations (if any);
(g) any other conditions that the Minister thinks
fit.
(6) An approval under this section is not transferable
to any other club.
(7) The Minister may suspend or revoke an approval
for any just and reasonable cause stated in writing.
(8) Without limiting sub-section (7), the Minister may
suspend or revoke an approval if the holder of the
approval has contravened this Act, the regulations
or a condition of the approval.
_______________
s. 2.2.9
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PART 3—UNLAWFUL GAMES AND GAMING
2.3.1 Unlawful games
(1) Each of the following games is declared to be an
unlawful game—
(a) the Chinese game of fan-tan or any similar
game;
(b) the game known as two-up or any similar
game;
(c) the game known as hazard or any similar
game;
(d) the game known as baccarat or any similar
game;
(e) the game known as dinah-minah or minah-
dinah or any similar game;
(f) the game known as faro or any similar game;
(g) the game known as roulette or any similar
game;
(h) the game known as skill-ball or any similar
game;
(i) any game in which the chances are not
equally favourable to all the players,
including among the players the banker or
other person by whom the game is managed
or against whom the other players stake play
or bet;
(j) any game with cards or other instruments of
gaming wherefrom any person derives a
percentage or share of the amount or
amounts wagered;
(k) the using or conducting of a totalisator.
s. 2.3.1
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(2) A game referred to in sub-section (1) is not an
unlawful game to the extent that it is authorised by
a gaming Act or any other Act.
2.3.2 Two-up may be played on ANZAC Day
(1) The game of two-up may be played on ANZAC
Day—
(a) at any premises being used on that day by
any sub-branch of the Returned and Services
League; and
(b) at any premises, or in any area, approved for
the purposes of this sub-section by the
Minister on the recommendation of the
Returned and Services League.
(2) Before approving any authorised or licensed
premises within the meaning of the Liquor
Control Reform Act 1998 (other than premises
referred to in sub-section (1)(a)), the Minister
must consult with the Director of Liquor
Licensing.
(3) The game of two-up may be played at any
function commemorating ANZAC Day if the
function—
(a) is held not more than 7 days before ANZAC
Day; and
(b) is organised by a sub-branch of the Returned
and Services League; and
(c) is held at any place which is owned or
occupied by the sub-branch and which is
approved for the purposes of this sub-section
by the Minister on the recommendation of
the Returned and Services League.
(4) The Minister must publish a copy of an approval
under sub-section (1)(b) or (3)(c) in the
Government Gazette.
s. 2.3.2
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2.3.3 Common gaming houses and places
A person who—
(a) is the owner or occupier or has the use of any
house or place and opens, keeps or uses the
house or place for the purpose of unlawful
gaming being carried on in the house or
place; or
(b) is the owner or occupier of a house or place
and knowingly and wilfully permits the
house or place to be opened, kept or used by
another person for the purpose of unlawful
gaming being carried on in the house or
place; or
(c) has the care or management of or in any
manner assists in conducting the business of
a house or place opened, kept or used for the
purpose of unlawful gaming being carried on
in the house or place; or
(d) advances or furnishes money for the purpose
of gaming with persons frequenting such a
house or place; or
(e) keeps or has the care or management of a
common gaming house or place; or
(f) is a banker, croupier or other person who
acts in any manner in the conduct of a
common gaming house or place—
is guilty of an offence.
Penalty: For a first offence, 60 penalty units or
imprisonment for 6 months or both;
For a second or subsequent offence,
100 penalty units or imprisonment for
12 months or both.
s. 2.3.3
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2.3.4 Gaming in public places
A person must not—
(a) play or bet at any unlawful game; or
(b) in any public place play or bet by way of
wagering or gaming at or with any table
instrument or means of wagering or gaming
at any game or pretended game of chance.
Penalty: 15 penalty units or imprisonment for
3 months or both.
2.3.5 Cheating at play
A person ("the cheat") who by any fraud,
unlawful device or ill practice wins from another
person (whether for the cheat or for any other
person) any money or valuable thing—
(a) in playing at or with cards, dice, tables or
other game; or
(b) in bearing a part in the stakes, wagers or
adventures; or
(c) in betting on the sides or hands of those who
play, or in wagering on the event of, a game,
sport, pastime or exercise—
is taken to be guilty of obtaining the money or
valuable thing from the other person by a false
pretence with intent to cheat or defraud the other
person of the money or valuable thing.
_______________
s. 2.3.4
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PART 4—GAMING OR WAGERING AGREEMENTS
2.4.1 Gaming or wagering contracts are void
Except as provided in section 2.4.2, a gaming or
wagering contract or agreement (whether written
or not) is void.
2.4.2 Non-application of section 2.4.1
Section 2.4.1 does not apply to—
(a) subscriptions or contributions to gaming
allowed under this Act; or
(b) any bet made with an authorised bookmaker
while the bookmaker is carrying on their
business or vocation in accordance with
Part IV of the Racing Act 1958, being a
bet—
(i) made in accordance with section 4 of
the Racing Act 1958 or a club betting
permit under that Act; or
(ii) made in accordance with
section 2.5.10; or
(c) to any bet made in the name of a trading
bookmaking partnership (within the meaning
of Part IV of the Racing Act 1958) all the
members of which have approval to be
members of that partnership under
section 86B of the Racing Act 1958, being a
bet made in accordance with section 4 of that
Act; or
(d) to any bet or wager made with the licensee or
wagering operator or the holder of an on-
course wagering permit under Chapter 4; or
s. 2.4.1
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(e) to any bet, by way of gaming or otherwise,
made with a casino operator under the
Casino Control Act 1991 or a gaming
operator under Chapter 3; or
(f) to any entry in a public lottery conducted in
accordance with Chapter 5.
_______________
s. 2.4.2
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PART 5—BETTING
Division 1—Betting Houses and Places of Betting
2.5.1 What are betting houses and places of betting?
(1) A "betting house" or "place of betting" is a
house or place (as the case requires) that is
opened, kept or used—
(a) for the purpose of betting with any persons
(whether in person or by messenger, agent,
post, telephone or otherwise); or
(b) for the purpose of taking instructions for the
placement of bets on behalf of any person; or
(c) for the purpose of any money or valuable
thing being received by or on behalf of a
person—
(i) as or for the consideration for any
undertaking to pay or give thereafter
any money or valuable thing on any
sporting event; or
(ii) as or for the consideration for securing
the paying or giving by some other
person of any money or valuable thing
on any such event—
except for the purpose of paying or receiving
money in settlement of bets lawfully made
under the Racing Act 1958 or this Act by or
on behalf of an authorised bookmaker; or
(d) for the purposes of printing, duplicating or
producing lists of persons, animals or things
(however identified) for the purpose of such
lists being used for or in connection with
unlawful betting on a sporting event.
s. 2.5.1
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(2) A betting house or place of betting is declared to
be a public nuisance and contrary to law.
2.5.2 Offences in respect of betting houses or places of
betting
(1) A person must not—
(a) open, keep or use a betting house or place of
betting; or
(b) being the owner or occupier of a house or
place, knowingly and wilfully permit it to be
opened, kept or used by any other person as
a betting house or place of betting; or
(c) have the care or management of, or in any
manner assist in conducting the business of,
a betting house or place of betting.
Penalty: 60 penalty units if it is the defendant's
first relevant offence and the Court is
satisfied that, at the time of the offence,
the value of all bets held by the person
receiving the bets or the value of all
bets instructed to be placed was less
than $500;
In any other case—
(i) for a first relevant offence,
100 penalty units or imprisonment
for 3 months or both;
(ii) for a second relevant offence,
250 penalty units or imprisonment
for 6 months or both;
(iii) for a third or subsequent relevant
offence, 1000 penalty units or
imprisonment for 2 years or both.
s. 2.5.2
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(2) In sub-section (1) "relevant offence" means an
offence against sub-section (1) or section 2.5.8(4),
2.5.45 or 2.6.1 or an offence against a law of
another State or a Territory that is declared by the
regulations to be a law that corresponds to this
section.
(3) A person who bets with a person who is in a
betting house or place of betting—
(a) is not, for that reason, aiding and abetting the
commission of an offence against sub-
section (1); and
(b) is guilty of an offence against this sub-
section.
Penalty: 5 penalty units.
2.5.3 Money received may be recovered from persons
receiving it
(1) Any money or valuable thing received by a person
referred to in section 2.5.2 as a deposit on a bet, or
any bet instructed to be placed or as or for the
consideration for an undertaking referred to in
section 2.5.1, is taken to have been received to or
for the use of the person from whom it was
received.
(2) Money or a thing referred to in sub-section (1) or
its value may be recovered by the person from
whom it was received in a court of competent
jurisdiction.
2.5.4 Division not to extend to stakeholder or to owner of
horse in any race
Nothing in section 2.5.1, 2.5.2 or 2.5.3 extends to
a person receiving or holding any money or
valuable thing by way of stakes or deposit to be
paid to the winner of a race or lawful sport, game
or exercise, or to the owner of a horse engaged in
a race.
s. 2.5.3
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2.5.5 Penalty on persons exhibiting placards or
advertising betting houses or places of betting
A person must not—
(a) exhibit or publish or cause to be exhibited or
published a placard, handbill, card, writing
or notice whereby it is made to appear that a
house or place is a betting house or place of
betting; or
(b) on behalf of the owner or occupier of a house
or place, or persons using a house or place,
invite other persons to resort to the house or
place for the purpose of making bets or
wagers.
Penalty: 25 penalty units or imprisonment for
6 months or both.
2.5.6 Penalty on persons advertising as to betting
A person must not send, exhibit or publish or
cause to be sent, exhibited or published a letter,
circular, telegram, handbill, card, writing or
notice—
(a) with intent to induce a person to apply to a
house or place or to a person with the view
of obtaining information or advice for the
purpose of a bet or wager on or with respect
to a sporting event; or
(b) inviting a person to make or take a share in
or in connection with any such bet or wager.
Penalty: 25 penalty units or imprisonment for
6 months or both.
s. 2.5.5
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Division 2—Betting in Public Places
2.5.7 Definition
In this Division—
"bookmaker" includes—
(a) a person who carries on the business of,
or acts as, a bookmaker or turf
commission agent; and
(b) a person who gains or endeavours to
gain their livelihood wholly or partly by
betting or making wagers.
2.5.8 Prohibition on betting in public places
(1) A person must not frequent, use or be in a public
place for the purpose of any money or valuable
thing being received by or promised to the person
or any other person on the person's behalf as or for
the consideration for—
(a) any undertaking to pay or give thereafter any
money or valuable thing on the result of a
sporting event; or
(b) securing the paying or giving by some other
person of any money or valuable thing on the
result of a sporting event.
(2) A bookmaker must not bet with another person in
a public place, whether in person or by means of
any agent, clerk or employee.
(3) An agent, clerk or employee of a bookmaker must
not bet with a person in a public place.
s. 2.5.7
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(4) A person who contravenes sub-section (1), (2)
or (3) is guilty of an offence.
Penalty: 60 penalty units if it is the defendant's
first relevant offence and the Court is
satisfied that, at the time of the offence,
the value of all bets held by the person
receiving the bets was less than $500;
In any other case—
(a) for a first relevant offence,
100 penalty units or imprisonment
for 3 months or both;
(b) for a second relevant offence,
250 penalty units or imprisonment
for 6 months or both;
(c) for a third or subsequent relevant
offence, 1000 penalty units or
imprisonment for 2 years or both.
(5) In sub-section (4) "relevant offence" means an
offence against sub-section (4) or section 2.5.2,
2.5.45 or 2.6.1 or an offence against a law of
another State or Territory that is declared by the
regulations to be a law that corresponds to this
section.
(6) A person betting in a public place with a person to
whom sub-section (1), (2) or (3) applies—
(a) is not, for that reason, aiding and abetting the
commission of an offence against sub-
section (4); and
(b) is guilty of an offence against this sub-
section.
Penalty: 5 penalty units.
s. 2.5.8
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2.5.9 Money received may be recovered from persons
receiving it
(1) Any money or valuable thing received by a person
to whom section 2.5.8(1), (2) or (3) applies as a
deposit of a bet made in a public place or as or for
the consideration for any such undertaking made
or given in a public place is taken to have been
received for the use of the person from whom it
was received.
(2) Money or a thing referred to in sub-section (1) or
its value may be recovered by the person from
whom it was received in a court of competent
jurisdiction.
2.5.10 Permitted sports betting in public places
(1) Nothing in section 2.5.8 applies to a person who
bets, or receives money in relation to betting, on a
foot race or bicycle race that is—
(a) conducted by a club or other organization
affiliated with the Victorian Athletic League
or Victorian Cycling Incorporated; and
(b) approved by a prescribed person.
(2) An application for approval of foot races and
bicycle races must be accompanied by the
prescribed fee (if any).
(3) An approval may be given in respect of a
specified race or races of a specified class.
Division 3—Betting with Minors
2.5.11 Definition
In this Division—
"gambling document" means a document that
invites or may reasonably be construed as
inviting a person receiving it—
s. 2.5.9
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(a) to make a bet or wager; or
(b) to enter into or take a share or interest
in a betting or wagering transaction; or
(c) to apply to a person or at a place with a
view to obtaining information or
advice—
(i) for the purpose of a bet or wager;
or
(ii) as to a sporting event on which
betting or wagering is generally
carried on.
2.5.12 Offence to bet with minor or invite minor to bet
(1) A person must not knowingly make or offer to
make a bet or wager with a minor or with another
person on behalf of a minor.
Penalty: 15 penalty units or imprisonment for
3 months or both.
(2) A person must not knowingly, for the purpose of
earning a profit, send or cause to be sent a
gambling document to a minor.
Penalty: 15 penalty units or imprisonment for
3 months or both.
2.5.13 Person betting with apparent minors is taken to
have knowledge of minority
(1) A person who makes a bet with, wagers with or
sells or delivers a ticket, card or thing in
connection with a bet to or applies for or receives
any such ticket, card or thing for a minor is taken
to have known that that person was a minor.
(2) Sub-section (1) does not apply if the person
proves that he or she believed on reasonable
grounds that the minor was not a minor.
s. 2.5.12
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Division 4—Totalisators
2.5.14 Offences in respect of totalisators
A person must not—
(a) use or conduct, or assist in using or
conducting, a totalisator; or
(b) for profit, receive directly or indirectly from
any other person whether personally or by
messenger, agent, post, telephone or
otherwise any money or authority to collect
or receive money for the purpose of placing,
investing or depositing it, or any part of it, in
a totalisator; or
(c) send or cause to be sent or knowingly deliver
to another person a document directly or
indirectly—
(i) requesting or inviting the other person
to employ the person or anyone else as
an agent; or
(ii) offering the person's services as an
agent in purchasing a ticket or making a
bet or investing money—
in connection with the working of a
totalisator; or
(d) employ or allow another person to act for the
person as an agent in purchasing a ticket or
making a bet or investing money in
connection with the working of a totalisator;
or
(e) make or enter into a bet on the result of any
event whereby the person on the person's
own or any other person's behalf agrees to
pay to the other party to the bet, if the latter
should win it, a sum of money the amount of
s. 2.5.14
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which is dependent upon the result of the
working of a totalisator; or
(f) sell or offer for sale or buy or accept a ticket
entitling or purporting to entitle the
purchaser or holder to an interest in the result
of the working of a totalisator; or
(g) make a contract or give an undertaking to
pay or receive any money the amount of
which is determined or to be determined by
the result of the working of a totalisator.
Penalty: For a first offence, 15 penalty units or
imprisonment for 3 months or both;
For a second offence, 25 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
imprisonment for 12 months.
Division 5—Advertisements, Communications, etc., about
Betting
2.5.15 Restrictions on publication etc. of information
concerning betting etc.
(1) A person must not publish or disseminate, or
cause to be published or disseminated, any
information or advice in any form or by any
method of communication—
(a) as to betting on an intended sporting
event, whether conducted in Victoria or
elsewhere;
(b) as to betting odds in connection with any
such sporting event;
(c) as to a totalisator (other than a totalisator
lawfully conducted in accordance with the
wagering licence or an on-course wagering
permit);
s. 2.5.15
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(d) except as provided in paragraph (c), as to an
unlawful game; or
(e) wherein or whereby it is made to appear that
the person or any other person, either in
Victoria or elsewhere, will, if required—
(i) bet in connection with; or
(ii) give information or advice directly or
indirectly as to the betting or the betting
odds on—
an intended sporting event, or sporting
events generally or a class of sporting event,
whether conducted in Victoria or elsewhere.
Penalty: For a first offence, 5 penalty units or
imprisonment for 3 months or both;
For a second offence, 25 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
imprisonment for 12 months.
(2) A person—
(a) who is registered as the proprietor, printer or
publisher of a newspaper; or
(b) who has the conduct, management or control
of any other method of communication—
that contains or purports to contain any
information or advice that gives rise to an offence
against to sub-section (1) is taken to have
published or disseminated that information or
advice unless the person proves that the person
had no reasonable grounds for suspecting that the
information or advice related to any of the matters
referred to in that sub-section.
s. 2.5.15
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(3) In the absence of proof to the contrary, a person or
body named in any information or advice referred
to in sub-section (1) is taken to have published or
disseminated it.
2.5.16 Exceptions to section 2.5.15
(1) Nothing in section 2.5.15 prohibits—
(a) the publication (other than by way of
advertisement or for valuable consideration)
of—
(i) the betting odds prevailing in any place
in relation to a horse, greyhound or
harness race or an event or contingency
on which a betting competition has
been approved under Part 5 of
Chapter 4 (whether to be conducted in
Victoria or elsewhere); or
(ii) any information concerning, or
comment on, those betting odds; or
(b) the publication or dissemination by or on
behalf of an authorised bookmaker who is
authorised to wager on double events, of a
notice provisionally indicating the betting
odds at which doubles bets may be made
with the bookmaker on combinations of two
horses or greyhounds one of which is entered
in the first race and the other in the second
race referred to in such groups of races as the
Minister may approve from time to time by
notice published in the Government Gazette.
(2) An authorised bookmaker who uses a method of
communication approved under section 86A of
the Racing Act 1958 to accept bets with persons
not present on the racecourse may advertise the
bookmaker's services and communicate the
betting odds the bookmaker is offering in respect
of—
s. 2.5.16
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(a) a horse race; or
(b) a harness race; or
(c) a greyhound race; or
(d) any other betting contingency approved
under section 4 of the Racing Act 1958.
(3) An authorised bookmaker who is authorised under
Part IV of the Racing Act 1958 to accept bets on
a particular betting contingency may advertise the
odds the bookmaker is offering in respect of that
betting contingency.
2.5.17 Betting placards and notices not to be posted up
anywhere
(1) A person must not exhibit or permit or allow to be
exhibited or assist in exhibiting in or on or about
any land, building or premises a document
containing any information or notice or list
directly or indirectly relating to betting or to
totalisators or to an unlawful game.
Penalty: For a first offence, 15 penalty units or
imprisonment for 3 months or both;
For a second offence, 25 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
imprisonment for 12 months.
(2) It is a defence to a prosecution for an offence
against sub-section (1) to prove that the defendant
did not know, and had reasonable grounds for not
knowing, that the information, notice or list
related to betting, totalisators or unlawful games.
s. 2.5.17
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2.5.18 Penalty for communicating certain racing
information while race meeting is being held
(1) At any time while a race meeting is being held on
a racecourse, a person, whether on the racecourse
or not, must not—
(a) send, convey or communicate;
(b) attempt to send, convey or communicate—
by any means to any person not on the racecourse
any information relating or purporting to relate,
whether directly or indirectly, to actual or
estimated betting odds at a race meeting on any
horse or any greyhound in any race or
combination of races.
Penalty: For a first offence, 100 penalty units or
imprisonment for 3 months or both;
For a second offence, 250 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
1000 penalty units or imprisonment for
2 years or both.
(2) Nothing in sub-section (1) applies to an authorised
bookmaker using a method of communication
approved under section 86A of the Racing Act
1958 to accept bets with persons not present on
the racecourse who communicates to those
persons the betting odds he or she is offering in
respect of—
(a) a horse race; or
(b) a harness race; or
(c) a greyhound race; or
(d) any other sporting event approved under
section 4 of the Racing Act 1958.
s. 2.5.18
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(3) For the purposes of this section, a race meeting is
taken to be held for a continuous period of time
commencing one hour before the advertised
starting time of the race, game, pastime, exercise
or contest that is the first event of the race meeting
on any day, and ending at the advertised starting
time of the race, game, pastime, exercise or
contest that is the last event of the race meeting on
that day.
2.5.19 Certain communications etc. exempted
(1) Despite anything to the contrary in this Division, a
person may communicate, publish or transmit
betting odds in accordance with an approval under
sub-section (2).
(2) The Minister may, by order published in the
Government Gazette, approve the communication
or publication or transmission by any means of the
betting odds prevailing at a race meeting.
(3) The Minister may make an approval—
(a) either general or limited in its application;
and
(b) subject to conditions.
(4) The Minister may by order published in the
Government Gazette—
(a) add, omit or vary a condition at any time;
and
(b) revoke an approval.
s. 2.5.19
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Division 6—Common Gaming Houses and Places
2.5.20 What is a common gaming house or place?
(1) A "common gaming house or place" is—
(a) a house or place opened, kept or used for—
(i) the purpose of a lottery or proposed
lottery; or
(ii) the purpose of playing any unlawful
game; or
(iii) any of the purposes mentioned in
section 2.5.1; or
(iv) for the purpose of using or conducting a
totalisator; or
(v) for the purpose of conveying or
communicating information relating to
betting odds at a race meeting on races
or combinations of races to persons not
on the racecourse while the race
meeting is being held; or
(b) a house or place—
(i) used principally for the purpose of
enabling any one or more persons to bet
with others or with one another or to
pay or receive any money or valuable
thing in respect of any bets whether
made in or at the house or place or
elsewhere; or
(ii) occupied by a company or club having
for its principal object or one of its
principal objects the enabling of
shareholders or members to make
wagers or bets or pay or receive money
in respect of wagers or bets whether so
made either among themselves or with
s. 2.5.20
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other persons not necessarily being
shareholders or members; or
(c) a house or place opened, kept or used in
connection with any offence referred to in
section 2.5.15; or
(d) a house or place that, at common law, is a
common gaming house or place.
(2) For the purposes of sub-section (1), it is irrelevant
whether or not the house or place is open only for
the use of subscribers or of members or
shareholders of any particular club or company or
may not be open to all persons desirous of using
that house or place.
2.5.21 Warrant to enter common gaming house and search
and seize on premises
(1) A member of the police force may apply to a
magistrate for a warrant under this section if the
member or another person suspects on reasonable
grounds that any house or place—
(a) is a common gaming house or place; or
(b) contains any instruments of gaming.
(2) If a magistrate is satisfied by evidence on oath or
by affidavit that there are reasonable grounds for
the suspicion founding an application under sub-
section (1), the magistrate may issue a special
warrant in the form of Form 1 in Schedule 4.
(3) A special warrant under this section authorises
and directs the person to whom it is issued and
any other member of the police force—
(a) to enter and re-enter the house or place at
any time and as often as and with any
assistants that may be found necessary and if
necessary to use force for making entry or
re-entry whether by breaking open doors or
otherwise; and
s. 2.5.21
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(b) to arrest, search and bring before a bail
justice or the Magistrates' Court to be dealt
with according to law all persons found in
the house or place or entering or leaving it;
and
(c) to diligently search all parts of the house or
place where the member suspects that
instruments of gaming are concealed; and
(d) to seize and bring before a bail justice or the
Magistrates' Court to be dealt with according
to law all instruments of gaming and all
money and securities for money found in the
house or place or on any person referred to in
paragraph (b).
2.5.22 Offence to obstruct the entry of authorised members
of police force
A person must not—
(a) wilfully prevent a member of the police force
authorised to enter any house or place by a
warrant under section 2.5.21 from entering
or re-entering the house or place or any part
of it; or
(b) obstruct or delay any member of the police
force in entering or re-entering the house or
place or part; or
(c) for the purpose of preventing obstructing or
delaying the entry or re-entry of a member of
the police force into a house or place referred
to in the warrant, secure an external or
internal door or means of access by a bolt,
bar, chain or other contrivance or uses any
other means for that purpose.
Penalty: 25 penalty units or imprisonment for
6 months or both.
s. 2.5.22
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2.5.23 Obstructing entry to be evidence of house being a
common gaming house
If—
(a) a member of the police force authorised by a
warrant under section 2.5.21 to enter a house
or place is wilfully prevented from or
obstructed or delayed in entering or re-
entering the house or place or any part of it;
or
(b) an external or internal door or means of
access to a house or place authorised to be
entered under the warrant is found to be
fitted or provided with a bolt, bar, chain or
other means or contrivance for the purpose
of preventing delaying or obstructing entry
or re-entry or for giving an alarm in case of
entry or re-entry; or
(c) a house or place is found fitted or provided
with any means or contrivance for—
(i) unlawful gaming or betting; or
(ii) conducting a lottery or totalisator; or
(iii) concealing removing or destroying any
instruments of gaming—
the prevention, obstruction, delay, fitting or
finding is, without prejudice to any other mode of
proof, proof in the absence of evidence to the
contrary that the house or place is a common
gaming house or place and that the persons found
in the house or place were unlawfully playing
there.
s. 2.5.23
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2.5.24 Offence of permitting premises to be used as or as
access to a common gaming house or place
(1) An owner or occupier, or an agent for an owner or
occupier, of a house or place must not permit or
allow the house or place—
(a) to be a common gaming house or place; or
(b) to be used as a means of access to or of exit
or escape from a common gaming house or
place.
Penalty: For a first offence, 15 penalty units or
imprisonment for 3 months or both;
For a second offence, 25 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
imprisonment for 12 months.
(2) Sub-section (1) does not apply to an owner who is
not the occupier or to an agent, if the court is
satisfied that the owner or agent—
(a) was ignorant of and had no reasonable
ground to suspect that the house or place was
a common gaming house or place or was
used for a purpose referred to in sub-
section (1)(b); or
(b) had taken all reasonable steps to prevent the
house or place being a common gaming
house or place or being used for a purpose
referred to in sub-section (1)(b).
2.5.25 Power of owner to evict occupier of common gaming
house or place
(1) If an owner of a house or place—
(a) has reasonable grounds to suspect that the
house or place is a common gaming house or
place; or
s. 2.5.24
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(b) has reasonable grounds to suspect that the
house or place is used as a means of access
to or of exit or escape from a common
gaming house or place—
the owner may serve on the occupier a notice to
quit (stating that the notice is given under this
section).
(2) Subject to this Act, if a notice is served under sub-
section (1), any tenancy under which the occupier
occupies the house or place is terminated on the
3rd day after the date of service as if the tenancy
had expired by effluxion of time.
(3) If a tenancy terminates under sub-section (2), the
owner may, without any authority other than this
Act, take legal proceedings to evict and may evict
the occupier.
(4) A notice under sub-section (1) must be served
personally on the occupier unless the occupier
cannot be found, in which case service may be
effected by posting a copy of the notice on a
conspicuous part of the house or place.
2.5.26 Cancellation of notice to quit
(1) A notice to quit under section 2.5.25 may at any
time be cancelled and relief be granted by the
Supreme Court subject to any terms the court
thinks fit on application by the occupier and on
proof that the occupier has not at any time—
(a) used, allowed or permitted the house or place
to be a common gaming house or place; or
(b) used, allowed or permitted the house or place
to be used as a means of access to or of exit
or escape from a common gaming house or
place.
s. 2.5.26
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(2) Notice in writing of an application under sub-
section (1) must, not less than 72 hours before the
hearing of the application, be given to the owner
of the house or place.
(3) On being served on the owner, notice of an
application under sub-section (1) operates as a
stay of any proceedings under section 2.5.25 until
the matter of the application is determined.
2.5.27 Declaration of common gaming house or place
(1) An officer of police may apply to the Magistrates'
Court for a declaration under sub-section (4) if the
officer suspects on reasonable grounds that a
house or place is used as—
(a) a common gaming house or place; or
(b) a means of access to or of exit or escape
from a common gaming house or place.
(2) An application must be supported by affidavit.
(3) Notice in writing of the application must, not less
than 72 hours before the hearing of the
application—
(a) be served on the owner or occupier of the
house or place; or
(b) be advertised in a newspaper circulating
generally in the locality in which the house
or place is situated.
(4) On an application under sub-section (1), the
Magistrates' Court may declare the house or place
which is the subject of the application to be a
common gaming house or place.
(5) A declaration remains in force—
(a) for the period specified in the declaration; or
(b) until rescinded by the Magistrates' Court—
whichever is the earlier.
s. 2.5.27
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2.5.28 Application for rescission by owner etc.
(1) The owner, agent, mortgagee or occupier of a
house or place that has been declared to be a
common gaming house or place may apply to the
Magistrates' Court for rescission of the
declaration.
(2) Notice in writing of the application must, not less
than 72 hours before the hearing of the
application, be served on an officer of police
stationed in the police district in which the
common gaming house or place is situated.
(3) On an application under sub-section (1), the
applicant must prove on the balance of
probabilities that the applicant has not at any time
used the house or place as a common gaming
house or place or as a means of access to or of exit
or escape from a common gaming house or place
or permitted it to be so used.
(4) The Magistrates' Court may rescind a declaration
subject to any terms or conditions that the Court
thinks fit, including the giving of security to
insure that the house or place will not be used
again as a common gaming house or place or as a
means of access to or of exit or escape from a
common gaming house or place.
2.5.29 Application for rescission by police
(1) An officer of police may apply to the Magistrates'
Court for rescission of a declaration that a house
or place is a common gaming house or place.
(2) On an application under sub-section (1), the
applicant must prove on the balance of
probabilities that the house or place is not used as
a common gaming house or place or in
contravention of this Part.
(3) The Magistrates' Court may rescind a declaration
in the manner referred to in section 2.5.28(4).
s. 2.5.28
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2.5.30 Notice in the Government Gazette
(1) The applicant must cause to be published in the
Government Gazette notice of—
(a) a declaration under section 2.5.27; or
(b) a rescission under section 2.5.28 or 2.5.29
and the terms or conditions subject to which
the rescission was made.
(2) In a proceeding under this Act, the production of a
copy of the Government Gazette containing a
notice referred to in sub-section (1) is evidence
that the declaration or rescission referred to in the
notice was duly made.
2.5.31 Other notices of declaration
(1) If a house or place is declared to be a common
gaming house or place under section 2.5.27, an
officer of police must—
(a) cause a notice of the making of the
declaration—
(i) to be published on 2 days in a
newspaper circulating in the
neighbourhood of the house or place;
and
(ii) to be served on the owner, agent,
mortgagee or occupier of the house or
place; and
(b) cause a copy of the declaration to be posted
up on the house or place so as to be visible
and legible to a person entering the house or
place.
s. 2.5.30
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(2) Service under sub-section (1)(a)(ii) may be
effected—
(a) by personal service; or
(b) if, in the opinion of the officer of police,
personal service cannot be effected
promptly, by causing a copy of the notice to
be affixed at or near to the entrance to the
house or place; or
(c) in the case of the owner or occupier, by
posting a prepaid letter addressed to "the
owner" or "the occupier" and bearing an
address or description of the house or place
that, in the opinion of the court, would
ensure the delivery of the letter at the house
or place.
(3) In a proceeding under this Act, the production of a
copy of a newspaper containing a notice referred
to in sub-section (1)(a)(i) is evidence that the
notice was duly published in that newspaper on
the date appearing on the newspaper.
(4) A person must not cover, remove, deface or
destroy a copy of a declaration posted up on
premises in accordance with sub-section (1)(b).
Penalty: 60 penalty units or imprisonment for
6 months or both.
(5) It is not a defence to a proceeding under this
Division to show—
(a) non-compliance with any of the requirements
of this section; or
(b) that a copy of a declaration posted up on
premises in accordance with sub-section
(1)(b) has been covered, removed, defaced or
destroyed.
s. 2.5.31
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2.5.32 Persons found etc. in declared common gaming
house
(1) If—
(a) a house or place has been declared to be a
common gaming house or place; and
(b) notice of the making of the declaration has
been published in a newspaper in accordance
with section 2.5.31(1)(a)(i); and
(c) the declaration is in force—
a person must not be found in or entering or
leaving the common gaming house or place or any
other house or place used as a means of access to,
or of exit or escape from, the common gaming
house or place.
Penalty: 60 penalty units or imprisonment for
6 months or both.
(2) It is a defence to a prosecution for an offence
against sub-section (1) to prove that the
defendant—
(a) was ignorant of the making of the declaration
at the time of the alleged offence; or
(b) was in or entering or leaving the house or
place for a lawful purpose.
2.5.33 Convicted persons found in declared common
gaming house
A person who has been convicted of an indictable
offence must not be found in a house or place that
has been declared to be a common gaming house
or place during the time that the declaration is in
force.
Penalty: 100 penalty units or imprisonment for
12 months or both.
s. 2.5.32
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2.5.34 No business to be carried on in declared common
gaming house
A person must not carry on, exercise or conduct a
business, trade, profession or calling, whether
authorised by a licence, registration or authority
under an Act or otherwise and whether on behalf
of any person or otherwise, in a house or place
that has been declared to be a common gaming
house or place during the time that the declaration
is in force.
2.5.35 Liability of owner
(1) If—
(a) notice of the making of a declaration under
section 2.5.27 is served on an owner of a
house or place; and
(b) during the time that the declaration is in
force, the house or place is used as a
common gaming house or place or as a
means of access to or of exit or escape from
a common gaming house or place—
the owner is guilty of an offence.
Penalty: For a first offence, 100 penalty units or
imprisonment for 12 months or both;
For a second or subsequent offence,
200 penalty units or imprisonment for
2 years or both.
(2) It is a defence to a charge for an offence against
sub-section (1) to prove that the defendant took all
reasonable steps to evict the occupier from the
house or place.
s. 2.5.34
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2.5.36 Liability of occupier
(1) If—
(a) notice of the making of a declaration is
served on an occupier of a house or place;
and
(b) during the time that the declaration is in
force, the house or place is used as a
common gaming house or place or as a
means of access to or of exit or escape from
a common gaming house or place—
the occupier is guilty of an offence.
Penalty: For a first offence, 100 penalty units or
imprisonment for 12 months or both;
For a second or subsequent offence,
200 penalty units or imprisonment for
2 years or both.
(2) It is a defence to a charge for an offence against
sub-section (1) to prove that the defendant took all
reasonable steps to prevent such use.
2.5.37 Additional penalty for continuing offences
A person who is guilty of an offence against
section 2.5.35(1) or 2.5.36(1) that is of a
continuing nature is liable, in addition to the
penalty set out at the foot of that section, to a
further penalty of not more than 5 penalty units
for each day during which the offence continued
after service by a member of the police force on
the person of a notice of contravention.
2.5.38 Entry by police
While a declaration under this Part is in force with
respect to a house or place, any member of the
police force may at any time—
(a) enter that house or place; and
s. 2.5.36
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(b) enter any land or building which the member
has reasonable grounds to suspect is used as
a means of access to or of exit or escape
from that house or place; and
(c) pass through, from, over and along any
other land or building for the purpose of
entering under paragraph (a) or (b); and
(d) for the purposes of paragraph (a), (b) or (c)
break open doors, windows and partitions
and do any other acts that are necessary; and
(e) seize any instruments of gaming and any
instruments of betting and documents
relating to betting and any money and
securities for money in that house or place or
upon any persons found there; and
(f) arrest, search and bring before a bail justice
or the Magistrates' Court all persons found in
or on or entering or leaving that house or
place without lawful excuse.
2.5.39 Special warrant to enter premises suspected of being
used as accessory to a common gaming house
(1) A member of the police force may apply to a
magistrate for a warrant under this section if the
member or another person suspects on reasonable
grounds that the owner or occupier of a house or
place (the "accessory house or place") is
permitting, allowing or suffering the house or
place to be used as a means of access to or of exit
or escape from a common gaming house or place.
(2) A member of the police force may apply for a
warrant under this section only if he or she is
expressly authorised by the Minister to do so in
any particular case.
s. 2.5.39
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(3) If a magistrate is satisfied by evidence on oath or
by affidavit that there are reasonable grounds for
the suspicion founding an application under sub-
section (1), the magistrate may issue a special
warrant in the form of Form 2 in Schedule 4.
(4) A special warrant under this section authorises
and directs the person to whom it is issued and
any other member of the police force—
(a) to enter and re-enter the accessory house or
place at any time and as often as and with
any assistants that may be found necessary
and if necessary to use force for making
entry or re-entry whether by breaking open
doors or otherwise; and
(b) to pass through, from, over and along the
accessory house or place; and
(c) to arrest, search and bring before a bail
justice or the Magistrates' Court to be dealt
with according to law all persons found in
the accessory house or place or entering or
leaving it; and
(d) to diligently search all parts of the accessory
house or place where the member suspects
that instruments of gaming are concealed;
and
(e) to seize and bring before a bail justice or the
Magistrates' Court to be dealt with according
to law all instruments of gaming and all
money and securities for money found in the
accessory house or place or on any person
referred to in paragraph (c).
(5) A person found in an accessory house or place or
entering or leaving an accessory house or place,
without lawful excuse, is guilty of an offence.
Penalty: $50.
s. 2.5.39
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(6) A person must not—
(a) wilfully prevent a member of the police force
authorised by a warrant under this section to
enter an accessory house or place from
entering or re-entering it or any part of it; or
(b) obstruct or delay a member of the police
force in so entering or re-entering; or
(c) for the purpose of preventing obstructing or
delaying the entry or re-entry of a member of
the police force, secure an external or
internal door of an accessory house or place
or means of access to the house or place by a
bolt, bar, chain or other contrivance or use
any other means for that purpose.
Penalty: 25 penalty units or imprisonment for
6 months or both.
2.5.40 Procedure where house or place is entered under a
special warrant etc.
(1) This section applies if—
(a) a house or place is entered under a warrant
under this Division and a person is found in
the house or place or entering or leaving it;
or
(b) a person is arrested as a person found in or
entering or leaving a house or place to which
this Division applies.
(2) If this section applies—
(a) the member of the police force authorised to
enter the house or place or to make or
making the arrest may require the person to
give his or her name and address;
s. 2.5.40
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(b) a member of the police force must as soon as
possible bring all such persons or as many of
them as possible before a bail justice or the
Magistrates' Court to be dealt with according
to law;
(c) in addition to any other power that the bail
justice or the Court may possess, the bail
justice or the Court may—
(i) on the oral statement of a member of
the police force (with or without oath as
to the bail justice or the Court seems
fit) direct orally or in writing that a
person be released from custody; or
(ii) by warrant in the form of Form 3 in
Schedule 4 imprison a person until the
hearing of a charge against them for an
offence under this Division; or
(iii) discharge a person on the person
entering into a recognizance (with or
without sureties at the discretion of the
bail justice or the Court) conditioned
for appearing at the hearing of the
charge;
(d) in the case of a person so imprisoned, if
within 24 hours after the person has been
received into custody in a prison, a document
purporting to be a copy of the charge is not
served on or delivered to the person having
the legal custody of the person, the person
must be discharged from custody;
(e) on a prosecution of a person for an offence in
connection with a house or place referred to
in sub-section (1), any other person found in
the house or place (whether or not concerned
in or connected with any contravention of
this Division and whether or not present in
s. 2.5.40
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court by virtue of any recognizance,
summons or warrant) may be required by the
court to give evidence on oath relating to the
offence;
(f) a person referred to in paragraph (e) is not
excused from giving evidence on the ground
that it will tend to incriminate the person;
(g) a person referred to in paragraph (e) who
refuses to be sworn or to give evidence is
subject to be dealt with in all respects as if
the person were a person appearing before a
court in obedience to a subpoena or a
summons to a witness who refuses without
lawful cause or excuse to be sworn or to give
evidence.
(3) A person must not—
(a) refuse to give a name or address under sub-
section (2)(a); or
(b) give a false name or address.
Penalty: 5 penalty units or imprisonment for
1 month or both.
(4) A warrant to imprison under sub-section (2)(c)(ii)
may be issued for more than one person and, if so,
it authorises the imprisonment of each person in
respect of whom it is issued.
2.5.41 Persons required to be examined as witnesses
making a full discovery to receive a certificate
(1) If the Court is satisfied that a person required to
be examined as a witness under section 2.5.40
makes true and faithful discovery on the
examination to the best of the person's belief of all
things as to which the person is examined, the
Court must give the person a certificate in writing
to that effect.
s. 2.5.41
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(2) If the Court is satisfied that a person concerned in
or connected with a contravention of this Division
who—
(a) is called as a witness for the prosecution on
the trial or hearing before the Court of any
charge against any other person in
connection with or in respect of a common
gaming house or place; and
(b) on the examination as a witness makes true
and faithful discovery to the best of the
person's belief of all things as to which the
person is examined—
the Court may give the person a certificate in
writing to that effect.
2.5.42 Indemnity of witnesses
(1) A person who receives a certificate under
section 2.5.41 is freed from all criminal
prosecutions, penal actions, penalties, forfeitures
and punishments to which the person has before
that time become liable under this Act or any
other Act or law relating to lotteries, gaming,
betting, totalisators, common gaming houses or
places or unlawful games touching the matters in
respect of which the person is so examined.
(2) If any action, presentment, indictment or charge is
at any time pending in any court against the
person in respect of any act, matter or thing
concerning which the person was so examined as
a witness and in respect of which the person has
before that time become liable, the court, on the
production and proof of the certificate and on
proof that the person was so examined touching
the act, matter or thing—
(a) must stay the proceedings; and
s. 2.5.42
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(b) may award the person such costs as the
person has been put to or such fixed sum for
or towards costs as the court thinks fit.
2.5.43 Persons found in common gaming house or place
A person who is at any time found in a common
gaming house or place (whether entered under a
warrant or not) without lawful excuse is guilty of
an offence.
Penalty: For a first offence, 25 penalty units;
For a second or subsequent offence,
60 penalty units.
2.5.44 Being disguised in common gaming house or place
A person must not employ or use any means to
disguise themselves in or about a common gaming
house or place.
Penalty: For a first offence, 15 penalty units or
imprisonment for 3 months or both;
For a second offence, 25 penalty units
or imprisonment for 6 months or both;
For a third or subsequent offence,
imprisonment for 12 months.
Division 7—Services relating to Betting
2.5.45 Offence to promote or advertise betting or offer or
provide services relating to betting
(1) If a course of conduct is being engaged in of
unauthorised betting on one or more sporting
events, a person must not, knowing such conduct
is being engaged in—
(a) distribute any document to the public
promoting or advertising the unauthorised
betting (including any document about
betting accounts or services); or
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(b) make any transaction relating to the
unauthorised betting; or
(c) offer or provide accounting, administrative
or other services relating to the unauthorised
betting.
Penalty: For a first relevant offence, 100 penalty
units or imprisonment for 3 months or
both;
For a second relevant offence,
250 penalty units or imprisonment for
6 months or both;
For a third or subsequent relevant
offence, 1000 penalty units or
imprisonment for 2 years or both.
(2) For the purposes of sub-section (1), it is irrelevant
whether—
(a) the unauthorised betting is being carried out
in Victoria or elsewhere; or
(b) the sporting events are being conducted in
Victoria or elsewhere.
(3) In this section—
"relevant offence" means an offence against this
section or section 2.5.2(1), 2.5.8(4) or
2.6.1(1) or an offence against a law of
another State or a Territory that is declared
by the regulations to be a law that
corresponds to this section;
"unauthorised betting" means betting that is not
authorised by or under the law of Victoria or
another State or Territory of the
Commonwealth.
_______________
s. 2.5.45
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PART 6—GENERAL
2.6.1 Possession of instrument of betting
(1) A person must not possess an instrument of
betting not authorised under this Act.
Penalty: For a first relevant offence, 100 penalty
units or imprisonment for 3 months or
both;
For a second relevant offence,
250 penalty units or imprisonment for
6 months or both;
For a third or subsequent relevant
offence, 1000 penalty units or
imprisonment for 2 years or both.
(2) In this section—
"possession" includes—
(a) actual physical possession; and
(b) custody or control; and
(c) having and exercising access, either
solely or in common with others—
and an instrument of betting is in a person's
possession if it is on land or in premises
occupied, used or controlled by the person;
"relevant offence" means an offence against this
section or section 2.5.2(1), 2.5.8(4) or 2.5.45
or an offence against a law of another State
or a Territory that is declared by the
regulations to be a law that corresponds to
this section.
s. 2.6.1
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2.6.2 Search and seizure of instruments of betting
A member of the police force in any place—
(a) may stop, detain and search—
(i) a vehicle in or on which the member
reasonably suspects there is an
instrument of betting; or
(ii) a person who the member reasonably
suspects is committing an offence
against section 2.6.1;
(b) may seize any instrument of betting found;
and
(c) for the purposes of paragraphs (a) and (b),
may use such force as is reasonably
necessary in gaining entry into the vehicle,
conducting the search or seizing an
instrument of betting.
2.6.3 Money stolen and paid away in bets is recoverable
If money is stolen or embezzled and paid to a
person as or on account of a wager or bet, the
person from whom it was stolen or embezzled
may recover it, or a sum not exceeding its amount,
in a court of competent jurisdiction from the
person to whom it was paid.
2.6.4 Acting as keeper of gaming houses etc.
A person who has or appears to have the care or
management of a house or place opened, kept or
used—
(a) as a common gaming house or place; or
(b) otherwise in contravention of this Chapter—
is taken to be the occupier of that house or place
(whether or not the person is the actual occupier).
s. 2.6.2
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2.6.5 Evidence as to offences
(1) For the purposes of this Chapter—
(a) it is not necessary to prove that a house or
place was used as a betting house or place of
betting more than once for a particular
purpose;
(b) the burden of proving that a building or part
of a building is not a private dwelling lies
with the prosecution;
(c) the burden of proving that land or premises
(whether enclosed or unenclosed) is not a
place where a person may lawfully bet lies
with the prosecution;
(d) keeping a bank in any house or place
apparently for the purpose of an unlawful
game is proof (in the absence of evidence to
the contrary) that the house or place is a
common gaming house or place;
(e) in the absence of evidence to the contrary—
(i) an instrument of gaming found in any
house or place or about the person of
anyone in that house or place; or
(ii) telephone calls or other
communications received in any house
or place—
in circumstances which raise the reasonable
inference that the house or place is used for a
purpose described in section 2.5.20(1) is
proof that the house or place is a common
gaming house or place and that the persons
found in that house or place were playing at
an unlawful game;
(f) a person found playing a game in any house
or place alleged to be opened, kept or used in
contravention of any of the provisions of this
s. 2.6.5
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Chapter, is proof (in the absence of evidence
to the contrary) that the relevant person was
playing for money, wager or a stake;
(g) money or other valuable thing paid, given or
received in circumstances which appear to a
court of competent jurisdiction to raise a
reasonable suspicion that the money or thing
was paid, given or received in contravention
of this Chapter is proof (in the absence of
evidence to the contrary) that the money or
thing was paid, given or received in
contravention of this Chapter;
(h) instruments of gaming or lists, books, cards,
papers or documents of things relating to
racing, betting or gaming found in a house or
place or about the person of those found
entering or leaving the premises in
circumstances which appear to the court to
raise a reasonable suspicion that the purposes
and provisions of this Chapter have been
contravened is proof (in the absence of
evidence to the contrary) that the relevant
house or place is a common gaming house or
place.
(2) Certification that a race meeting was held, signed
by the secretary of a racing club in any State or
Territory of the Commonwealth, is proof (in the
absence of evidence to the contrary) that the
relevant race meeting was held.
(3) Certification signed by a promoter in the
management or control of a sport or game is proof
(in the absence of evidence to the contrary) that
the relevant sport or game was played or
conducted on the specified day by any person or
team specified in the certificate.
s. 2.6.5
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2.6.6 Instruments of gaming on vessels
It is not an offence against this Chapter for the
owner or captain of a vessel that is travelling to or
from a port outside Victoria to possess an
instrument of gaming when the vessel is in
Victorian waters if the instrument of gaming is
rendered—
(a) inoperative; or
(b) inaccessible to the public.
2.6.7 Vicarious liability
(1) If a person in the course of employment or while
acting as an agent—
(a) commits an offence against this Chapter; or
(b) engages in any conduct that would, if
engaged in by the person's employer or
principal, be an offence against this
Chapter—
both the person and the employer or principal are
taken to have committed the offence, and either or
both of them may be prosecuted for it.
(2) An employer or principal is not liable for an
offence committed by an employee or agent if the
employer or principal proves, on the balance of
probabilities, that the employer or principal took
reasonable precautions to prevent the employee or
agent committing the offence.
2.6.8 Accomplice
A member of the police force or a person acting
under instructions given in writing in relation to a
particular case by a member of the police force of
or above the rank of senior sergeant may not be
found guilty of any offence against this Chapter.
s. 2.6.6
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2.6.9 Entry of police to public places
For the purpose of performing any function in
relation to this Chapter, a member of the police
force is authorised to enter and remain in any
public place.
__________________
s. 2.6.9
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CHAPTER 3—GAMING MACHINES
PART 1—INTRODUCTION
3.1.1 Purpose
The purpose of this Chapter is to establish a
system for the regulation, supervision and control
of gaming machines and gaming equipment with
the aims of—
(a) ensuring that gaming on gaming machines is
conducted honestly; and
(b) ensuring that the management of gaming
machines and gaming equipment is free from
criminal influence or exploitation; and
(c) regulating the use of gaming machines in
casinos and other approved venues where
liquor is sold; and
(d) regulating the activities of persons in the
gaming machine industry; and
(e) promoting tourism, employment and
economic development generally in the
State; and
(f) fostering responsible gambling in order to—
(i) minimise harm caused by problem
gambling; and
(ii) accommodate those who gamble
without harming themselves or others.
3.1.2 Definitions
In this Chapter—
"game" means a game or program designed to be
played on a gaming machine and identifiable
from all other games by differences in rules
or programming;
s. 3.1.1
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"gaming" means the playing of a gaming
machine;
"jackpot" means the combination of letters,
numbers, symbols or representations
required to be displayed on the reels or video
screen of a gaming machine so that the
winnings in accordance with the prize payout
scale displayed on the machine are payable
from money which accumulates as
contributions are made to a special prize
pool;
"linked jackpot arrangement" means an
arrangement whereby 2 or more gaming
machines are linked to a device that—
(a) records, from time to time, an amount
which, in the event of a jackpot or other
result being obtained on one of those
machines, may be payable, or part of
which may be payable, as winnings;
and
(b) for the purpose of recording the amount
referred to in paragraph (a), receives
data from each gaming machine to
which the device is linked; and
(c) is not capable of affecting the outcome
of a game on a gaming machine to
which the device is linked;
"linked jackpot equipment" means any jackpot
meter, payout display, linking equipment,
computer equipment, programming or other
device (other than a gaming machine)
forming, or capable of forming, part of a
linked jackpot arrangement;
s. 3.1.2
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"nominee", of a venue operator, means a person
approved by the Commission under
section 3.4.14 in respect of the venue
operator;
"State limit" means the maximum permissible
number of gaming machines available for
gaming in the State directed and in force
under section 3.2.3(1)(a).
3.1.3 Machines may be declared to be gaming machines
The Governor in Council, on the recommendation
of the Commission, may, by Order published in
the Government Gazette, declare a machine, or
type of machine, to be a gaming machine.
3.1.4 Conduct of gaming and playing gaming machines
(1) A reference in this Chapter to the "conduct of
gaming" is a reference to—
(a) the management, use, supervision and
operation of gaming equipment; and
(b) the sale, redemption or use of gaming
tokens; and
(c) the installation, alteration, adjustment,
maintenance or repair of gaming equipment;
and
(d) the use or distribution of proceeds from the
conduct of gaming; and
(e) accounting, banking, storage and other acts
in connection with or related or incidental to
gaming and the conduct of gaming.
(2) For the purposes of this Chapter, a person (other
than an employee of a gaming operator or a
licensed technician in the performance of his or
her duties) is to be taken to play a gaming
machine if the person, directly or indirectly—
s. 3.1.3
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(a) inserts a gaming token into the gaming
machine; or
(b) causes gaming machine credits to be
registered by the gaming machine; or
(c) makes a bet on the gaming machine; or
(d) makes, or participates in making the
decisions involved in playing the gaming
machine.
3.1.5 Application of Chapter to casino operator
(1) For the purposes of this Chapter, a casino operator
is taken to be the holder of a venue operator's
licence.
(2) A casino operator is authorised—
(a) to obtain from a person listed on the Roll
approved gaming machines and restricted
components; and
(b) to conduct gaming at the casino; and
(c) to service, repair and maintain gaming
equipment through the services of licensed
technicians; and
(d) to sell or dispose of gaming equipment with
the approval of the Commission; and
(e) to do all things necessarily incidental to
carrying on the activities referred to in
paragraph (a), (b), (c) or (d).
(3) A casino operator is authorised to sell or dispose
of approved gaming machines with the approval
of the Commission.
s. 3.1.5
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(4) The regulations may provide that any provisions
of this Chapter that apply to a venue operator do
not apply to a casino operator.
Note: In addition, some provisions of this Chapter that
apply to a venue operator do not apply to a casino
operator or casino—see sections 3.3.16, 3.4.25,
3.4.68, 3.5.7, 3.5.8, 3.5.15, 3.5.18, 3.5.20, 3.5.23(1),
3.5.27, 3.5.28, 3.5.32 and 3.5.33, and Divisions 6
and 7 of Part 5.
3.1.6 Application of Chapter to tabaret premises
This Chapter applies to tabaret premises as if they
were premises in respect of which a club licence
were in force.
_______________
s. 3.1.6
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PART 2—GENERAL AUTHORISATION FOR GAMING ON
GAMING MACHINES
Division 1—Legality of Gaming Machine Gaming
3.2.1 Gaming in approved venue declared lawful
(1) The conduct of gaming is lawful when the gaming
is conducted, and the gaming equipment is
provided, in an approved venue or casino in
accordance with this Chapter.
(2) The conduct of gaming in an approved venue or
casino in accordance with this Chapter and the
conditions of the relevant licences is not a public
or private nuisance.
(3) An approved venue is not a common gaming
house or place.
3.2.2 Possession of gaming machines may be authorised
(1) The Commission may authorise in writing any
person or class of persons to be in possession of a
gaming machine or gaming equipment for the
purpose of testing, research or development or for
the purpose of servicing, repair or maintenance.
(2) The Commission may authorise in writing a
person to be in possession of a gaming machine,
being a machine that is not in operating order.
(3) An authorisation under sub-section (1) or (2)—
(a) may be given subject to any terms,
conditions or limitations that the
Commission thinks fit; and
(b) may be given for any period specified by the
Commission; and
(c) may be renewed, with or without variation,
from time to time.
s. 3.2.1
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(4) A function of the Commission under this section
may be performed by any commissioner.
Division 2—Ministerial Directions and Regional Limits
3.2.3 Ministerial directions as to requirements for gaming
machines
(1) The Minister may from time to time give a
direction in writing to the Commission as to any
one or more of the following matters—
(a) the maximum permissible number of gaming
machines available for gaming in the State;
(b) the maximum permissible number of gaming
machines available for gaming in any
approved venue in the State or a specified
part of the State;
(c) the proportion of gaming machines to be
located outside the Melbourne Statistical
Division;
(d) the bet limits to apply to gaming machines;
(e) the proportion of gaming machines to be
placed in premises in respect of which the
following are in force—
(i) a pub licence; or
(ii) a club licence; or
(iii) a racing club licence;
(f) the proportion of gaming machines that each
gaming operator is permitted to operate;
(g) the criteria that the Commission must apply
in determining whether to specify an area by
notice under section 3.5.29(3) or 3.5.30(2) of
this Act or section 62AB(4), 62AC(2) or
81AAB(2) of the Casino Control Act 1991;
s. 3.2.3
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(h) the conditions that the Commission must
specify in a notice referred to in
paragraph (g).
(2) The Minister must, in giving directions under this
section, comply with Part 5 of the Agreement, a
copy of which is set out in Schedule 1 to the
Casino (Management Agreement) Act 1993.
(3) The Minister may vary or revoke a direction by
further direction in writing to the Commission.
(4) The Commission must, as soon as possible after
receiving a direction under this section, cause
notice of the direction to be published in the
Government Gazette.
(5) The Commission is bound by a direction given
under this section.
(6) The Commission must publish in its annual report
all directions given by the Minister under this
section during the previous year.
3.2.4 Regional limits on gaming machines
(1) The Minister may from time to time, by order
published in the Government Gazette—
(a) determine regions in the State for the
purposes of this Chapter; and
(b) in respect of each region, specify the criteria
which the Commission must use to
determine the maximum permissible number
of gaming machines available for gaming in
the region.
(2) Within 60 days after an order under sub-
section (1) is published in the Government
Gazette, the Commission must, by instrument
published in the Government Gazette, and in
accordance with the specified criteria, determine
the maximum permissible number of gaming
machines available for gaming in a region
s. 3.2.4
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determined and in force under sub-section (1)(a)
but so that the total for the State does not exceed
the State limit.
(3) Within 7 days after publication of a determination
under sub-section (2), the Commission must—
(a) serve on each gaming operator a copy of the
determination; and
(b) give to each gaming operator a written
direction requiring compliance with the
regional limits determined under sub-
section (2) by any means specified by the
Commission in the direction.
(4) Without limiting sub-section (3)(b), a direction
under that sub-section may—
(a) require the number of gaming machines in a
region to be reduced by the gaming operators
on a pro rata or percentage basis or on any
other basis, subject to compliance with
directions given by the Minister and in force
under section 3.2.3(1)(e) or (f); or
(b) specify a period or date, being not later than
5 years after the date on which the direction
is given, within which or by which one or
more regional limits must be met.
(5) A gaming operator must comply with a direction
under sub-section (3) as soon as it takes effect.
(6) A direction takes effect when the direction is
given to the gaming operator or on a later date
specified in the direction.
(7) Not later than 5 years after the publication of a
determination under sub-section (2) and thereafter
at intervals not exceeding 5 years, the
Commission must—
(a) review the regional limits; and
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(b) if a regional limit is no longer appropriate,
determine, by instrument published in the
Government Gazette, a new regional limit in
accordance with the criteria specified under
sub-section (1)(b) but so that the total for the
State does not exceed the State limit.
(8) This section applies to a determination under sub-
section (7)(b) as if it were a determination under
sub-section (2).
3.2.5 No compensation payable
No compensation is payable by the State in
respect of any direction given or anything done
under or arising out of—
(a) any direction given by the Commission
under section 3.2.4; or
(b) any action taken by the Commission under
section 3.4.17(6); or
(c) any decision made by the Commission
arising out of an amendment proposed under
section 3.4.17(6).
_______________
s. 3.2.5
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PART 3—APPROVAL OF PREMISES FOR GAMING
Division 1—Introduction
3.3.1 Outline of Part
This Part sets out the procedure for obtaining the
following approvals from the Commission—
(a) approval of premises as suitable for gaming;
(b) approval for 24 hour gaming on any one or
more days.
Note: Premises cannot operate as an approved venue unless the
premises are approved under this Part as suitable for
gaming.
Division 2—Premises Approvals
3.3.2 Which premises may be approved as suitable for
gaming?
(1) An approval of premises as suitable for gaming
may be given for any premises to which one of the
following applies—
(a) a pub licence;
(b) a club licence;
(c) a racing club licence.
(2) Premises may be approved before a licence
referred to in sub-section (1) is granted or comes
into force, but in that case the approval does not
come into force until that licence comes into
force.
(3) Despite sub-section (1), an approval cannot be
given under this Part for prescribed premises or
premises of a prescribed class.
s. 3.3.1
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3.3.3 Which premises may be approved for 24 hour
gaming?
An approval of premises as suitable for gaming
may include an approval for 24 hour gaming on
the premises on any one or more days if—
(a) the premises are in the Melbourne Statistical
Division; and
(b) the pub licence or club licence that applies to
the premises authorises the supply of liquor
at any time.
3.3.4 Application for approval of premises
(1) The owner of premises or a person authorised by
the owner may apply to the Commission for the
approval of the premises as suitable for gaming.
(2) An application must be in the form approved by
the Commission and must be accompanied by the
prescribed fee.
(3) The application must contain or be accompanied
by—
(a) evidence of the applicant's interest in the
premises or any other relevant authorisation;
and
(b) any one of—
(i) a copy of a permit issued under the
Planning and Environment Act 1987
permitting the premises to be used for
gaming on gaming machines; or
(ii) other evidence that use of the premises
for gaming on gaming machines would
not contravene the planning scheme
that applies under the Planning and
Environment Act 1987; or
s. 3.3.3
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(iii) a copy of an application that has been
made in accordance with the Planning
and Environment Act 1987 for a
permit that, if granted, would permit the
premises to be used for gaming on
gaming machines; and
(c) any additional information the Commission
requests.
(4) If an application for approval of premises as
suitable for gaming includes an application for
approval of 24 hour gaming on the premises, the
application must also be accompanied by a
submission—
(a) on the net economic and social benefit that
will accrue to the community of the
municipal district in which the premises are
located as a result of the premises being open
for gaming for 24 hours; and
(b) taking into account the impact of the
proposal for approval on surrounding
municipal districts.
(5) The submission must be in the form approved by
the Commission and must include the information
specified in the form.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval of premises as
suitable for gaming.
3.3.5 Notification of responsible authority
Within 14 days after applying, the applicant must
send a copy of the application to the relevant
responsible authority within the meaning of the
Planning and Environment Act 1987.
s. 3.3.5
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3.3.6 Responsible authority may make submission
(1) The relevant responsible authority may make a
submission to the Commission on an application
for approval of premises—
(a) addressing the economic and social impact
of the proposal for approval on the well-
being of the community of the municipal
district in which the premises are located;
and
(b) taking into account the impact of the
proposal on surrounding municipal districts.
(2) A submission must be in the form approved by the
Commission and must include the information
specified in the form.
(3) A submission must be made within 60 days (or the
longer period allowed by the Commission) after
the responsible authority receives a copy of the
application.
3.3.7 Matters to be considered in determining
applications
(1) The Commission must not grant an application for
approval of premises as suitable for gaming unless
satisfied that—
(a) the applicant has authority to make the
application in respect of the premises; and
(b) the premises are or, on the completion of
building works will be, suitable for the
management and operation of gaming
machines; and
(c) the net economic and social impact of
approval will not be detrimental to the well-
being of the community of the municipal
district in which the premises are located.
s. 3.3.6
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(2) In particular, the Commission must consider
whether the size, layout and facilities of the
premises are or will be suitable.
(3) The Commission must also consider any
submission made by the relevant responsible
authority under section 3.3.6.
(4) If the relevant responsible authority does not make
a submission under section 3.3.6, the Commission
must seek the relevant authority's views on the
application and must consider those views (if any)
in determining the application.
3.3.8 Determination of application
(1) The Commission must determine an application
by either granting or refusing to grant—
(a) approval of the premises as suitable for
gaming; and
(b) if applicable, approval for 24 hour gaming
on the premises on any one or more days.
(2) An approval must specify—
(a) the number of gaming machines permitted;
and
(b) the gaming machine areas approved for the
premises; and
(c) if applicable, the days on which 24 hour
gaming is permitted on the premises.
(3) If the Commission approves 24 hour gaming on
any day, the Commission must cause notice of the
approval to be published in the Government
Gazette.
(4) The Commission must give written notice of its
decision on an application to—
(a) the applicant; and
s. 3.3.8
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(b) the relevant responsible authority, if that
authority made a submission under
section 3.3.6 on the application.
3.3.9 Conditions of approval
(1) It is a condition of every approval of premises
that, when the premises are an approved venue—
(a) there must be a continuous 4 hour break
from gaming after every 20 hours of gaming;
and
(b) there must not be more than 20 hours of
gaming each day.
(2) Sub-section (1) does not apply to premises on any
day or date specified in an approval of premises or
in a venue operator's licence as a day on which
24 hour gaming is permitted on the premises.
(3) An approval may be granted subject to—
(a) a condition that the approval does not take
effect until the Commission has notified the
applicant in writing that the premises have
been inspected for the purposes of
section 3.3.7(1)(b) and the Commission is
satisfied that the premises are suitable for the
management and operation of gaming
machines;
(b) a condition that the approval does not take
effect until the applicant satisfies the
Commission that—
(i) the applicant has obtained a permit
under the Planning and Environment
Act 1987 permitting the premises to be
used for gaming on gaming machines;
or
s. 3.3.9
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(ii) use of the premises for gaming on
gaming machines would not contravene
the planning scheme that applies under
the Planning and Environment Act
1987;
(c) any other conditions that the Commission
thinks fit.
(4) Without limiting the matters to which conditions
may relate, the conditions of an approval may
relate to any matter for which provision is made
by this Act but must not be inconsistent with a
provision of this Act.
3.3.10 Duration of approval
An approval of premises as suitable for gaming
remains in force until the approval is revoked or
surrendered.
3.3.11 Variation of approval
(1) The holder of an approval of premises must give
the Commission written particulars of any change
in the size or layout of the premises, without delay
after that change occurs.
(2) If the Commission is satisfied that the change in
the size or layout of the premises will not result in
the number of gaming machines for the premises
being increased, the Commission may, on the
application of the holder of the approval, vary the
approval to incorporate those changes.
3.3.12. Revocation of approval
(1) The Commission may serve on a person who is
the holder of an approval of premises under this
Part a notice in writing giving the person an
opportunity to show cause within 28 days why the
approval should not be revoked on the grounds
that the premises are, for reasons specified in the
s. 3.3.10
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notice, no longer suitable for the conduct of
gaming.
(2) The holder of the approval may, within the period
allowed by the notice, arrange with the
Commission for the making of submissions to the
Commission as to why the approval should not be
revoked and the Commission must consider any
submissions so made.
(3) The Commission may then revoke the approval if
the Commission sees fit and does so by giving
written notice of the revocation to the holder of
the approval.
(4) Revocation of approval under this section takes
effect when the notice is given or on a later date
specified in the notice.
3.3.13 Automatic revocation of approval
If a licence under the Liquor Control Reform
Act 1998 in respect of premises approved under
this Part—
(a) is cancelled, relocated, surrendered or
released, the approval of the premises under
this Part is immediately revoked; or
(b) is suspended for a period of time, the
approval of the premises under this Part is
immediately suspended for the same period.
3.3.14 Tribunal review of approval
(1) An applicant for approval of premises may apply
to the Tribunal for review of a decision of the
Commission on the application.
(2) A responsible authority that made a submission
under section 3.3.6 on an application for approval
of premises may apply to the Tribunal for review
of a decision of the Commission granting the
approval.
s. 3.3.13
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(3) An application for review must be made within
28 days after the later of—
(a) the day on which the decision is made;
(b) if, under the Victorian Civil and
Administrative Tribunal Act 1998, the
applicant or responsible authority requests a
statement of reasons for the decision, the day
on which the statement of reasons is given to
the applicant or responsible authority or the
applicant or responsible authority is
informed under section 46(5) of that Act that
a statement of reasons will not be given.
3.3.15 Surrender of approval
The holder of an approval under this Part may
surrender the approval by giving notice in writing
to the Commission.
Division 3—Modification of Gaming Machine Areas
3.3.16 Modification of gaming machine areas
(1) A venue operator must not modify a gaming
machine area in an approved venue without the
approval of the Commission.
Penalty: 100 penalty units.
(2) An application for approval must be accompanied
by the prescribed fee.
(3) The Commission may grant, with or without
conditions, or refuse to grant an application for
approval of modification of a gaming machine
area having regard to—
(a) the size, layout and facilities of the approved
venue; and
(b) any other matter that the Commission
considers relevant.
s. 3.3.15
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(4) A function of the Commission under this section
may be performed by any commissioner.
(5) This section does not apply to a venue operator
who is a casino operator.
3.3.17 Appeal
(1) If a decision to refuse to grant an application for
approval under section 3.3.16, or a decision to
grant an approval subject to conditions, is made
by a single commissioner, the venue operator may
appeal against the decision to the Commission
within 28 days of notification of the decision.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions;
(c) in the case of a decision to grant an
application subject to conditions—vary or
remove the conditions.
(4) The decision of the Commission on an appeal—
(a) must be notified in writing to the applicant;
(b) may include the reasons for the decision.
(5) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
_______________
s. 3.3.17
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PART 4—LICENSING OF OPERATORS, EMPLOYEES AND
TECHNICIANS AND LISTING OF MANUFACTURERS,
SUPPLIERS AND TESTERS
Division 1—Authority Conferred by Licences and Listing
3.4.1 Authority conferred by venue operator's licence
A venue operator's licence authorises the licensee,
subject to this Act and any conditions to which the
licence is subject—
(a) to obtain approved gaming machines from a
gaming operator; and
(b) to possess gaming equipment; and
(c) to manage and operate an approved venue;
and
(d) to do all things necessarily incidental to
carrying on the activities authorised by this
section.
3.4.2 Authority conferred by gaming operator's licence
A gaming operator's licence authorises the
licensee and the operator, subject to this Act and
any conditions to which the licence is subject—
(a) to obtain from a person listed on the Roll
approved gaming machines and restricted
components; and
(b) to manufacture approved gaming machines
and restricted components; and
(c) to supply approved gaming machines and
restricted components to venue operators;
and
(d) to conduct gaming at an approved venue; and
(e) to sell or dispose of gaming equipment with
the approval of the Commission; and
s. 3.4.1
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(f) to service, repair or maintain gaming
equipment through the services of licensed
technicians; and
(g) to do all things necessarily incidental to
carrying on the activities authorised by this
section.
3.4.3 Authority conferred by a special employee's licence
A special employee's licence authorises the
licensee, subject to this Act and any conditions to
which the licence is subject, to be employed or
work for a venue operator or gaming operator
carrying out prescribed duties.
3.4.4 Authority conferred by a technician's licence
(1) A technician's licence authorises the licensee,
subject to this Act and any conditions to which the
licence is subject—
(a) to service, repair or maintain gaming
equipment; and
(b) to test gaming equipment or games for the
purposes of the issue of certificates referred
to in section 3.5.4, 3.5.5 or 3.5.13; and
(c) to carry out prescribed duties.
(2) A technician's licence also authorises the licensee,
subject to any conditions to which the licence is
subject—
(a) to test gaming equipment (within the
meaning of the Casino Control Act 1991)
for the purposes of the issue of certificates
referred to in section 62 of that Act;
(b) to service, repair and maintain instruments,
contrivances, hardware, software or
equipment referred to in section 4.2.3 and to
test them for the purposes of the issue of
certificates referred to in that section;
s. 3.4.3
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(c) to service, repair and maintain interactive
gaming equipment and to test that equipment
for the purposes of the issue of certificates
referred to in section 7.4.4.
3.4.5 Authority conferred by listing on the Roll
A person whose name is listed on the Roll is
authorised, subject to this Act—
(a) to manufacture, sell or supply approved
gaming machines; and
(b) to manufacture, sell or supply restricted
components; and
(c) to enter into arrangements with gaming
operators to service, repair or maintain
gaming equipment through the services of
licensed technicians; and
(d) to enter into arrangements with
manufacturers or suppliers of gaming
equipment or games or gaming operators to
test gaming equipment or games for the
purposes of the issue of certificates referred
to in section 3.5.4, 3.5.5 or 3.5.13; and
(e) to enter into arrangements with persons
seeking approval of gaming equipment
(within the meaning of the Casino Control
Act 1991) to test the equipment for the
purposes of the issue of certificates referred
to in section 62 of that Act; and
(f) to enter into arrangements with the holder of
the wagering licence, the wagering operator
or the holder of an on-course wagering
permit to test instruments, contrivances,
hardware, software or equipment referred to
in section 4.2.3 for the purposes of the issue
of certificates referred to in that section; and
s. 3.4.5
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(g) to enter into arrangements with a licensed
provider to test interactive gaming
equipment for the purposes of the issue of
certificates referred to in section 7.4.4.
3.4.6 Offence to breach licence conditions
The holder of a venue operator's licence or a
gaming operator's licence must comply with all
conditions, if any, to which the licence is subject.
Penalty: 2500 penalty units.
3.4.7 Offence to breach condition of listing on Roll
A person whose name is listed on the Roll must
comply with all conditions, if any, to which the
listing is subject.
Penalty: 2500 penalty units.
Division 2—Venue Operator's Licence
3.4.8 Application for venue operator's licence
(1) A person may apply to the Commission for a
venue operator's licence.
(2) An application for a licence must—
(a) be in the form approved by the Commission;
and
(b) be accompanied by the prescribed fee; and
(c) contain or be accompanied by any additional
information the Commission requires.
(3) Within 14 days after making an application, the
applicant must cause to be published in a
newspaper circulating generally in Victoria a
notice containing—
(a) the prescribed information; and
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(b) a statement that any person may object to the
grant of the licence by giving notice in
writing to the Commission within 28 days
after the date of publication stating the
grounds for the objection.
(4) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a venue operator's
licence.
3.4.9 Gaming operator not to be venue operator
A gaming operator must not be granted, and must
not hold, a venue operator's licence.
3.4.10 Objections
A person may object to the grant of a venue
operator's licence, within the time specified in
section 3.4.8(3)(b), on any of the following
grounds—
(a) that the applicant or an associate of the
applicant is not of good repute having regard
to character, honesty and integrity;
(b) that the applicant or an associate of the
applicant has a business association with a
person, body or association who or which is
not of good repute having regard to
character, honesty and integrity;
(c) that a director, partner, trustee, executive
officer, secretary or any other officer or
person associated or connected with the
ownership, administration or management of
the conduct of gaming or business of the
applicant is not a suitable person to act in
that capacity.
s. 3.4.9
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3.4.11 Matters to be considered in determining
applications
(1) The Commission must not grant an application for
a venue operator's licence unless satisfied that—
(a) the grant of the licence does not conflict with
a direction, if any, given under section 3.2.3;
and
(b) the applicant, and each associate of the
applicant, is a suitable person to be
concerned in or associated with the
management and operation of an approved
venue; and
(c) in respect of each premises approved under
Part 3 that the applicant seeks to manage and
operate under the licence, the regional limit
will not be exceeded by the grant of the
application; and
(d) if the applicant's premises are situated within
100 metres of an approved venue of which
the applicant or an associate of the applicant
is the venue operator, the management and
operation of the approved venue and the
applicant's premises where the proposed
approved venue is to be situated are
genuinely independent of each other.
(2) In particular, the Commission must consider
whether—
(a) each applicant and associate of the applicant
is of good repute, having regard to character,
honesty and integrity;
(b) in the case of an applicant that is not a
natural person, the applicant has, or has
arranged, a satisfactory ownership, trust or
corporate structure;
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(c) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources;
(d) each director, partner, trustee, executive
officer and secretary and any other officer or
person determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operations or business of the applicant is a
suitable person to act in that capacity.
(3) The Commission must also consider every
objection made in accordance with section 3.4.10.
3.4.12 Determination of applications and duration of
licence
(1) The Commission must determine an application
by either granting or refusing the application and
must notify the applicant in writing of its decision.
(2) A licence may be granted subject to any
conditions that the Commission thinks fit and
must specify—
(a) the premises, if any, approved under Part 3
that the licensee is authorised to manage and
operate under the licence; and
(b) the number of gaming machines permitted in
each of the premises; and
(c) the gaming machine areas approved for each
of the premises.
s. 3.4.12
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(3) If the Commission has approved, under Part 3,
24 hour gaming on the premises on any day, the
Commission must specify that day in the venue
operator's licence.
(4) Without limiting the matters to which conditions
may relate, the conditions of a licence may relate
to any matter for which provision is made by this
Act but must not be inconsistent with a provision
of this Act.
(5) If an application is granted, the licence is granted
for a term of 5 years or any other term specified in
the licence, subject to the conditions and for the
venue specified in the licence.
3.4.13 Register of venue operators and approved venues
(1) The Commission must establish and cause to be
maintained a Register of Venue Operators and
Approved Venues.
(2) The Register must contain the following
information in relation to every venue operator—
(a) the name and address of the venue operator;
(b) the name and address of every associate of
the venue operator;
(c) the address of each approved venue;
(d) the number of gaming machines permitted in
each approved venue;
(e) the name and address of the nominee, if any,
at each approved venue;
(f) the days (if any) on which 24 hour gaming is
permitted at the approved venue.
s. 3.4.13
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3.4.14 Nominee of licensee
(1) Within 60 days, or the longer period allowed by
the Commission, after a venue operator that is a
body corporate is notified under section 3.4.12(1)
that it has been granted a licence, the venue
operator must—
(a) nominate, for each approved venue, a natural
person to be responsible as licensee on
behalf of the venue operator; and
(b) apply to the Commission for approval under
this section of the person nominated.
Penalty: 20 penalty units.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval under this
section.
(2) Within 60 days, or the longer period allowed by
the Commission, after the conditions of the
licence of a venue operator that is a body
corporate are amended by the addition of an
approved venue under section 3.4.17(1)(a), the
venue operator must—
(a) nominate, for that approved venue, a natural
person to be responsible as licensee on
behalf of the venue operator; and
(b) apply to the Commission for approval under
this section of the person nominated.
Penalty: 20 penalty units.
(3) Within 60 days, or the longer period allowed by
the Commission, after—
(a) a venue operator is notified by the
Commission of a refusal to approve a person
nominated under this section; or
s. 3.4.14
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(b) a person nominated by the venue operator
and approved by the Commission resigns, is
dismissed or ceases to manage or control the
approved venue—
the venue operator must nominate another natural
person to be responsible as licensee on behalf of
the venue operator and apply to the Commission
for approval of the person nominated.
Penalty: 20 penalty units.
(4) A person nominated by a venue operator and
approved by the Commission under this section is
liable under this Act as licensee in respect of the
approved venue for which he or she was
nominated.
(5) If a venue operator that is a body corporate does
not have a person who has been approved by the
Commission under this section managing or
controlling an approved venue, the directors or
members of the committee of management of the
body corporate (as the case requires) are severally
liable under this Act as licensee.
(6) The Commission may refuse to approve a person
nominated under this section unless satisfied that
the person nominated, and each associate of the
person, is a suitable person to be concerned in or
associated with the management and operation of
an approved venue.
(7) In particular, the Commission must consider
whether—
(a) the person nominated and each associate of
the person nominated is of good repute,
having regard to character, honesty and
integrity;
(b) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
s. 3.4.14
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the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources.
(8) The Commission must determine an application
by either approving or refusing to approve the
person nominated and must notify the applicant in
writing of its decision.
(9) The nomination and approval by the Commission
of a person under this section does not limit the
liability of a venue operator under this Act whilst
that person is a nominee.
(10) A function of the Commission under this section
may be performed by any commissioner.
3.4.15 Venue operator's licence is non-transferable
A venue operator's licence is not transferable to
any other person or, subject to section 3.4.17,
venue.
3.4.16 Renewal of venue operator's licence
(1) The holder of a venue operator's licence may, not
earlier than 9 months before the expiration of the
current licence, apply to the Commission for a
new licence, in which case—
(a) the current licence continues in force, unless
sooner cancelled or surrendered, until the
new licence is issued or its issue is refused;
and
(b) if issued, the new licence must be taken to
have been granted on the day on which the
current licence was due to expire and must
be dated accordingly.
(2) An application for a new licence must be made in
or to the effect of a form approved by the
Commission and must be accompanied by the
prescribed fee.
s. 3.4.15
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(3) This Act (except section 3.4.8(3)) applies to and
in relation to—
(a) an application under this section for a new
licence; and
(b) the determination of such an application; and
(c) any licence issued as a result of such an
application—
as if the application has been made by a person
other than a venue operator.
3.4.17 Amendment of conditions
(1) The conditions of a venue operator's licence,
including—
(a) the addition or removal of an approved
venue; and
(b) variation of the number of gaming machines
permitted in an approved venue; and
(c) variation of the gaming machine areas
approved for an approved venue; and
(d) variation of the days or dates on which
24 hour gaming is permitted in an approved
venue under the licence—
may be amended in accordance with this Division.
(2) A venue operator's licence may be amended in
accordance with this Division to add a condition
specifying days or dates on which 24 hour gaming
is permitted in an approved venue, when none
currently takes place.
(3) An amendment referred to in sub-section (1)(d)
or (2) may only be proposed for an approved
venue—
(a) in the Melbourne Statistical Division; and
s. 3.4.17
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(b) in respect of which a pub licence or club
licence authorises the supply of liquor at any
time.
(4) An amendment may be proposed—
(a) by the venue operator by requesting the
Commission in writing, in accordance with
section 3.4.18, to make the amendment and
giving reasons for the request; or
(b) by the Commission by giving notice in
writing of the proposed amendment and
giving reasons to the venue operator.
(5) For the purpose of complying with a regional
limit, the gaming operator who supplies gaming
machines to a venue operator may request the
Commission in writing to propose an amendment
of the conditions of that venue operator's licence
by varying the number of gaming machines
permitted in an approved venue.
(6) If the Commission is satisfied that an amendment
referred to in sub-section (5) is required to
implement a regional limit, the Commission must
propose the amendment in accordance with sub-
section (4)(b).
(7) An amendment proposed by the Commission must
be—
(a) in the public interest; or
(b) for the proper conduct of gaming; or
(c) for the purpose of implementing a regional
limit.
3.4.18 Proposal of amendment by venue operator
(1) A request by a venue operator for an amendment
of licence conditions—
(a) must be in the form approved by the
Commission; and
s. 3.4.18
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(b) must be accompanied by the prescribed fee
and any information the Commission
requires; and
(c) in the case of an amendment referred to in
section 3.4.17(1)(d) or (2) or an amendment
to increase the number of gaming machines
permitted in an approved venue, must be
accompanied by a submission—
(i) on the net economic and social benefit
that will accrue to the community of the
municipal district in which the
approved venue is located as a result of
the proposed amendment; and
(ii) taking into account the impact of the
proposed amendment on surrounding
municipal districts—
in the form approved by the Commission and
including the information specified in the
form.
(2) If an amendment proposed by a venue operator is
to increase the number of gaming machines
permitted in an approved venue, the venue
operator must send to the municipal council of the
municipal district in which the approved venue is
located a copy of the proposed amendment within
14 days after the proposal is made.
(3) Sections 10.4.5 and 10.4.6 apply to a request by
the venue operator for an amendment as if the
request were an application for a venue operator's
licence.
3.4.19 Submissions on proposed amendments
(1) Within 60 days (or the longer time allowed by the
Commission) after receiving a copy of a request
for an amendment referred to in section 3.4.18(2),
a council may make a submission to the
Commission—
s. 3.4.19
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(a) addressing the economic and social impact
of the proposed amendment on the well-
being of the community of the municipal
district in which the approved venue is
located; and
(b) taking into account the impact of the
proposed amendment on surrounding
municipal districts.
(2) A submission under sub-section (1) must be in the
form approved by the Commission and must
include the information specified in the form.
(3) The Commission must give the venue operator at
least 28 days to make any other submissions to the
Commission concerning any proposed amendment
(whether proposed by the Commission or the
venue operator) and must consider the
submissions made.
(4) The venue operator may waive the right under
sub-section (3) to make submissions concerning a
proposed amendment by giving notice in writing
signed by the venue operator to the Commission.
(5) The Commission must consider any submissions
made in accordance with this section.
3.4.20 Consideration and making of amendment
(1) Without limiting the matters which the
Commission may consider in deciding whether to
make a proposed amendment, the Commission
must not amend a venue operator's licence
unless—
(a) the Commission is satisfied that the
amendment of the licence does not conflict
with a direction, if any, given under
section 3.2.3; and
s. 3.4.20
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(b) if the proposed amendment will result in an
increase in the number of gaming machines
permitted in an approved venue, the
Commission is satisfied that the regional
limit for gaming machines for the region in
which the approved venue is located will not
be exceeded by the making of the
amendment; and
(c) if the proposed amendment will result in an
increase in the number of gaming machines
permitted in an approved venue, the
Commission is satisfied that the net
economic and social impact of the
amendment will not be detrimental to the
well-being of the community of the
municipal district in which the approved
venue is located; and
(d) if premises are proposed to be added to the
licence as an approved venue and the
premises are situated within 100 metres of an
approved venue of which the applicant for
the amendment, or an associate of the
applicant, is the venue operator, the
Commission is satisfied that the management
and operation of the approved venue and the
proposed approved venue are genuinely
independent of each other.
(2) The Commission must decide whether to make the
proposed amendment, either with or without
changes from that originally proposed, and must
notify the venue operator of its decision.
(3) If the Commission makes an amendment referred
to in section 3.4.17(1)(d) or (2)—
(a) the amendment may be made subject to any
conditions that the Commission thinks fit;
and
s. 3.4.20
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(b) the Commission must cause notice of the
amendment to be published in the
Government Gazette.
(4) An amendment takes effect when notice of the
Commission's decision is given to the venue
operator or on any later date that may be specified
in the notice.
3.4.21 Tribunal review of amendment increasing number
of gaming machines
(1) A venue operator who requested an amendment
referred to in section 3.4.18(2) may apply to the
Tribunal for review of a decision of the
Commission on the proposed amendment.
(2) A council that made a submission under
section 3.4.19 on a proposed amendment referred
to in section 3.4.18(2) may apply to the Tribunal
for review of a decision of the Commission
granting the proposed amendment.
(3) An application for review must be made within
28 days after the later of—
(a) the day on which the decision is made;
(b) if, under the Victorian Civil and
Administrative Tribunal Act 1998, the
venue operator or council requests a
statement of reasons for the decision, the day
on which the statement of reasons is given to
the venue operator or council or the venue
operator or council is informed under
section 46(5) of that Act that a statement of
reasons will not be given.
s. 3.4.21
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3.4.22 Notification of certain applications concerning
liquor licence
(1) The venue operator or applicant for a venue
operator's licence must give notice in writing to
the Commission if any of the following occurs—
(a) an application is made under Division 4 of
Part 2 of the Liquor Control Reform Act
1998 for the grant, variation, transfer or
relocation of a licence or BYO permit under
that Act in respect of an approved venue;
(b) an application is made under section 63 of
the Liquor Control Reform Act 1998 for
the surrender of a licence or BYO permit in
respect of an approved venue;
(c) an application is made under section 64 of
the Liquor Control Reform Act 1998 for
the release of a licensee or permittee from
their obligations under that Act in respect of
licensed premises that are an approved
venue;
(d) a partner's name is removed from a licence
or BYO permit under section 65 of the
Liquor Control Reform Act 1998 in
respect of licensed premises that are an
approved venue;
(e) an application is made for an inquiry under
Division 1 of Part 6 of the Liquor Control
Reform Act 1998 in respect of a licensee or
permittee of licensed premises that are an
approved venue;
(f) an application for cancellation or suspension
of a licence or BYO permit is made under
Division 2 of Part 6 of the Liquor Control
Reform Act 1998 in respect of licensed
premises that are an approved venue;
s. 3.4.22
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(g) an application is made under section 104 of
the Liquor Control Reform Act 1998 for
approval of a person as a director of a
licensee or permittee of premises that are an
approved venue.
(2) If a licence under the Liquor Control Reform
Act 1998 in respect of an approved venue is
cancelled, transferred, relocated, surrendered or
released, the venue operator's licence is
immediately amended to remove the premises that
were the approved venue.
3.4.23 Notification of certain changes
(1) A venue operator must give notice in writing to
the Commission if any of the following occurs—
(a) in the case of a venue operator that is an
incorporated association—
(i) the passing of a special resolution by
the incorporated association to
amalgamate with another incorporated
association;
(ii) the passing of a special resolution by an
incorporated association to convert
itself into a company under the
Corporations Act;
(b) in the case of a venue operator that is an
unincorporated body, the passing of a
resolution by the body to authorise the body
to become a body corporate;
(c) if the venue operator is one of 2 or more
clubs applying for an amalgamated club
licence under section 67(1) of the Liquor
Control Reform Act 1998, the making of
that application.
s. 3.4.23
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(2) A person who has made an application under
section 80 or 90 of the Liquor Control Reform
Act 1998 in respect of licensed premises that are
an approved venue must notify the Commission of
the application.
3.4.24 Endorsement of licence and Register
(1) The Commission may endorse a venue operator's
licence to do one or both of the following—
(a) to amend the name and address of the venue
operator;
(b) to include premises as an approved venue.
(2) The Commission may endorse a venue operator's
licence with the change of the name of the venue
operator to the name of any of the persons referred
to in sub-section (3)(a) or a person nominated by a
person referred to in sub-section (3)(a).
(3) The Commission must not endorse a licence under
this section unless the Commission is satisfied
that—
(a) the endorsement is made at the request of, or
with the approval of, one of the following—
(i) the licensee;
(ii) a natural person or a managing
committee holding the licence on
behalf of an unincorporated body;
(iii) the legal personal representative of the
licensee;
(iv) if the licensee has become a represented
person under the Guardianship and
Administration Act 1986, the guardian
or administrator appointed in respect of
the licensee;
s. 3.4.24
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(v) the official receiver, trustee or assignee
of a licensee who becomes insolvent
under administration;
(vi) a person who is administering a
licensee that is an externally-
administered body corporate;
(vii) a person whose name has been or will
be endorsed on the licence under Part 4
or Part 6 of the Liquor Control
Reform Act 1998 in respect of licensed
premises that are an approved venue in
a licence under this Act;
(viii) an incorporated association formed on
the amalgamation of one or more
incorporated associations, one of which
was the licensee; and
(b) any person who, as a result of the
endorsement, will be or become an associate
of the person endorsed on the licence is at
the time of endorsement approved by the
Commission as an associate under a gaming
Act;
(c) having regard to the purpose of this Act, the
endorsement of the licence would not be
contrary to the public interest;
(d) the endorsement is necessary to provide for
continuity of the licence in circumstances
other than where the licence has expired by
effluxion of time.
(4) An endorsement of a licence takes effect on and
from—
(a) the date of the decision of the Commission to
endorse the licence; or
s. 3.4.24
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(b) any later date—
(i) that is specified by the Commission; or
(ii) that is the date when all of the
conditions specified by the Commission
as a pre-requisite to the endorsement
taking effect have been satisfied.
(5) A person who is endorsed as the venue operator
under this section is to be taken to be the venue
operator on and from the date the endorsement
takes effect.
(6) If a licence is endorsed to include premises as an
approved venue the licence is to be taken to
include those premises as an approved venue on
and from the date the endorsement takes effect.
(7) The Commission may endorse a licence subject to
any conditions imposed by the Commission.
(8) If the Commission endorses a licence under this
section, it must make a corresponding
endorsement in any relevant entry in the Register.
(9) A function of the Commission under this section
may be performed by any commissioner.
3.4.25 Disciplinary action against venue operator
(1) In this section—
"disciplinary action", against a venue operator,
means any of the following—
(a) the cancellation or suspension of the
venue operator's licence;
(b) the variation of the terms of the venue
operator's licence;
(c) the issuing of a letter of censure to the
venue operator;
(d) the imposition of a fine not exceeding
$50 000 on the venue operator;
s. 3.4.25
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"grounds for disciplinary action", in relation to
a venue operator, means any of the
following—
(a) that the venue operator's licence was
improperly obtained in that, at the time
the licence was granted, there were
grounds for refusing it;
(b) that the venue operator has failed to
provide information that the operator is
required by this Act to provide or has
provided information knowing it to be
false or misleading;
(c) that there have been repeated breaches
in the approved venue of rules made by
the Commission under section 3.5.23;
(d) that the venue operator has contravened
this Act and in the Commission's view
the contravention is so serious as to
warrant disciplinary action;
(e) that—
(i) the venue operator; or
(ii) if the venue operator is a body
corporate, an officer, director or
nominee of the venue operator; or
(iii) if the venue operator is the
managing committee for the time
being of a club, a member of that
committee—
has been convicted or found guilty of a
relevant offence;
(f) that the venue operator is, having
regard to the matters set out in
section 3.4.11(2), considered to be no
longer a suitable person to hold the
licence;
s. 3.4.25
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"relevant offence" means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence arising out of or in
connection with the management or
operation of an approved venue; or
(c) an indictable offence, or an offence
that, if committed in Victoria, would be
an indictable offence, the nature or
circumstances of which, in the opinion
of the Commission, relate to an
approved venue of the venue operator.
(2) The Commission may serve on a venue operator a
notice in writing giving the venue operator an
opportunity to show cause within 28 days why
disciplinary action should not be taken on grounds
for disciplinary action specified in the notice.
(3) The venue operator, within the period allowed by
the notice, may arrange with the Commission for
the making of submissions to the Commission as
to why disciplinary action should not be taken and
the Commission must consider any submissions
so made.
(4) The Commission may then take disciplinary
action against the venue operator as the
Commission sees fit and does so by giving written
notice of the disciplinary action to the venue
operator.
(5) If the disciplinary action is the cancellation,
suspension or variation of the terms of the venue
operator's licence, it takes effect when the notice
under sub-section (4) is given or at a later time
specified in the notice.
(6) If the disciplinary action is the imposition of a
fine, the fine may be recovered as a debt due to
the State.
s. 3.4.25
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(7) This section does not apply to a venue operator
who is a casino operator.
3.4.26 Letter of censure
(1) Disciplinary action taken by the Commission
under section 3.4.25(4) in the form of a letter of
censure may censure the venue operator in respect
of any matter connected with the operation of the
approved venue and may include a direction to the
venue operator to rectify within a specified time
any matter giving rise to the censure.
(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
venue operator, cancel, suspend or vary the terms
of the venue operator's licence without giving the
venue operator a further opportunity to be heard.
3.4.27 Suspension of venue operator's licence pending
criminal proceedings
(1) The Commission may suspend a venue operator's
licence by notice in writing given to the venue
operator if the Commission is satisfied that—
(a) the venue operator; or
(b) if the venue operator is a body corporate, an
officer, director or nominee of the venue
operator; or
(c) if the venue operator is the managing
committee for the time being of a club, a
member of that committee—
has been charged with a relevant offence (within
the meaning of section 3.4.25).
(2) The Commission may, at any time, terminate or
reduce a period of suspension imposed under sub-
section (1).
s. 3.4.26
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(3) A venue operator's licence is of no effect for the
purposes of section 3.2.1 while it is suspended but
the suspension does not affect its operation for
any other purposes.
(4) This section does not apply to a venue operator
who is a casino operator.
3.4.28 Provisional venue operator's licence
(1) The Commission may grant a provisional venue
operator's licence to a person.
(2) A provisional licence expires at the end of 90 days
after its grant but may be renewed for a further
period or successive periods of 90 days.
(3) A provisional licence may only be granted under
sub-section (1) to enable an application for a
venue operator's licence to be made.
(4) A function of the Commission under this section
may be performed by any commissioner.
Division 3—Gaming Operator's Licence
3.4.29 Gaming operator's licence
The Commission, on application by the Trustees
or any other person, may grant a gaming
operator's licence to the Trustees or other person.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a gaming operator's
licence.
3.4.30 Premium payment
(1) Before a licence is granted under section 3.4.29,
the applicant must pay to the Treasurer as
consideration for the grant of the licence the
amount determined by the Treasurer as the
premium payment.
(2) The premium payment is a tax.
s. 3.4.28
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3.4.31 Matters to be considered in determining grant of
licence
(1) The Commission must not grant a gaming
operator's licence unless satisfied that the
proposed licensee, and each associate of the
proposed licensee, is a suitable person to be
concerned in or associated with a business of
obtaining, installing, maintaining, repairing and
monitoring gaming machines.
(2) In particular, the Commission must consider
whether—
(a) each proposed licensee and associate of the
proposed licensee is of good repute, having
regard to character, honesty and integrity;
(b) each person is of sound and stable financial
background;
(c) in the case of a proposed licensee that is not
a natural person, the proposed licensee has,
or has arranged, a satisfactory ownership,
trust or corporate structure;
(d) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources;
(e) each director, partner, trustee, executive
officer and secretary and any other officer or
person determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operations or business of the proposed
licensee is a suitable person to act in that
capacity;
s. 3.4.31
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(f) the proposed licensee has, or is able to
obtain, financial resources that are adequate
to ensure the proposed licensee's financial
viability as a gaming operator;
(g) the proposed licensee has sufficient business
ability to establish and maintain a business of
successful gaming operator.
(3) Also, the Commission must be satisfied that the
proposed licensee will have in place an adequate
electronic monitoring system for detecting
significant events associated with each gaming
machine, including a system for continuous on-
line real time recording, monitoring and control of
significant game play transactions.
(4) For the purposes of sub-section (3), "significant
game play transactions" are as prescribed.
(5) Section 3.4.12 (except sub-section (5)) applies,
with any necessary modification, to the grant of a
gaming operator's licence.
3.4.32 Duration of licence
A gaming operator's licence is granted for the
term specified by the Minister.
3.4.33 Entitlement of former licensee on grant of new
licence
(1) If—
(a) a gaming operator's licence held by a person
("the former licensee") expires; and
(b) the Commission grants a gaming operator's
licence to a person other than the former
licensee, or a related entity of the former
licensee, being a licence that commences
within 6 months after that expiry; and
s. 3.4.32
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(c) the Commission does not grant a gaming
operator's licence before the expiration of
that period to the former licensee or a related
entity of the former licensee—
the former licensee is entitled to be paid an
amount equal to the licence value of the licence
held by the former licensee or the premium
payment paid by the holder of the licence referred
to in paragraph (b), whichever is the lesser.
(2) The payment under sub-section (1) must be made
not later than 30 days after the commencement of
the new licence and the Consolidated Fund is
appropriated to the necessary extent for the
payment to be made.
(3) In this section, "licence value", in relation to the
gaming operator's licence held by the former
licensee, means the amount determined in
accordance with the formula—
A 000 000 $520 ×
where—
(a) A is the amount calculated in accordance
with the formula—
000 000 705 $13
B
where—
B is the aggregate sum of the actual daily
net cash balance (within the meaning of
section 3.6.2) of gaming machines of the
former licensee for each day from and
including 1 January 1995 to and
including the last day of the period of the
former licence—
but—
s. 3.4.33
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(b) if the amount so calculated is less than 0⋅25,
A is 0⋅10;
(c) if the amount so calculated is more than 0⋅25
and less than 0⋅45, A is 0⋅45;
(d) if the amount so calculated is more than 0⋅45
but less than 0⋅85, A is 0⋅85;
(e) if the amount so calculated is more than
1⋅15, A is 1⋅15.
3.4.34 Amendment of conditions
The conditions of a gaming operator's licence
(other than the term) may be amended by the
Governor in Council with the consent of the
gaming operator.
3.4.35 Gaming operator's licence is non-transferable
A gaming operator's licence is not transferable to
any other person.
3.4.36 Disciplinary action
(1) In this section—
"disciplinary action", against the holder of a
gaming operator's licence, means—
(a) the reprimanding of the licence holder;
or
(b) the imposition of a fine not exceeding
$5 000 000 on the licence holder.
(2) If the Commission is satisfied that the licence
holder or the operator has committed a breach—
(a) of a condition of the licence; or
(b) of a gaming Act or gaming regulations—
the Commission may give notice to the licence
holder to show cause why the Commission should
not take disciplinary action against the licence
holder.
s. 3.4.34
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(3) If the licence holder, within 7 days or such longer
period as the Commission allows, does not—
(a) remedy the breach or cause the breach to be
remedied; or
(b) if the breach cannot be remedied, satisfy the
Commission that steps have been taken to
ensure a similar breach does not occur
again—
the Commission, after giving the licence holder an
opportunity to be heard, may take disciplinary
action against the licence holder and does so by
giving written notice of the disciplinary action to
the licence holder.
(4) If the disciplinary action is the imposition of a
fine, the fine may be recovered as a debt due to
the State.
3.4.37 Cancellation of gaming operator's licence
(1) The Commission, with the consent of the
Minister, may apply to the Supreme Court for
cancellation of a gaming operator's licence.
(2) On an application under sub-section (1), the
Supreme Court may cancel the licence if it is
satisfied—
(a) that the licence holder or the operator—
(i) has committed a material breach of a
term or condition of the licence or of a
gaming Act or gaming regulations; or
(ii) has persistently committed breaches of
terms or conditions of a gaming
operator's licence or of a gaming Act or
gaming regulations—
and that disciplinary action under
section 3.4.36 is not, in all the circumstances,
a sufficient sanction; or
s. 3.4.37
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(b) if the licence holder is a natural person, that
the licence holder is an insolvent under
administration; or
(c) if the licence holder is not a natural person,
that—
(i) on an application under section 459P of
the Corporations Act, the Court would
be required under section 459C(2) of
that Act to presume that the licence
holder is insolvent; or
(ii) the licence holder is an externally-
administered body corporate; or
(iii) the licence holder is not a Victorian
company; or
(d) that the licence holder or the operator has
been convicted of an offence which is of
sufficient magnitude to warrant cancellation
of the licence; or
(e) if the licence holder is not a body corporate,
that the licence holder does not have a
principal place of business in Victoria; or
(f) that the licence holder is not carrying on a
significant gaming business in Victoria; or
(g) that the licence holder or the operator is
involved in a scheme or arrangement the
purpose, or one of the purposes, of which is
the avoidance of tax under Part 6.
s. 3.4.37
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Division 4—Special Employee's Licence
3.4.38 Definitions
In this Division—
"licensee" means the holder of a special
employee's licence;
"special employee" means a natural person
who—
(a) is employed or working in an approved
venue carrying out prescribed duties; or
(b) is employed by or working for a
gaming operator carrying out
prescribed duties.
3.4.39 Special employees to be licensed
(1) A person must not exercise any of the functions of
a special employee except in accordance with the
authority conferred on the person by a special
employee's licence.
Penalty: 60 penalty units or imprisonment for
3 months or both.
(2) A venue operator or gaming operator or licensee
must not—
(a) employ or use the services of a person to
perform any function of a special employee;
or
(b) allocate, or permit or allow to be allocated,
to a person the exercise of any function of a
special employee—
unless the person is authorised by a special
employee's licence to exercise the function
concerned.
Penalty: 60 penalty units.
s. 3.4.38
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3.4.40 Application for special employee's licence
(1) A natural person may apply to the Commission
for a special employee's licence.
(2) However, an application cannot be made by—
(a) a minor; or
(b) a person within a class of persons prescribed
as being ineligible to apply for a special
employee's licence.
(3) An application for a special employee's licence
must be in the form approved by the Commission
and must be accompanied by—
(a) the prescribed fee; and
(b) the documents, if any, that may be specified
by the Commission and required in the form
of application.
(4) If a requirement under this section is not complied
with, the Commission may refuse to consider the
application concerned.
(5) A function of the Commission under this section
may be performed by any commissioner.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a special employee's
licence.
3.4.41 Determination of applications
(1) The Commission must consider an application for
a special employee's licence and must take into
account any submission made by the applicant
within the time allowed and must make an
assessment of—
(a) the integrity, responsibility, personal
background and financial stability of the
applicant; and
s. 3.4.40
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(b) the general reputation of the applicant having
regard to character, honesty and integrity;
and
(c) the suitability of the applicant to perform the
type of work proposed to be performed by
the applicant as a licensee.
(2) The Commission must determine the application
by either issuing a special employee's licence to
the applicant or refusing the application and must
notify the applicant in writing accordingly.
(3) The Commission is not required to give reasons
for the decision but may give reasons if he or she
thinks fit.
(4) A special employee's licence must specify the
licensee's name and the authority given by the
licence, including the type of work that may be
performed under the licence.
(5) A function of the Commission under this section
may be performed by any commissioner.
3.4.42 Conditions of special employee's licence
(1) A special employee's licence is subject to—
(a) any condition imposed by the Commission
and notified to the licensee on the issue of
the licence or during its currency; and
(b) the conditions specified in sub-section (3).
(2) A condition of a special employee's licence (other
than a condition specified in sub-section (3)) may
be varied or revoked by the Commission whether
or not on application made to the Commission by
the licensee.
s. 3.4.42
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(3) Every special employee's licence is subject to the
following conditions—
(a) the licensee must not participate in gaming—
(i) while on duty (including intervals for
meals and other rostered breaks arising
in the course of duty) other than as
required in the course of his or her
employment; or
(ii) at any time when the approved venue is
closed to the public;
(b) the licensee must comply with the
requirements of a notice under
section 3.4.53.
(4) A licensee must not contravene a condition of his
or her licence.
Penalty: 60 penalty units.
(5) If a licensee is found guilty of contravening the
condition specified in sub-section (3)(a)(ii),
section 3.5.22(2) and (3) apply as if the offence
had been against section 3.5.22(1).
(6) A function of the Commission under this section
may be performed by any commissioner.
3.4.43 Appeal
(1) If a decision to refuse to grant an application for a
special employee's licence, or a decision to grant a
special employee's licence subject to conditions, is
made by a single commissioner, the applicant may
appeal against the decision to the Commission
within 28 days of notification of the decision.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
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(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions; or
(c) in the case of a decision to grant an
application subject to conditions—vary or
remove the conditions.
(4) The decision of the Commission on an appeal—
(a) must be notified in writing to—
(i) the applicant; and
(ii) the venue operator or gaming operator
who employs or proposes to employ the
applicant, if the Commission knows
who this is; and
(b) may include the reasons for the decision.
(5) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
3.4.44 Identification of special employees
(1) A special employee must at all times while on
duty wear identification of a kind approved by the
Commission in such manner as to be visible to
other people.
(2) Identification worn by a special employee in
compliance with the Private Agents Act 1966 is
sufficient compliance with this section.
(3) The Commission may issue replacement
identification to a special employee whose
identification has been lost or destroyed.
s. 3.4.44
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(4) An application for replacement identification must
be accompanied by—
(a) a statutory declaration as to the
circumstances in which the identification
was lost or destroyed; and
(b) the prescribed fee, if any.
(5) A function of the Commission under this section
may be performed by any commissioner.
3.4.45 Provisional special employee's licences
(1) The Commission may, pending a decision on an
application for a special employee's licence, grant
the applicant a provisional special employee's
licence.
(2) A provisional licence is subject to any conditions
or restrictions of which the provisional licensee is
notified by the Commission when issuing the
provisional licence.
(3) A provisional licence may be cancelled by the
Commission at any time and, unless sooner
surrendered or cancelled, ceases to have effect on
the approval or refusal of the provisional
licensee's application for a special employee's
licence.
(4) This Act applies to a provisional special
employee's licence in the same way as it applies to
a special employee's licence (to the extent that is
consistent with this section).
(5) A function of the Commission under this section
may be performed by any commissioner.
3.4.46 Duration of special employee's licence
A special employee's licence remains in force
until whichever of the following happens first—
(a) the licence is cancelled; or
s. 3.4.45
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(b) the licensee, by notice in writing, surrenders
the licence to the Commission; or
(c) the expiration of 10 years after the end of the
month in which the licence was granted.
3.4.47 Renewal of special employee's licence
(1) A licensee may, not earlier than one month before
the expiration of his or her current special
employee's licence, apply to the Director for a
new special employee's licence, in which case—
(a) the current licence continues in force until
the new licence is issued or its issue is
refused; and
(b) if issued, the new licence must be taken to
have been granted on the day on which the
current licence was due to expire and must
be dated accordingly.
(2) An application for a new licence must be made in
a form approved by the Commission and must be
accompanied by the prescribed fee.
(3) This Act (except provisions relating to the form of
an application or the issue of a provisional
licence) applies to and in relation to—
(a) an application under this section for a new
licence; and
(b) the determination of such an application; and
(c) any licence issued as a result of such an
application—
as if the application has been made by a person
other than a licensee.
(4) A function of the Commission under this section
may be performed by any commissioner.
s. 3.4.47
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3.4.48 Disciplinary action
(1) In this section—
"disciplinary action" in relation to a licensee,
means any of the following—
(a) the service of a written notice on the
licensee censuring him or her for any
action specified in the notice;
(b) variation of the special employee's
licence;
(c) suspension of the licence for a specified
period;
(d) cancellation of the licence;
(e) cancellation of the licence and
disqualification from obtaining or
applying for a licence or permit under a
gaming Act for a specified period not
exceeding 4 years;
"grounds for disciplinary action" means any of
the following grounds in respect of a
licensee—
(a) that his or her special employee's
licence was improperly obtained in that,
when it was granted, there were
grounds for refusing it;
(b) that the licensee has been convicted or
found guilty of a relevant offence;
(c) that the licensee has contravened a
condition of the licence;
(d) that the licensee has failed to provide
information that he or she is required
by this Act to provide or has provided
information knowing it to be false or
misleading;
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(e) that the licensee has become an
insolvent under administration;
(f) that for any reason, the licensee is not a
suitable person to be the holder of the
licence;
"relevant offence", in relation to a licensee,
means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence arising out of or in
connection with the employment of the
licensee under a gaming Act; or
(c) an offence (wherever occurring)
involving fraud or dishonesty
punishable on conviction by
imprisonment for 3 months or more
(whether or not in addition to a fine).
(2) The Commission may serve on a licensee a notice
in writing giving the licensee an opportunity to
show cause within 28 days why disciplinary
action should not be taken on grounds for
disciplinary action specified in the notice.
(3) The licensee, within the period allowed by the
notice, may arrange with the Commission for the
making of submissions to the Commission as to
why disciplinary action should not be taken and
the Commission must consider any submissions
so made.
(4) If the Commission decides that there are grounds
for disciplinary action against a licensee, the
Commission may take the action and does so by
giving notice in writing of the action to the
licensee.
s. 3.4.48
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(5) The disciplinary action takes effect when the
notice is given or on a later date specified in the
notice.
3.4.49 Suspension of special employee's licence in
connection with criminal proceedings
(1) The Commission may suspend the special
employee's licence of a licensee by notice in
writing given to the licensee if the Commission is
satisfied that the licensee has been charged with,
found guilty of or convicted of a relevant offence
(within the meaning of section 3.4.48).
(2) A function of the Commission under this section
may be performed by any commissioner.
3.4.50 Effect etc. of suspension
(1) During any period of suspension of a special
employee's licence, the licensee is deemed not to
be the holder of a special employee's licence.
(2) The Commission may, at any time, terminate or
reduce a period of suspension of a special
employee's licence.
(3) A function of the Commission under this section
may be performed by any commissioner.
3.4.51 Return of licence on suspension or cancellation
If the special employee's licence of a licensee is
suspended or cancelled, the licensee must return
the licence to the Commission within 14 days
after the suspension or cancellation.
Penalty: 20 penalty units.
3.4.52 Termination of employment on suspension or
cancellation of licence
If a venue operator or gaming operator receives
written notice from the Commission that the
special employee's licence of an employee has
been suspended under section 3.4.48 or 3.4.49 or
s. 3.4.49
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cancelled, or has otherwise ceased to be in force,
the operator must, within 24 hours after receiving
the notice, terminate the employment that
constitutes the exercise of the functions of a
special employee or cause it to be terminated.
Penalty: 100 penalty units.
3.4.53 Licensee to provide information relating to licence
(1) The Commission, by notice in writing, may
require a licensee—
(a) to provide, in accordance with directions in
the notice, any information relevant to the
holding of his or her special employee's
licence that is specified in the notice; or
(b) to produce, in accordance with directions in
the notice, any records relevant to the
holding of the licence that are specified in
the notice and to permit examination of those
records and the making of copies of them.
(2) A function of the Commission under this section
may be performed by any commissioner.
3.4.54 Compulsory training for special employees
(1) A licensee must complete—
(a) an approved training course within the first
6 months after starting his or her
employment as a special employee; and
(b) an approved refresher course at least once
every 3 years following completion of the
approved training course.
(2) A venue operator must ensure that a person
employed by the venue operator as a special
employee does not perform any of the functions of
a special employee if the person has not complied
with sub-section (1).
Penalty: 20 penalty units.
s. 3.4.53
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(3) The Commission may, from time to time, approve
training courses and refresher courses for the
purposes of this section, being courses that relate
to the responsible provision of gaming.
(4) In this section—
"approved refresher course" means a refresher
course approved by the Commission under
sub-section (3);
"approved training course" means a training
course approved by the Commission under
sub-section (3).
Division 5—Technician's Licence
3.4.55 Definitions
In this Division—
"licensee" means the holder of a technician's
licence;
"technician" means a person who—
(a) services, maintains or repairs—
(i) gaming equipment; or
(ii) instruments, contrivances,
hardware, software or equipment
referred to in section 4.2.3; or
(iii) interactive gaming equipment; or
(b) tests—
(i) gaming equipment or games for
the purposes of the issue of
certificates referred to in
section 3.5.4, 3.5.5 or 3.5.13; or
(ii) gaming equipment (within the
meaning of the Casino Control
Act 1991) for the purposes of the
s. 3.4.55
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issue of certificates referred to in
section 62 of that Act; or
(iii) instruments, contrivances,
hardware, software or equipment
referred to in section 4.2.3 for the
purposes of the issue of
certificates referred to in that
section; or
(iv) interactive gaming equipment for
the purposes of the issue of
certificates referred to in
section 7.4.4; or
(c) performs other prescribed duties.
3.4.56 Only licensed technicians to repair etc. gaming
equipment
A venue operator or gaming operator must not—
(a) employ or use the services of a person to
perform any function of a technician in or in
relation to gaming equipment; or
(b) allocate or permit or suffer to be allocated to
a person the exercise of any function of a
technician in or in relation to gaming
equipment—
unless the person is authorised by a technician's
licence to exercise the function concerned.
Penalty: 250 penalty units.
3.4.57 Licensing procedure
The provisions of Division 4 (other than
section 3.4.54) apply, with any necessary
modification, to applications for technician's
licences and to licensees.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a technician's
licence.
s. 3.4.56
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3.4.58 Offences
(1) A person must not service, maintain or repair
gaming equipment or test gaming equipment or
games for the purposes of the issue of certificates
referred to in section 3.5.4, 3.5.5 or 3.5.13 unless
the person is a licensed technician.
Penalty: 250 penalty units or imprisonment for
12 months or both.
(2) A person must not employ, or cause to be
employed, another person to service, maintain or
repair gaming equipment or to test gaming
equipment or games for the purposes of the issue
of certificates referred to in section 3.5.4, 3.5.5 or
3.5.13 unless the second-mentioned person is a
licensed technician.
Penalty: 250 penalty units.
Division 6—Casino and Bingo Centre Employees
3.4.59 Special employee's licences and technician's licences
(1) A person who holds a casino special employee's
or a bingo centre employee's licence may apply to
the Commission for a special employee's licence
or a technician's licence.
(2) An application under sub-section (1) must be
accompanied by—
(a) the prescribed fee; and
(b) a certificate by the casino operator or bingo
centre operator who employs or employed
the applicant as to the competence of the
applicant to exercise the functions specified
in the certificate.
s. 3.4.58
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(3) If satisfied that the authority given to the applicant
by the casino special employee's licence or bingo
centre employee's licence (as the case may be) is
comparable to the authority conferred by a special
employee's licence or technician's licence, the
Commission may issue a special employee's
licence or technician's licence to the applicant.
(4) A function of the Commission under this section
may be performed by any commissioner.
Division 7—Roll of Manufacturers, Suppliers and Testers
3.4.60 The Roll
The Commission must cause a Roll of
Manufacturers, Suppliers and Testers to be kept.
3.4.61 Application to be listed on Roll
(1) A person may apply to the Commission to be
listed on the Roll if the person—
(a) manufactures, or intends to manufacture,
gaming machines or restricted components;
or
(b) supplies, or intends to supply, gaming
machines or restricted components to gaming
operators; or
(c) supplies or intends to supply testing services
to any of the following—
(i) gaming operators or manufacturers or
suppliers;
(ii) persons seeking approval of gaming
equipment (within the meaning of the
Casino Control Act 1991);
(iii) the holder of the wagering licence or
the wagering operator;
(iv) licensed providers.
s. 3.4.60
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(2) An application must—
(a) be in the form approved by the Commission
and be accompanied by the prescribed fee;
and
(b) contain or be accompanied by any additional
information the Commission requires.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for listing on the Roll.
(3) Within 14 days after making an application, the
applicant must cause to be published in a
newspaper circulating generally in Victoria and, if
the applicant's principal place of business is
situated outside Victoria (whether in or outside
Australia) in a newspaper circulating generally in
that place, a notice containing—
(a) the prescribed information; and
(b) a statement that any person may object to the
grant of the application by giving notice in
writing to the Commission within 28 days
after the date of publication stating the
grounds for the objection.
(4) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
(5) A function of the Commission under this section
(other than sub-section (4)) may be performed by
the Executive Commissioner.
3.4.62 Objections
(1) A person may object to the grant of an application
for listing on the Roll by giving notice in writing
to the Commission within the time specified in
section 3.4.61(3)(b).
(2) The notice must state the grounds for the
objection.
s. 3.4.62
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3.4.63 Determination of applications
(1) The Commission must determine an application
by either granting or refusing the application and
must notify the applicant in writing of the
decision.
(2) The application may be granted unconditionally or
subject to any conditions the Commission thinks
fit.
(3) Without limiting the matters that the Commission
may consider in determining whether or not to
grant an application, the Commission must
consider whether—
(a) the applicant and each associate of the
applicant is of good repute, having regard to
character, honesty and integrity; and
(b) each person is of sound and stable financial
background; and
(c) in the case of an applicant that is not a
natural person, the applicant has, or has
arranged, a satisfactory ownership trust or
corporate structure; and
(d) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources; and
(e) each director, partner, trustee, executive
officer and secretary and any other officer or
person determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operations or business of the applicant is a
suitable person to act in that capacity.
s. 3.4.63
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(4) In determining whether to grant an application by
a person referred to in section 3.4.61(1)(c), in
addition to the matters referred to in sub-
section (3), the Commission must consider—
(a) the technical competence of the applicant;
and
(b) whether the applicant has any connection to,
or relationship with, a supplier or
manufacturer listed on the Roll that would
make it inappropriate for the applicant to be
listed on the Roll.
(5) The Commission must also consider every
objection made in accordance with section 3.4.62.
(6) Except as otherwise provided in this Act no
appeal lies from the decision of the Commission.
3.4.64 Imposition and amendment of conditions
(1) A condition may be imposed on a person's listing
on the Roll in accordance with this section.
(2) The conditions of a person's listing on the Roll
may be amended in accordance with this section.
(3) A condition or an amendment may be proposed—
(a) by the person listed on the Roll by requesting
the Commission in writing to impose the
condition or to make the amendment and
giving reasons for the request; or
(b) by the Commission by giving notice in
writing of the proposed condition or
amendment and giving reasons to the person
listed on the Roll.
(4) A condition or amendment proposed by the
Commission must be in the public interest or for
the proper conduct of gaming.
s. 3.4.64
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(5) The Commission must give the person listed on
the Roll 28 days to make submissions to the
Commission concerning any proposed condition
or amendment (whether proposed by the
Commission or the person listed) and must
consider the submissions made.
(6) The person listed on the Roll may waive their
right under sub-section (5) to make submissions
concerning a proposed condition or amendment
by giving notice in writing signed by the person to
the Commission.
(7) The Commission must then decide whether to
impose the proposed condition or make the
proposed amendment (either as proposed or
substantially to the same effect as proposed) and
must notify the person listed on the Roll of its
decision.
(8) A condition or amendment takes effect when
notice of the Commission's decision is given to
the person listed on the Roll or on any later date
that may be specified in the notice.
3.4.65 Disciplinary action
(1) In this section—
"disciplinary action", in relation to a person
listed on the Roll, means any of the
following—
(a) removing the person's name from the
Roll;
(b) issuing a letter of censure to the person;
(c) imposing of a fine not exceeding
$5 000 000 on the person;
"grounds for disciplinary action", in relation to
a person listed on the Roll, means any of the
following—
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(a) that the listing was improperly obtained
in that, at the time the application for
listing was granted, there were grounds
for refusing it;
(b) that a change in the situation of the
person has taken place and they have
failed to notify the Commission in
accordance with section 3.8.1;
(c) that the person, or any associate of the
person, has been convicted of an
offence against this Act or, whether or
not in Victoria, of an offence involving
fraud or dishonesty punishable on
conviction by imprisonment for
3 months or more (whether or not in
addition to a fine);
(d) that the person has breached a condition
to which their listing is subject;
(e) that the person has provided
information required by this Act to be
provided, knowing it to be false or
misleading;
(f) that any machine or restricted
component manufactured or supplied
by the person is, in the opinion of the
Commission, unreliable or otherwise
unsatisfactory;
(g) that any testing of gaming equipment or
games by the person is unsatisfactory;
(h) that for any reason, having regard to the
matters set out in section 3.4.63(3) or
otherwise, the person is not a suitable
person to be listed on the Roll or an
associate of the person is not suitable to
be an associate of a person listed on the
Roll.
s. 3.4.65
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(2) The Commission may serve on a person listed on
the Roll a notice in writing giving the person an
opportunity to show cause within 28 days why
disciplinary action should not be taken on grounds
for disciplinary action specified in the notice.
(3) The person listed on the Roll, within the period
allowed by the notice, may arrange with the
Commission for the making of submissions to the
Commission as to why disciplinary action should
not be taken and the Commission must consider
any submissions so made.
(4) The Commission may then take disciplinary
action against the person listed on the Roll as the
Commission sees fit and does so by giving written
notice of the disciplinary action to the person.
(5) If the disciplinary action is the removal of the
person's name from the Roll, it takes effect when
the notice under sub-section (4) is given or at a
later time specified in the notice.
(6) If the disciplinary action is the imposition of a
fine, the fine may be recovered as a debt due to
the State.
3.4.66 Letter of censure
(1) Disciplinary action taken by the Commission
under section 3.4.65(4) in the form of a letter of
censure may censure the person listed on the Roll
in respect of any matter connected with the
person's business and may include a direction to
the person to rectify within a specified time any
matter giving rise to the censure.
(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
person, remove the person's name from the Roll
without giving the person a further opportunity to
be heard.
s. 3.4.66
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3.4.67 Voluntary removal from Roll
A person listed on the Roll may, by notice in
writing signed by the person, request the
Commission to remove the name of the person
from the Roll and if so, the Commission must
remove the name as requested.
3.4.68 Payments etc. to venue operator unlawful
(1) A person listed on the Roll (other than a gaming
operator) or an employee or associate of such a
person, must not make, either directly or
indirectly, payment to or confer a benefit on a
venue operator.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) A venue operator must not receive any benefit
whatsoever from a person listed on the Roll (other
than a gaming operator) or an employee or
associate of such a person.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(3) Sub-section (2) does not apply to a venue operator
who is a casino operator.
_______________
s. 3.4.67
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PART 5—CONTROL OF GAMING
Division 1—Manufacturing and Obtaining Gaming
Machines
3.5.1 Manufacture, sale, supply, obtaining or possession
of gaming machines
(1) A person must not manufacture, sell, supply,
obtain or be in possession of a gaming machine or
a restricted component except in accordance with
this Act.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) A person is guilty of an offence against this sub-
section if the person commits an offence against
sub-section (1) as part of a commercial enterprise.
Penalty: Imprisonment for 6 years.
(3) An offence against sub-section (2) is an indictable
offence.
(4) A person may manufacture, sell, supply, obtain or
be in possession of a gaming machine or restricted
component if—
(a) the machine or component is for use outside
Victoria; and
(b) the person has the written authority of the
Commission.
(5) The authority of the Commission—
(a) may be subject to any terms, conditions or
limitations that the Commission thinks fit;
and
(b) may be granted for any period determined by
the Commission; and
s. 3.5.1
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(c) may be renewed, with or without variation,
from time to time.
(6) For the purposes of this section, a person is to be
taken to be in possession of a gaming machine or
a restricted component if—
(a) the machine or component is in the physical
possession or custody or control of the
person or is on land or in premises occupied,
used or controlled by the person; or
(b) the person controls access, either solely or
jointly with other persons, to the machine.
(7) A function of the Commission under this section
may be performed by any commissioner.
3.5.2 Gaming machine contracts to be approved by
Commission
(1) In this section—
"contract" includes any kind of agreement or
arrangement;
"relevant contract" means a contract between a
gaming operator and a venue operator for the
supply and operation of gaming machines.
(2) A gaming operator must not enter into a relevant
contract unless the contract is—
(a) in accordance with a form approved by the
Commission; or
(b) approved by the Commission before it is
entered into.
Penalty: 100 penalty units.
(3) The Commission must not approve a relevant
contract if in the opinion of the Commission the
contract—
(a) is harsh and unconscionable; or
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(b) is not in the public interest; or
(c) jeopardises the integrity and conduct of
gaming; or
(d) is inconsistent with the objectives of this
Act; or
(e) contravenes this Act.
(4) A relevant contract entered into in contravention
of sub-section (2) is void.
Division 2—Controls over Gaming Machines and Games
3.5.3 Commission's standards for gaming machine types
and games
(1) The Commission, with the approval of the
Minister, may make and amend standards for
gaming machine types and games.
(2) Before making or amending a standard, the
Commission must consult—
(a) each manufacturer or supplier of gaming
machines who is listed on the Roll; and
(b) each gaming operator; and
(c) each casino operator.
(3) The Commission must—
(a) publish each standard, and each amendment
to a standard, on the Internet; and
(b) publish a notice of the making or amending
of each standard in the Government Gazette.
(4) A standard, or an amendment to a standard, comes
into force 6 months after the day on which the
notice is published under sub-section (3)(b) or at
the later time specified in the notice.
(5) A function of the Commission under this section
may be performed by any commissioner.
s. 3.5.3
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3.5.4 Approval of gaming machine types and games
(1) The Commission may, subject to payment of the
prescribed fee, accept for evaluation gaming
machine types and games.
(2) The Commission may require a person who
submits a gaming machine type or game under
sub-section (1) to provide any additional
information or material that the Commission
considers necessary for the evaluation.
(3) The Commission may approve or refuse to
approve a gaming machine type or a game, having
regard to—
(a) player return, game fairness and security and
responsible gambling; and
(b) any standards in force under section 3.5.3;
and
(c) the certificate of a person listed on the Roll,
being a person referred to in
section 3.4.61(1)(c).
(4) An approval under this section is subject to any
conditions imposed by the Commission.
3.5.5 Variation of gaming machine types and games
(1) If a gaming machine type is varied in a material
particular from the gaming machine type
approved by the Commission—
(a) the machine type as varied is not approved
under this section; and
(b) the variation must be approved by the
Commission before the machine type as
varied may be used.
s. 3.5.4
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(2) If a game is varied in any respect from the game
approved by the Commission—
(a) the game as varied is not approved under this
section; and
(b) the variation must be approved by the
Commission before the game as varied may
be used.
(3) The Commission may approve or refuse to
approve a variation to a gaming machine type or a
game, having regard to—
(a) player return, game fairness and security and
responsible gambling; and
(b) any standards in force under section 3.5.3;
and
(c) the certificate of a person listed on the Roll,
being a person referred to in
section 3.4.61(1)(c).
(4) An approval of a variation is subject to any
conditions imposed by the Commission.
(5) A gaming operator or casino operator must not
use a gaming machine type or game which has
been varied in a way that requires approval under
this section unless the Commission has given its
approval to the variation.
Penalty: 100 penalty units.
(6) A function of the Commission under this section
may be performed by any commissioner.
3.5.6 Withdrawal of approval
(1) The Commission may withdraw the approval of
an approved gaming machine type or game if the
Commission considers it necessary or appropriate
in the public interest or for the proper conduct of
gaming.
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(2) If approval is withdrawn under sub-section (1),
the Commission must give written notice of the
withdrawal to—
(a) the person who submitted the gaming
machine type or game under section 3.5.4;
and
(b) venue operators, gaming operators and
casino operators using any gaming machine
of that gaming machine type or including
that game—
and must specify in the notice the time within
which the gaming machine type or game must be
removed from use.
(3) If approval is withdrawn under sub-section (1),
the Commission must allow a gaming operator or
casino operator a reasonable time within which to
remove the gaming machine type or game from
use unless there is an immediate threat to the
public interest.
(4) Subject to sub-section (3), a gaming operator or
casino operator must not permit a gaming machine
to be played if—
(a) the machine is of a type in respect of which
the Commission has withdrawn approval
under sub-section (1); and
(b) notice has been given to the gaming operator
or casino operator (as the case requires)
under sub-section (2).
Penalty: 1000 penalty units.
(5) Subject to sub-section (3), a gaming operator or
casino operator must not permit a game to be
played if—
(a) the Commission has withdrawn approval of
that game under sub-section (1); and
s. 3.5.6
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(b) notice has been given to the gaming operator
or casino operator (as the case requires)
under sub-section (2).
Penalty: 1000 penalty units.
3.5.7 Linked jackpots unlawful without approval
(1) A person must not, without the approval of the
Commission, install or cause to be installed a
linked jackpot arrangement.
Penalty: 100 penalty units.
(2) This section does not apply to the installation of a
linked jackpot arrangement in a casino.
3.5.8 Identification of machines
(1) The Commission must cause an identification
number to be issued for each gaming machine.
(2) The Commission may, at any time after the issue
of an identification number for a gaming machine,
cause the issue of a new identification number for
that gaming machine.
(3) A gaming operator must not possess a gaming
machine unless there is securely affixed on one
internal and one external surface of the cabinet of
the gaming machine a label showing—
(a) the identification number issued under sub-
section (1) or (2); and
(b) any other particulars that the Commission
considers appropriate.
Penalty: 60 penalty units.
(4) A person must not service, maintain or repair a
gaming machine that does not have affixed to it an
identification number issued under sub-section (1)
or (2).
Penalty: 250 penalty units or imprisonment for
12 months or both.
s. 3.5.7
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(5) A function of the Commission under this section
may be performed by any commissioner.
(6) This section does not apply to a gaming machine
in a casino.
3.5.9 Gaming prohibited on unprotected devices
(1) A venue operator or gaming operator must not
without lawful excuse be in possession of or
permit gaming on a gaming machine unless the
computer cabinet of the gaming machine is
securely sealed with a seal in accordance with
procedures approved by the Commission.
Penalty: 400 penalty units or imprisonment for
2 years or both.
(2) At any time when a seal on a computer cabinet
has been broken, the venue operator must not
permit gaming on the gaming machine until the
gaming machine has been re-sealed in accordance
with procedures approved by the Commission.
Penalty: 400 penalty units or imprisonment for
2 years or both.
(3) A function of the Commission under this section
may be performed by any commissioner.
3.5.10 Unlawful interference with gaming equipment
(1) A person must not—
(a) be in possession of any device made or
adapted, or intended by the person to be
used, for improperly interfering with gaming
equipment; or
(b) do any act or thing calculated, or likely, to
improperly interfere with gaming equipment;
or
(c) insert, or cause to be inserted, in a gaming
machine any thing other than a gaming token
of the denomination or type displayed on the
s. 3.5.9
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gaming machine as a gaming token to be
used in order to operate or gain credit on the
gaming machine.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) If a member of the police force believes on
reasonable grounds that a person has committed
an offence under sub-section (1), the member may
search the person for any device or thing that the
member suspects was used in the commission of
the offence.
3.5.11 Protection of sensitive areas of gaming equipment
(1) A person must not—
(a) break a seal securing a computer cabinet or
gain access to any thing within the computer
cabinet; or
(b) affix a seal to a computer cabinet; or
(c) break any seal protecting the integrity of the
game program of a gaming machine; or
(d) remove, replace or in any way affect or
interfere with the operation of a computer
cabinet or any thing within the computer
cabinet; or
(e) remove or interfere with any security device
of gaming equipment; or
(f) interfere with the normal operation of the
reel assemblies of a gaming machine; or
(g) remove or interfere with the housing
protecting the mechanical meters of a
gaming machine; or
(h) interfere with the normal operation of the
mechanical meters of a gaming machine; or
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(i) disconnect or interfere with a connection
between a mechanical meter and a computer
cabinet; or
(j) interfere with information stored or
transmitted electronically by any gaming
machine, linked jackpot arrangement or
electronic monitoring system; or
(k) remove, alter or otherwise interfere with the
electronic monitoring system or application
software; or
(l) remove or interfere with any mark or seal
affixed to gaming equipment to preserve the
integrity of operation of the gaming
equipment; or
(m) remove, alter or otherwise interfere with the
manufacturer's identification plate or the
manufacturer's serial number of a gaming
machine; or
(n) remove, alter or otherwise interfere with an
identification label affixed to a gaming
machine under section 3.5.8; or
(o) affix any thing capable of being represented
as being a label referred to in section 3.5.8 to
a gaming machine or a device capable of
being represented as being a gaming
machine.
Penalty: 400 penalty units or imprisonment for
2 years or both.
(2) If any of the matters referred to in sub-section (1)
have occurred, the person on whose premises the
gaming equipment is located is guilty of an
offence and liable to a penalty not exceeding
400 penalty units or imprisonment for 2 years or
both.
s. 3.5.11
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(3) It is a defence to a prosecution for an offence
against sub-section (2) to prove that the defendant
or an employee or agent of the defendant took
reasonable precautions to ensure that this section
was not contravened.
(4) Nothing in this section applies to anything done
by—
(a) an inspector or a licensed technician acting
in the ordinary course of his or her duty; or
(b) a person authorised in writing by the
Commission.
(5) A function of the Commission under this section
may be performed by any commissioner.
3.5.12 Testing of electronic monitoring system
(1) The Commission may test an electronic
monitoring system to determine whether there is
compliance with this Act and the regulations.
(2) The Commission may test an electronic
monitoring system under sub-section (1)—
(a) on its own motion if it has reasonable
grounds; or
(b) on request by a gaming operator.
(3) The Commission may require a gaming operator
to pay the reasonable costs of testing under this
section.
3.5.13 Approval of electronic monitoring systems
(1) A gaming operator must not use an electronic
monitoring system unless it has been approved by
the Commission.
(2) A gaming operator must not use an electronic
monitoring system which has been varied from the
system approved by the Commission unless the
variation has been approved by the Commission.
s. 3.5.12
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(3) The Commission may approve—
(a) an electronic monitoring system; or
(b) a variation to an electronic monitoring
system—
for use by a gaming operator.
(4) The Commission, in approving an electronic
monitoring system or in approving a variation to
an electronic monitoring system, may take into
account the certificate of a person listed on the
Roll who is accredited by the Commission to test
gaming equipment or games.
(5) The Commission may make an approval to use, or
a variation of an approval to use, an electronic
monitoring system subject to any conditions that it
thinks fit.
3.5.14 Access to gaming machines
A person must not, in relation to a gaming
machine in an approved venue, remove gaming
tokens from the cabinet or drop box of the gaming
machine unless the person is—
(a) the gaming operator of the approved venue;
or
(b) the venue operator of the approved venue; or
(c) a special employee in the approved venue; or
(d) a licensed technician in the performance of
his or her duties.
Penalty: 60 penalty units.
s. 3.5.14
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3.5.15 Installation and storage of gaming machines
(1) A gaming operator who provides gaming
machines to a venue operator—
(a) must install the machines, or cause them to
be installed, in a gaming machine area
approved for that purpose by the
Commission; and
(b) must cause any gaming machines not so
installed to be stored in a room approved by
the Commission and secured in the manner
approved by the Commission.
(2) A gaming operator who installs gaming
equipment, or causes gaming equipment to be
installed, at an approved venue must give notice to
the Commission of—
(a) particulars of the gaming equipment; and
(b) the date and time of commencement of
gaming on the gaming equipment—
not later than the next day on which the
Commission is open for business after that
commencement.
Penalty: 100 penalty units.
(3) A notice under sub-section (2) must be in a form
approved by the Commission.
(4) This section does not apply to the installation or
storage of a gaming machine in a casino.
3.5.16 Certificates of installation
(1) A licensed technician who installs gaming
equipment at an approved venue must—
(a) certify, in a form approved by the
Commission, that the gaming equipment is
functioning in the manner in which it is
designed and programmed to function; and
s. 3.5.15
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(b) retain the certificate for a period of
12 months immediately following the date of
signature.
(2) A licensed technician must not sign a certificate
referred to in sub-section (1) knowing it to be
false.
Penalty: 100 penalty units.
(3) A gaming operator who installs gaming
equipment, or causes gaming equipment to be
installed, at an approved venue must certify, in a
form approved by the Commission, that the
equipment is functioning in the manner in which it
is designed and programmed to function.
(4) A gaming operator must not sign a certificate
referred to in sub-section (3) knowing it to be
false.
Penalty: 100 penalty units.
(5) A gaming operator must not allow gaming to
commence on gaming equipment in respect of
which certificates under sub-sections (1) and
(3)—
(a) have not been signed; or
(b) have been signed in contravention of sub-
section (2) or (4).
Penalty: 1000 penalty units.
(6) A function of the Commission under this section
may be performed by any commissioner.
s. 3.5.16
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3.5.17 Offence to play gaming machine not installed as
authorised
A person must not play or allow another person to
play a gaming machine that is provided to a venue
operator and that is not installed as required by
sections 3.5.15 and 3.5.16.
Penalty: 1000 penalty units.
3.5.18 Gaming only permitted in gaming machine areas
(1) A venue operator must not allow a person to play
a game on a gaming machine that is not placed in
a gaming machine area.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) This section does not apply to a venue operator
who is a casino operator.
3.5.19 Gaming tokens
(1) A venue operator must use only gaming tokens in
conducting gaming in the approved venue.
Penalty: 100 penalty units.
(2) A venue operator must cause all transactions in
respect of the sale or redemption of gaming tokens
in the approved venue to be carried out in a
manner that ensures the integrity of the
transactions.
Penalty: 100 penalty units.
3.5.20 Malfunction of gaming machines
(1) A venue operator, gaming operator or special
employee must refuse to pay, or to allow payment
to be made to, a person in respect of a bet made or
gaming machine credits accumulated on a gaming
machine if the operator or employee reasonably
suspects that the gaming machine or any related
gaming equipment failed to function in the
s. 3.5.17
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manner in which it was designed and programmed
to function.
(2) A special employee who refuses to pay or to allow
payment to be made to a person in the
circumstances referred to in sub-section (1) must
inform the venue operator and the relevant gaming
operator as soon as practicable after the refusal.
(3) In the event of a dispute over a refusal to pay in
the circumstances referred to in sub-section (1),
the relevant gaming operator must resolve the
dispute in accordance with procedures approved
by the Commission.
(4) This section does not apply to a venue operator
who is a casino operator.
3.5.21 Defective gaming machines not allowed
(1) A venue operator or a gaming operator must not
allow a gaming machine that is installed in an
approved venue of the venue operator to be
played, other than for testing purposes, if—
(a) it does not function in the manner in which it
was designed and programmed to function;
or
(b) any related gaming equipment does not
function in the manner in which it was
designed and programmed to function in
relation to that gaming machine—
until the gaming machine or gaming equipment is
functioning in the manner in which it was
designed and programmed to function.
Penalty: 100 penalty units.
s. 3.5.21
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(2) It is a defence to a prosecution for an offence
against sub-section (1) to prove that the
defendant—
(a) had taken all reasonable precautions to
ensure that the gaming machine was
functioning in the manner in which it was
designed and programmed to function; and
(b) at the time of the alleged offence, did not
know, and ought not to have known, that the
gaming machine was not functioning in the
manner in which it was designed and
programmed to function.
3.5.22 After hours gaming
(1) A person must not play a gaming machine in an
approved venue at any time when the approved
venue is closed to the public.
Penalty: 60 penalty units.
(2) If a person is found guilty of an offence against
sub-section (1)—
(a) all winnings (except linked jackpots) paid or
payable to the person as a result of the
commission of the offence are forfeited to
the State; and
(b) all linked jackpots paid or payable to the
person as a result of the commission of the
offence are to be returned to the jackpot
special prize pool.
(3) Winnings forfeited under sub-section (2)(a)—
(a) must be paid into the Consolidated Fund;
and
(b) must be included in the calculation of "daily
net cash balance" for the purposes of
section 3.6.6.
s. 3.5.22
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3.5.23 The Commission's rules
(1) The Commission may make rules for or with
respect to—
(a) entry to gaming machine areas; and
(b) dress requirements in gaming machine areas;
and
(c) sobriety in gaming machine areas; and
(d) security in approved venues; and
(e) services provided by venue operators; and
(f) procedures for the resolution of disputes
concerning payment of winnings from
gaming in an approved venue; and
(g) any other matter relevant to the conduct of
gaming in an approved venue.
(2) Rules under sub-section (1) do not apply to
gaming in a casino.
(3) The Commission may make rules for or with
respect to—
(a) procedures for the resolution of disputes
concerning payment of winnings from
gaming in a casino; and
(b) any other matter relevant to the conduct of
gaming in a casino.
Note: Rules under sub-section (3) only relate to gaming on
gaming machines in a casino (see definition of
"gaming" in section 3.1.2). Rules concerning table
gaming and other forms of gaming in a casino are
made under section 60 of the Casino Control Act
1991.
(4) The Commission may repeal, revoke, rescind,
amend, alter or vary a rule made under sub-
section (1) or (3).
s. 3.5.23
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(5) The Commission must notify in writing each
venue operator or casino operator of rules made
under this section that apply to the venue operator
or casino operator and any repeal, revocation,
rescission, amendment, alteration or variation of
those rules.
(6) A repeal, revocation, rescission, amendment,
alteration or variation takes effect on the date that
it is published in the Government Gazette.
(7) The Commission must cause rules made under
sub-section (1), (3) or (4) to be published in the
Government Gazette.
3.5.24 Disallowance of rules
(1) Section 15 and Part 5 of the Subordinate
Legislation Act 1994 apply to a rule made under
section 3.5.23 as if the rule were a statutory rule
within the meaning of that Act, notice of the
making of which had been published in the
Government Gazette on the day on which the rule
was so published.
(2) A rule made under section 3.5.23 is subject to
disallowance by a House of the Parliament.
(3) If a rule is disallowed by a House of the
Parliament, no rule which is the same in substance
as the disallowed rule may be made within
6 months after the date of the disallowance,
unless—
(a) if the rule was disallowed by one House of
the Parliament, that House approves the
making of a rule the same in substance as the
disallowed rule; or
(b) if the rule was disallowed by both Houses of
the Parliament, each House approves the
making of a rule the same in substance as the
disallowed rule.
s. 3.5.24
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(4) Any regulation or rule made in contravention of
sub-section (3) is void.
3.5.25 Inspection of rules
(1) A venue operator or casino operator must display
a notice in accordance with this section informing
patrons where a copy of rules under section 3.5.23
that apply to the venue operator or casino operator
may be inspected.
Penalty: 25 penalty units.
(2) The notice must—
(a) be in the form approved by the Commission;
and
(b) contain the information determined by the
Commission; and
(c) be displayed in the manner or location
determined by the Commission.
(3) A venue operator or casino operator must allow a
patron to inspect a copy of the rules on request.
Penalty: 25 penalty units.
3.5.26 Rules to be enforced
A venue operator or casino operator must enforce
or cause to be enforced rules made under
section 3.5.23 that apply to the venue operator or
casino operator.
Penalty: 25 penalty units.
3.5.27 Commission may give directions
(1) The Commission may give to a gaming operator
or a venue operator a written direction that relates
to—
(a) the conduct of gaming;
s. 3.5.25
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(b) the keeping or inspection of financial
records;
(c) the administration of the approved venue.
(2) A gaming operator or a venue operator must
comply with a direction under sub-section (1) as
soon as it takes effect.
Penalty: 25 penalty units.
(3) The direction takes effect when the direction is
given to the operator or on a later date specified in
the direction.
(4) A direction under this section must not be
inconsistent with this Act or the conditions of the
operator's licence.
(5) This section does not apply to a venue operator
who is a casino operator.
3.5.28 Inducements, cheating etc.
(1) A person ("the cheat") must not dishonestly—
(a) by a scheme or practice; or
(b) by the use of gaming equipment; or
(c) by the use of an instrument or article of a
type used in connection with gaming, or
appearing to be of a type used in connection
with gaming, or of any other thing—
in relation to gaming or the conduct of gaming,
induce a relevant person to deliver, give or credit
to the cheat or any other person, any money,
gaming tokens, benefit, advantage, valuable
consideration or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
s. 3.5.28
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(2) A relevant person must not dishonestly—
(a) by a scheme or practice; or
(b) by the use of gaming equipment; or
(c) by the use of an instrument or article of a
type used in connection with gaming, or
appearing to be of a type used in connection
with gaming, or of any other thing—
in relation to gaming or the conduct of gaming,
induce a person to deliver, give or credit to the
relevant person or any other person, any money,
gaming tokens, benefit, advantage, valuable
consideration or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(3) A person must not dishonestly cause gaming
equipment to deliver, give or credit to the person
or another person any gaming tokens, benefit,
advantage, valuable consideration or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(4) A person must not, for the purpose of cheating or
stealing in relation to gaming or the conduct of
gaming, use or be in possession of—
(a) any gaming tokens that the person knows are
bogus or counterfeit; or
(b) any thing that permits or facilitates cheating
or stealing.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
s. 3.5.28
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(5) In this section—
"relevant person" means—
(a) a gaming operator, a venue operator or
the holder of a special employee's
licence or technician's licence; or
(b) a person listed on the Roll; or
(c) an associate of a person referred to in
paragraph (a) or (b); or
(d) a person acting on behalf of a person
referred to in paragraph (a) or (b).
(6) This section does not apply to a venue operator
who is a casino operator.
Division 3—Responsible Gaming Measures
3.5.29 Banning large denomination note acceptors and
autoplay facilities
(1) A gaming operator must not allow a game to be
played on a gaming machine that accepts
banknotes with a denomination greater than $50.
Penalty: 20 penalty units.
(2) A gaming operator must not allow a game to be
played on a gaming machine unless each spin can
be initiated only by a distinct and separate
activation of the machine by the player (whether
by pushing a play button, touching the screen or
otherwise).
Penalty: 20 penalty units.
(3) Sub-sections (1) and (2) do not apply to a game
played on a gaming machine located in an area
specified by notice of the Commission published
in the Government Gazette if the gaming operator
complies with the conditions, if any, specified in
the notice.
s. 3.5.29
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3.5.30 Spin rates
(1) A gaming operator must not allow a game to be
played on a gaming machine if the spin rate of the
game is less than 2⋅14 seconds.
Penalty: 20 penalty units.
(2) Sub-section (1) does not apply to a game played
on a gaming machine located in an area specified
by notice of the Commission published in the
Government Gazette if the gaming operator
complies with the conditions, if any, specified in
the notice.
3.5.31 Credit etc.
A person who—
(a) holds a licence under this Act; or
(b) is a gaming operator—
must not make a loan or extend credit in any form,
to any person to enable that person or any other
person to play a gaming machine in an approved
venue.
Penalty: 100 penalty units.
3.5.32 Limiting withdrawals and advances from cash
facilities
(1) A venue operator must not provide, or allow
another person to provide, cash facilities in the
approved venue that allow a person to obtain by
means of those facilities, in any one transaction on
any one debit or credit card, an amount of cash
exceeding $200.
Penalty: 60 penalty units.
s. 3.5.30
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(2) A venue operator must not allow a person to
obtain from a cash facility in the approved venue a
cash advance from a credit account.
Penalty: 60 penalty units.
(3) This section does not apply to a venue operator
who is a casino operator.
3.5.33 Payment of winnings and cashing of cheques
(1) A venue operator or gaming operator must not pay
out, or allow another person to pay out, winnings
or accumulated credits exceeding $2000 from a
gaming machine to a person except by cheque.
Penalty: 60 penalty units.
(2) A venue operator or gaming operator must, at the
request of a person, pay out any winnings or
accumulated credits from a gaming machine to the
person by cheque.
Penalty: 60 penalty units.
(3) A venue operator or gaming operator must not, at
an approved venue, give, or allow another person
to give, a person cash or gaming tokens in
exchange for a cheque drawn on an account of the
venue operator or gaming operator to enable that
person to play a gaming machine in the approved
venue.
Penalty: 60 penalty units.
(4) This section does not apply to a venue operator
who is a casino operator.
s. 3.5.33
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Division 4—Gaming Machine Advertising
3.5.34 Prohibition on publishing gaming machine
advertising
(1) A person must not publish or cause to be
published any gaming machine advertising outside
the gaming machine area of an approved venue or
the boundaries of a casino.
Penalty: 20 penalty units.
(2) A person must not enter into, or extend the
duration of, any contract or arrangement for the
publication of gaming machine advertising outside
the gaming machine area of an approved venue or
the boundaries of a casino.
Penalty: 20 penalty units.
(3) Any such contract or arrangement entered into or
extended has no effect.
(4) Despite sub-section (1) or (2)—
(a) a loyalty scheme provider may, subject to
section 3.5.40, disseminate gaming machine
advertising to a participant in the loyalty
scheme;
(b) any person may disseminate gaming machine
advertising to a person who requested
gaming machine advertising from the person.
(5) This section prevails over the Business Names
Act 1962.
(6) In this section—
"gaming machine advertising" means any form
of advertising that promotes or is intended to
promote the playing of gaming machines, but
does not include—
s. 3.5.34
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(a) information about, or the advertisement
of services relating to, problem
gambling; or
(b) technical information relating to the
operation of a gaming machine;
"publish" includes disseminate in any way,
whether by oral, visual, written or other
means (for example, dissemination by means
of cinema, video, radio, electronics, the
Internet or television or by means of
promotional material such as club journals,
brochures or flyers).
3.5.35 Prohibition on displaying gaming machine related
signs
(1) A person must not display or cause to be
displayed any gaming machine related sign.
Penalty: 20 penalty units.
(2) A person must not enter into, or extend the
duration of, any contract or arrangement for
displaying a gaming machine related sign that is
displayed in contravention of sub-section (1).
Penalty: 20 penalty units.
(3) Any such contract or arrangement entered into or
extended has no effect.
(4) This section prevails over the Business Names
Act 1962.
(5) In this section—
"gaming machine related sign" means any sign
(whether consisting of words, symbols,
pictures or any other thing)—
(a) that draws attention to, or can
reasonably be taken to draw attention
to, the availability of gaming machines
for gaming; or
s. 3.5.35
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(b) that uses a term or expression
frequently associated with gaming
machines—
but does not include any sign that is
excluded from the operation of this section
by the regulations.
Division 5—Loyalty Schemes
3.5.36 Loyalty schemes
(1) A loyalty scheme provider must not allow a
person to participate in a loyalty scheme unless—
(a) the provider has given the person a written
statement—
(i) informing the person of his or her rights
under sub-section (2); and
(ii) containing the prescribed information;
and
(b) the person has agreed to receive player
activity statements relating to the playing of
games under the scheme.
Penalty: 20 penalty units.
(2) A participant in a loyalty scheme may at any time,
by notifying the loyalty scheme provider, set—
(a) a limit on the amount of time, in any 24 hour
period determined by the provider, that the
participant may play games under the
scheme;
(b) a limit on the participant's net loss on games
played under the scheme in any 24 hour
period determined by the provider;
s. 3.5.36
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(c) if the participant has set a limit under
paragraph (b), a limit on the participant's net
loss on games played under the scheme in
any year determined by the provider.
(3) If the participant has previously set a limit under
sub-section (2), any new limit set by the
participant that increases the amount of time or
net loss does not take effect until the time
determined by the loyalty scheme provider, which
must be at least 24 hours after the participant has
notified the loyalty scheme provider of the new
limit.
(4) A loyalty scheme provider must not allow a
participant to continue playing games under the
scheme after a limit set by the participant under
sub-section (2) has been reached.
Penalty: 20 penalty units.
(5) A loyalty scheme provider must not knowingly
allow an excluded person to participate in the
scheme at a casino.
Penalty: 20 penalty units.
(6) A loyalty scheme provider must not knowingly
allow a person who has excluded themselves from
an approved venue to participate in the scheme at
that approved venue.
Penalty: 20 penalty units.
(7) A loyalty scheme provider who conducts a loyalty
scheme at a casino must remove a participant
from the scheme if the participant becomes an
excluded person.
Penalty: 20 penalty units.
s. 3.5.36
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(8) In this section—
"excluded person" means a person who is the
subject of an exclusion order or interstate
exclusion order (within the meaning of the
Casino Control Act 1991).
3.5.37 Player activity statements
(1) At least once each year, a loyalty scheme provider
must provide each participant in the scheme with
a player activity statement containing the
prescribed information—
(a) by sending the statement to the participant by
post, fax, e-mail or other electronic
communication; or
(b) by making the statement available for
collection by the participant—
(i) if the provider is a venue operator—at
the approved venue; or
(ii) if the provider is a casino operator—at
the casino; or
(iii) in any other case—at an approved
venue nominated by the participant—
at the election of the participant.
Penalty: 20 penalty units.
(2) If the participant has elected to collect his or her
player activity statement from an approved venue
or casino, the loyalty scheme provider must,
within 7 days after the statement is prepared, send
the participant, by post, fax, e-mail or other
electronic communication, notice that the
statement is available for collection.
Penalty: 20 penalty units.
s. 3.5.37
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(3) A notice under sub-section (2) must advise the
participant of the provisions of section 3.5.38.
(4) If a participant requests an additional copy of his
or her player activity statement, the loyalty
scheme provider must provide it to the participant
on payment of the fee (if any), not exceeding $20,
determined by the provider.
Penalty: 20 penalty units.
3.5.38 Suspension of person who fails to collect their player
activity statement
(1) This section applies to a participant in a loyalty
scheme who has elected to collect his or her
player activity statements from an approved venue
or casino.
(2) If a participant does not collect his or her player
activity statement within one month after the day
on which notice of the availability of the
statement is sent to the participant under section
3.5.37(2), the loyalty scheme provider must
suspend the participant from the scheme until—
(a) the participant collects the statement; or
(b) the participant is removed from the scheme
under sub-section (3)—
whichever is sooner.
Penalty: 20 penalty units.
(3) If a participant does not collect his or her player
activity statement within 3 months after the day
on which notice of the availability of the
statement is sent to the participant under section
3.5.37(2), the loyalty scheme provider must
remove the participant from the scheme.
Penalty: 20 penalty units.
s. 3.5.38
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(4) A loyalty scheme provider must send written
notice, by post, fax, e-mail or other electronic
communication, to a participant who is suspended
or removed from a loyalty scheme under this
section.
Penalty: 20 penalty units.
3.5.39 Opting out of loyalty schemes
(1) At least once each year, a loyalty scheme provider
must send each participant in the scheme, by post,
fax, e-mail or other electronic communication, a
notice informing the participant of his or her right,
by informing the provider, to cease participating
in the scheme.
Penalty: 20 penalty units.
(2) If the notice is sent by post, the loyalty scheme
provider must enclose a reply paid envelope with
the notice.
Penalty: 20 penalty units.
(3) A loyalty scheme provider must remove a
participant from the scheme if the participant
informs the provider (whether in response to a
notice under sub-section (1) or otherwise) that the
participant wishes to cease participating in the
scheme.
Penalty: 20 penalty units.
3.5.40 No advertising to people suspended or removed
from loyalty schemes
(1) If a person has been removed from a loyalty
scheme, the loyalty scheme provider must not
knowingly send or direct by any means
advertising or other promotional material relating
to gaming to the person.
Penalty: 20 penalty units.
s. 3.5.39
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(2) If a person has been suspended from a loyalty
scheme, the loyalty scheme provider must not
knowingly send or direct by any means
advertising or other promotional material relating
to gaming to the person during the period of
suspension.
Penalty: 20 penalty units.
(3) For the purposes of sub-sections (1) and (2), a
loyalty scheme provider does not send or direct
material to a person only because the provider
makes the material available generally to
members of the public.
Examples
Examples of making material available generally to
members of the public include publishing it on the Internet,
television or other medium or displaying it on a billboard.
Note: Division 4 generally prohibits gaming machine advertising,
unless exempted by the regulations.
3.5.41 Loyalty scheme participant information
(1) A loyalty scheme provider must allow a person
who is or was a participant in the scheme, on
payment of the fee (if any), not exceeding $20,
determined by the provider, to have access to any
information held by the provider relating to the
person's participation in the scheme.
Penalty: 20 penalty units.
(2) The Minister may from time to time direct a
loyalty scheme provider to provide information
derived from the scheme, other than information
that identifies, or is capable of identifying, any
person who is or was a participant in the
scheme—
(a) to the Panel; or
s. 3.5.41
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(b) to any other person or body for research
purposes.
(3) A loyalty scheme provider must comply with a
direction given under sub-section (2).
Penalty: 100 penalty units.
Division 6—Removal of People from Approved Venues
3.5.42 Application of Division
This Division does not apply to a casino operator
or a casino.
3.5.43 Removal of certain persons
(1) A venue operator may remove from or refuse
entry to the operator's approved venue any person
who—
(a) breaches rules made by the Commission
under section 3.5.23; or
(b) damages or physically abuses a gaming
machine; or
(c) behaves in a manner likely to cause offence
to other persons; or
(d) is suspected on reasonable grounds of being
in the approved venue for the purpose of
committing an offence or aiding another
person to commit an offence against this
Chapter.
(2) A venue operator may use no more force than is
reasonably necessary to remove a person under
sub-section (1).
s. 3.5.42
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Division 7—Minors
3.5.44 Definitions
In this Division—
"acceptable proof of age" for a person means
documentary evidence that might reasonably
be accepted as applying to the person and as
proving that the person is at least 18 years of
age;
"apprentice" has the same meaning as in Part 5
of the Vocational Education and Training
Act 1990.
3.5.45 Application of Division
(1) This Division applies to an approved venue only
during the hours of operation of the approved
venue.
(2) This Division does not apply to a casino operator
or a casino.
3.5.46 Minors not to enter gaming machine areas
A minor must not for any purpose enter or remain
in a gaming machine area.
Penalty: 10 penalty units.
3.5.47 Minors not to play gaming machines in approved
venues
A minor must not play a gaming machine in any
area of an approved venue.
Penalty: 20 penalty units.
3.5.48 Minors in approved venue—offences by venue
operator
(1) If a minor enters a gaming machine area of an
approved venue, the venue operator is guilty of an
offence.
Penalty: 20 penalty units.
s. 3.5.44
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(2) If a minor is in a gaming machine area of an
approved venue the venue operator must remove
the minor or cause the minor to be removed from
the gaming machine area, using no more force
than is reasonably necessary.
Penalty: 20 penalty units.
(3) A venue operator must not allow a person to play
a gaming machine in any area of an approved
venue if the venue operator knows or reasonably
suspects that the person is a minor.
Penalty: 20 penalty units.
(4) It is a defence to a prosecution for an offence
under this section if it is proved that—
(a) the minor was above the age of 14 years; and
(b) before the minor entered the gaming
machine area or approved venue (as the case
may be) or while the minor was in the
gaming machine area or approved venue (as
the case may be) there was produced to the
venue operator or to his or her agent or
employee acceptable proof of age for the
minor.
3.5.49 Entry of minors to be prevented
(1) If a venue operator or a special employee is aware
that a person who may reasonably be suspected of
being a minor is attempting to enter a gaming
machine area, the venue operator or special
employee must refuse the person entry to the
gaming machine area.
Penalty: 10 penalty units.
(2) The venue operator or employee is not required to
refuse the person entry if there is produced to the
venue operator or employee acceptable proof of
age for the person.
s. 3.5.49
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3.5.50 Proof of age may be required
(1) The person for the time being in charge of an
approved venue, an agent of the venue operator, a
special employee, an inspector or a police officer
may, if he or she has reasonable cause to suspect
that a person in an approved venue is a minor—
(a) require the person in the approved venue to
state his or her correct age, name and
address; and
(b) if it is suspected on reasonable grounds that
the age, name or address given in response to
the requirement is false, require the person to
produce evidence of its correctness.
(2) A person must not fail to comply with a
requirement under sub-section (1)(a) and must
not, without reasonable cause, fail to comply with
a requirement under sub-section (1)(b).
Penalty: 10 penalty units.
(3) It is not an offence to fail to comply with a
requirement under sub-section (1) if the person
who made the requirement did not inform the
person of whom the requirement was made, at the
time it was made, that it is an offence to fail to
comply with the requirement.
(4) If a person contravenes sub-section (2), a police
officer may arrest the person without warrant and
bring him or her before a magistrate to be dealt
with according to law.
3.5.51 Minor using false evidence of age
A minor who uses any evidence purporting to be
evidence of his or her age in order to obtain entry
to or remain in a gaming machine area is guilty of
an offence if the evidence is false in a material
particular in relation to the minor.
Penalty: 10 penalty units.
s. 3.5.50
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3.5.52 Notices to be displayed
(1) The Commission may, by written direction given
to a venue operator, require a notice or notices to
be displayed in the approved venue with respect to
the exclusion of minors from gaming machine
areas.
(2) The direction may impose requirements as to the
form and position of, and matter to be displayed
in, any such notice.
(3) A venue operator must comply with a direction
given under sub-section (1).
Penalty: 60 penalty units.
3.5.53 Apprentices permitted entry to gaming machine
area
It is a defence to a prosecution for an offence
under this Division to prove that—
(a) the minor concerned was an apprentice; and
(b) the minor's entry into, or presence in, the
gaming machine area on the occasion in
question was for the purpose only of his or
her receiving training or instruction as an
apprentice.
__________________
s. 3.5.52
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PART 6—RETURNS TO PLAYERS, LEVIES AND TAXES
Division 1—Returns to Players
3.6.1 Returns to players
(1) A gaming operator must ensure that the pay-out
table on gaming machines at each venue is set so
as to return to players the players' proportion of
the total amounts wagered each year at that venue,
after deduction of the sum of jackpot special
prizes determined as prescribed and payable
during that year.
(2) The players' proportion is—
(a) not less than 87%; or
(b) if the Commission determines in accordance
with sub-section (3), a fixed percentage
greater than 87%.
(3) A determination under sub-section (2)—
(a) must be made by notice published in the
Government Gazette; and
(b) must be expressed to have effect on and after
a specified date.
Division 2—Taxes and Levies
3.6.2 Definitions
In this Division—
"community purpose" means an activity or
purpose of a kind determined by the Minister
under section 3.6.9(3);
s. 3.6.1
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"daily net cash balance", in relation to a gaming
machine, means the total amount wagered on
a day less—
(a) the sum of all prizes paid from that
amount (other than prizes paid from a
jackpot special prize pool); and
(b) the sum of amounts determined as
prescribed for payment in respect of
that total amount wagered to a jackpot
special prize pool;
"gaming revenue" of a venue operator in respect
of a financial year, means the total daily net
cash balances of all gaming machines at the
approved venue during the financial year;
"required community benefit contribution" in
respect of a financial year means 81/3% of
gaming revenue in respect of that financial
year.
3.6.3 Health benefit levy
(1) A gaming operator must pay to the Commission
for payment into the Consolidated Fund each
financial year a health benefit levy calculated in
accordance with the following formula—
12
GM
$1533.33 L × =
where—
L is the levy payable by the gaming operator;
GM is the sum of the number of gaming
machines of the gaming operator that are
operating at an approved venue on the first
Saturday in each month from and including
December in the preceding financial year to
and including November in the financial
year.
s. 3.6.3
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(2) For the purpose of sub-section (1), a gaming
machine is taken to be operating at an approved
venue on the first Saturday in a month if, at any
time on that day, the machine—
(a) is available for gaming at the approved
venue; or
(b) would be available for gaming at the
approved venue if the machine were
connected to the electronic monitoring
system.
(3) The Treasurer, in consultation with the
Commission, is to determine the amount of the
levy on each gaming operator for a financial year
and must notify each gaming operator of his or her
determination as soon as practicable after the first
Saturday in November in that year.
(4) The levy is payable in two equal instalments each
financial year, due on 15 December and 15 June.
3.6.4 Hypothecation of health benefit levy
(1) In respect of each financial year there is to be paid
out of the Consolidated Fund into the Hospitals
and Charities Fund an amount equal to the amount
paid into the Consolidated Fund under
section 3.6.3 in that financial year.
(2) Payments under sub-section (1) are to be made at
the times determined by the Treasurer.
(3) The Consolidated Fund is appropriated to the
extent necessary for payments to be made under
sub-section (1).
3.6.5 Holder of gaming operator's licence to pay
supervision charge
(1) The holder of a gaming operator's licence must
pay to the Treasurer for payment into the
Consolidated Fund a supervision charge in such
instalments in respect of such periods in each
s. 3.6.4
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financial year as the Treasurer determines from
time to time.
(2) The supervision charge is such amount in respect
of each financial year as the Treasurer, after
consultation with the Minister, determines having
regard to the reasonable costs and expenses in
respect of the financial year incurred by the
Commission in carrying out its functions and
powers under this Act in respect of gaming.
(3) The supervision charge is a tax.
3.6.6 Taxation
(1) A gaming operator must ensure that amounts are
paid in accordance with sub-section (2), in respect
of the periods determined by the Commission.
(2) The following are the amounts to be paid under
this sub-section—
(a) to the venue operator of an approved venue
in respect of which a club licence or racing
club licence is in force and at which a
gaming machine of the gaming operator is
played—
(i) if GST is payable on the supply to
which the amount to be paid under this
paragraph relates—362/3% of the total
daily net cash balances during the
period of gaming machines of the
gaming operator at the venue;
(ii) if GST is not payable on the supply to
which the amount to be paid under this
paragraph relates—331/3% of the total
daily net cash balances during the
period of gaming machines of the
gaming operator at the venue;
s. 3.6.6
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(b) to the venue operator of an approved venue
in respect of which a pub licence is in force
and at which a gaming machine of the
gaming operator is played—
(i) if GST is payable on the supply to
which the amount to be paid under this
paragraph relates—27⋅5% of the total
daily net cash balances during the
period of gaming machines of the
gaming operator at the venue;
(ii) if GST is not payable on the supply to
which the amount to be paid under this
paragraph relates—25% of the total
daily net cash balances during the
period of gaming machines of the
gaming operator at the venue;
(c) to the Commission to be paid into the
Consolidated Fund—81/3% of the total daily
net cash balances during the period of
gaming machines of the gaming operator at
the venue in respect of which a pub licence is
in force;
(d) to the Commission to be paid into the
Consolidated Fund—24⋅24% of the total
daily net cash balances during the period of
all gaming machines of the gaming operator
at approved venues.
(3) A gaming operator must inform a venue operator
of the amounts paid by the gaming operator under
sub-section (2)(c) in respect of gaming machines
at the approved venue of the venue operator.
(4) An amount payable under this section is a debt
and may be recovered in a court of competent
jurisdiction.
s. 3.6.6
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3.6.7 Additional tax for holder of gaming operator's
licence
The holder of a gaming operator's licence must
ensure that, in addition to amounts payable under
section 3.6.6, there is paid, in respect of the
periods determined by the Commission, to the
Commission to be paid into the Consolidated
Fund, 7% of the daily net cash balances during the
period of all gaming machines of the licence
holder at approved venues.
3.6.8 Declaration of different rate of return
(1) If a club licence is in force in respect of an
approved venue and—
(a) the freehold of the approved venue is not
vested in the venue operator; or
(b) in the opinion of the Commission, the terms
of the lease of the approved venue or any
other agreement provide, whether directly or
indirectly, for payment of rent or charges
calculated by reference to revenue derived
from gaming machines; or
(c) in the opinion of the Commission, the terms
of an agreement provide, whether directly or
indirectly, for payment of revenue derived
from gaming machines to a person other than
the holder of the club licence—
the Commission may declare that the amounts
payable by the gaming operator under
section 3.6.6 are to be paid as if the licence were a
pub licence.
s. 3.6.7
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(2) If—
(a) a club licence or racing club licence is in
force in respect of an approved venue; and
(b) either—
(i) an audited community benefit statement
lodged under section 3.6.9 by the
holder of the licence indicates that the
holder has made less than the required
community benefit contribution; or
(ii) the holder of the licence has not lodged
an audited community benefit statement
under section 3.6.9 within the time
required for lodgement—
the Commission may declare that the amounts
payable by the gaming operator under
section 3.6.6 in respect of the period of 12 months
commencing on 1 January next following the
making of the declaration are to be paid as if the
licence were a pub licence.
(3) The Commission must notify the licence holder
and the gaming operator of a declaration under
sub-section (2) on or before 1 December in the
year in which the declaration is made.
(4) In determining whether a licence holder has made
the required community benefit contribution, any
amounts in respect of GST payable by the licence
holder in respect of supplies for community
purposes are to be taken into account.
(5) A gaming operator must inform a licence holder
of any amounts paid by the gaming operator in
accordance with a declaration under sub-section
(2) in respect of the licence holder.
s. 3.6.8
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3.6.9 Community benefit statements
(1) In respect of each financial year, each venue
operator who received gaming revenue in that
year must prepare and lodge a community benefit
statement with the Commission in accordance
with this section regarding the application of
gaming revenue in the financial year to
community purposes.
Penalty: 60 penalty units.
(2) A community benefit statement—
(a) must be in a form approved by the Minister;
and
(b) must state whether the total of—
(i) the percentage (if any) of gaming
revenue applied by the venue operator
in the financial year to community
purposes; and
(ii) the value of any non-financial
contribution to community purposes
(for example, voluntary work) by or on
behalf of the venue operator in the
financial year, expressed as a
percentage of the venue operator's
gaming revenue in the financial year;
and
(iii) any amount payable by a gaming
operator in the financial year under a
declaration made by the Commission
under section 3.6.8(2) in respect of the
venue operator, expressed as a
percentage of the venue operator's
gaming revenue in the financial year—
is less than, equal to or greater than the
required community benefit contribution;
s. 3.6.9
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(c) must be audited; and
(d) must be lodged on or before 30 September
next following the financial year to which it
relates.
(3) The Minister, by order published in the
Government Gazette, must from time to time
determine the kind of activities or purposes that
constitute community purposes.
(4) The Minister must give notice of an order under
sub-section (3) to each venue operator.
(5) An order under sub-section (3) takes effect in the
financial year next following the financial year in
which it is published.
(6) The Commission must publish on the Internet
each statement lodged with it under this section.
(7) In determining the percentage of gaming revenue
applied by a venue operator to community
purposes, any amounts in respect of GST payable
by the venue operator in respect of supplies for
community purposes are to be taken into account.
3.6.10 Interest on late payment
(1) If an amount payable under this Part—
(a) to the Treasurer by the holder of a gaming
operator's licence; or
(b) to the Commission by a gaming operator—
is not paid within the period within which it is
required to be paid, the licence holder or operator
is liable to pay interest at the rate of 20% per
annum on that amount from the date on which the
payment was due until the payment is made.
(2) The Treasurer or the Commission may, if the
Treasurer or Commission thinks fit, mitigate or
remit an amount of interest due under
sub-section (1).
s. 3.6.10
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(3) A function of the Commission under this section
may be performed by any commissioner.
3.6.11 Hospitals and charities and mental health levy
(1) In respect of each financial year, an amount equal
to the amount paid to the Consolidated Fund
under section 3.6.6(2)(d) in respect of that year
must be paid out of the Consolidated Fund in the
proportions determined by the Treasurer into—
(a) the Hospitals and Charities Fund; and
(b) the Mental Health Fund.
(2) The Consolidated Fund is appropriated to the
necessary extent for payments to be made under
sub-section (1).
3.6.12 Payment to Community Support Fund
(1) An amount equal to the amount paid to the
Consolidated Fund under section 3.6.6(2)(c) in
respect of each period referred to in that section
must be paid out of the Consolidated Fund into the
Community Support Fund.
(2) The Consolidated Fund is appropriated to the
necessary extent for payments to be made under
sub-section (1).
__________________
s. 3.6.11
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PART 7—COMPLIANCE REQUIREMENTS
Division 1—Introduction
3.7.1 Definition
In this Part—
"operator" means—
(a) a venue operator;
(b) a gaming operator.
3.7.2 Application of Part
(1) This Part does not apply in relation to transactions
arising from operations in a casino or to gaming in
a casino.
(2) Nothing in Division 2 applies to a transaction,
accounting record, account balance sheet,
document, book or financial statement which does
not form, or record, part of the business of an
operator, carried on by a person in accordance
with this Chapter.
Division 2—Banking, Accounting and Auditing
3.7.3 Banking
(1) An operator must—
(a) keep and maintain separate accounts, as
approved by the Commission, at an
authorised deposit-taking institution in the
State for use for all banking transactions
arising under this Chapter in relation to the
operator; and
(b) from time to time provide the Commission,
as required, and in a form approved by the
Commission, with a written authority
addressed to the authorised deposit-taking
s. 3.7.1
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institution referred to in paragraph (a)
authorising that institution to comply with
any requirements of an inspector exercising
powers under this section.
Penalty: 100 penalty units.
(2) An inspector may, by notice in writing, require
the manager or other principal officer of an
authorised deposit-taking institution referred to in
sub-section (1) to provide the inspector with a
statement of an account referred to in that sub-
section and any other particulars relating to the
account that are specified in the notice.
(3) A person to whom a notice is given under sub-
section (2) must comply with the notice.
Penalty: 60 penalty units.
(4) An inspector cannot exercise a power under sub-
section (3) without the prior written approval of
the Commission.
3.7.4 Accounting records
(1) An operator must keep accounting records that
correctly record and explain the transactions and
financial position of the operations of the
operator.
Penalty: 60 penalty units.
(2) An operator must keep the accounting records in
the form required by the Commission and in a
manner that will enable—
(a) true and fair financial statements and
accounts to be prepared from time to time;
and
s. 3.7.4
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(b) in the case of a venue operator, true and fair
community benefit statements to be prepared
under section 3.6.9—
and for those financial statements, accounts and
community benefit statements to be conveniently
and properly audited.
Penalty: 60 penalty units.
(3) An operator must, as soon as practicable after the
end of each financial year, prepare financial
statements and accounts including—
(a) cash flow statements for the financial year;
and
(b) profit and loss accounts for the financial
year; and
(c) a balance-sheet as at the end of the financial
year—
that give a true and fair view of the financial
operations of the operator.
Penalty: 60 penalty units.
3.7.5 Books etc. to be kept on the premises
(1) An operator must ensure that all documents
relating to the operations of the operator are—
(a) kept at—
(i) the approved venue, in the case of a
venue operator; or
(ii) the principal place of business of the
operator in any other case; and
(b) retained for not less than 7 years after the
completion of the transactions to which they
relate.
Penalty: 60 penalty units.
s. 3.7.5
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(2) The Commission may, by instrument, grant an
exemption to an operator from all or specified
requirements of this section in respect of all or
specified, or specified classes of, documents and
may grant such an exemption subject to
conditions.
3.7.6 Audit of gaming operator
(1) A holder of a gaming operator's licence and a
declared operator of the licence must, as soon as
practicable after the end of each financial year,
cause the books, accounts and financial statements
of the licence holder and operator to be audited by
the Auditor-General.
(2) The Auditor-General and any person assisting the
Auditor-General has, in respect of the audit of
books, accounts and financial statements, all the
powers conferred on the Auditor-General by any
law relating to the audit of the public accounts.
(3) Without limiting the generality of sub-section (2),
the Auditor-General and any person assisting the
Auditor-General—
(a) has right of access at all times to the books
of a holder of a gaming operator's licence
and the books of a declared operator; and
(b) may require from an officer or employee of a
holder of a gaming operator's licence or of a
declared operator any information, assistance
and explanations necessary for the
performance of the duties of the Auditor-
General or person in relation to the audit.
(4) A holder of a gaming operator's licence and the
declared operator of a licence, must pay to the
Consolidated Fund an amount to be determined by
the Auditor-General to defray the costs and
expenses of an audit under this section.
s. 3.7.6
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(5) The holder of a gaming operator's licence and the
declared operator of a licence, must cause the
report of an audit under this section to be lodged
with the Commission within 75 days (or any
longer period not exceeding 4 months agreed by
the Commission) after the end of the financial
year to which the report relates.
Penalty: 60 penalty units.
(6) If the Commission gives notice in writing to a
venue operator to the effect that this section
applies to the operator, in respect of a specified
period, this section applies accordingly and has
effect as if in respect of this period a reference to a
holder of a gaming operator's licence included a
reference to that venue operator.
__________________
s. 3.7.6
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PART 8—ONGOING MONITORING
3.8.1 Change in situation of licensees, associates etc.
(1) Whenever a change of a kind specified by the
Commission in writing given to a person who is—
(a) the holder of a licence under this Chapter;
(b) an associate or nominee of a licence holder
under this Chapter;
(c) the declared operator of a gaming operator's
licence;
(d) a person listed on the Roll;
(e) an associate of a person listed on the Roll—
takes place in the situation existing in relation to
that person, the person must notify the
Commission in writing of the change within
14 days after it takes place.
Penalty: 60 penalty units.
(2) A function of the Commission under this section
may be performed by any commissioner.
3.8.2 Notification of persons becoming associates
A venue operator, a gaming operator or a person
listed on the Roll must—
(a) notify the Commission in writing that a
person is likely to become an associate as
soon as practicable after the operator or
person listed on the Roll becomes aware of
the likelihood; and
(b) ensure that a person does not become an
associate within the meaning of
section 1.4(1)(a) or (b) except with the prior
approval in writing of the Commission.
s. 3.8.1
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3.8.3 Investigation of associates and others
(1) The Commission may from time to time
investigate—
(a) an associate, or a person likely to become an
associate, of a venue operator, a gaming
operator or a person listed on the Roll; or
(b) any person, body or association having a
business association with a person referred to
in paragraph (a).
(2) The Commission—
(a) may require an associate or a person likely to
become an associate to consent to having his
or her photograph, finger prints and palm
prints taken; and
(b) must refer a copy of such photograph, finger
prints and palm prints and any supporting
documents to the Chief Commissioner of
Police.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
3.8.4 Termination of association
(1) If—
(a) the Commission, having regard to the
matters referred to in sub-section (2),
determines that an associate of a venue
operator, gaming operator or person listed on
the Roll is unsuitable to be concerned in or
associated with the business of the operator
or person; and
s. 3.8.3
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(b) the associate is a person referred to in
section 1.4(1)(a) or (b)—
the Commission may, by notice in writing, require
the associate to terminate the association with the
operator or person.
(2) In particular, the Commission must consider
whether the associate—
(a) is of good repute, having regard to character,
honesty and integrity;
(b) other than an associate of a venue operator,
is of sound and stable financial background;
(c) has any business association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity or has undesirable or
unsatisfactory financial resources.
(3) If the Commission determines that an associate of
a venue operator, a gaming operator or a person
listed on the Roll has engaged or is engaging in
conduct that, in the Commission's opinion, is
unacceptable for a person who is concerned in or
associated with the ownership, management or
operation of the business of the venue operator,
gaming operator or person listed on the Roll, the
Commission may—
(a) issue a written warning to the associate that
the conduct is unacceptable; or
(b) give written notice to the associate requiring
the associate to give a written undertaking to
the Commission, within the period specified
in the notice, regarding the future conduct of
the associate.
s. 3.8.4
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(4) If the associate fails to give an undertaking
required under sub-section (3)(b) or breaches an
undertaking given under that provision, the
Commission may give the associate written notice
requiring the associate to terminate, within
14 days or a longer period agreed with the
Commission, the association with the venue
operator, gaming operator or person listed on the
Roll.
(5) If the association is not terminated within 14 days
after the date of the notice referred to in sub-
section (1) or (4) or any longer period agreed with
the Commission, the Commission may, by notice
in writing, direct the venue operator, gaming
operator or person listed on the Roll to take all
reasonable steps to terminate the association and
the venue operator, gaming operator or person
listed on the Roll must comply with the direction
within 14 days or any longer period agreed with
the Commission.
__________________
s. 3.8.4
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PART 9—GENERAL
Division 1—Declared Operator of Gaming Operator's
Licence
3.9.1 Minister may declare company to be operator
(1) Subject to section 3.9.3, the Minister, on the
recommendation of the holder of a gaming
operator's licence, may declare a Victorian
company that is—
(a) a wholly-owned subsidiary of the licence
holder; and
(b) approved by the Commission—
to be the operator in relation to the gaming
operator's licence.
(2) A declaration ceases to have effect if the declared
operator ceases to be a wholly-owned subsidiary
of the licence holder.
(3) The Minister, on the recommendation of the
licence holder, may revoke a declaration under
this section of a declared operator of the licence.
(4) The Minister must cause notice of a declaration or
revocation of a declaration under this section to be
published in the Government Gazette.
(5) If a declaration is made under this section, any
liability or obligation of the licence holder
incurred prior to the declaration continues to
attach to the licence holder after the declaration.
(6) If a declaration ceases to have effect or is revoked,
any liability or obligation of the declared operator
incurred prior to the cessation of effect or
revocation continues to attach to that company
after the cessation or revocation.
s. 3.9.1
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3.9.2 Application for approval
(1) The holder of a gaming operator's licence may
apply to the Commission for approval of a
wholly-owned subsidiary under this Division.
(2) Sub-section (1) does not apply if the licence
holder is a natural person.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval under this
Division.
3.9.3 Approval of a wholly-owned subsidiary
(1) The Commission must not approve a wholly-
owned subsidiary of a licence holder unless
satisfied that the subsidiary, and each associate of
the subsidiary, is a suitable person to be concerned
in, or associated with, the management and
operation of a gaming machine business.
(2) In particular, the Commission must consider
whether—
(a) the subsidiary, and each associate of the
subsidiary, is of good repute, having regard
to character, honesty and integrity;
(b) the subsidiary (other than a subsidiary that
has not commenced to carry on business),
and each associate of the subsidiary, is of
sound and stable financial background;
(c) the subsidiary has, or is able to obtain,
financial resources that are adequate to
ensure the financial viability of a gaming
machine business, and the services of
persons who have sufficient experience in
the management and operation of a gaming
machine business;
(d) the subsidiary (other than a subsidiary that
has not commenced to carry on business) has
sufficient business ability to establish and
s. 3.9.2
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maintain a successful gaming machine
business;
(e) neither the subsidiary nor any associate of
the subsidiary has any association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity as a result of which the
subsidiary or the associate is likely to be
significantly affected in an unsatisfactory
manner;
(f) each director, executive officer or secretary
of the subsidiary and any other officer or
person determined by the Commission to be
associated or connected with the ownership
or management of the operations or business
of the subsidiary, is a suitable person to act
in that capacity.
Division 2—General
3.9.4 Prohibition on recovery of costs of investigating
persons on Roll or their associates
(1) The Commission has no power to request, require
or accept payment from any person in respect of
the whole or any part of the costs of—
(a) an investigation under section 3.8.3 into—
(i) an associate, or a person likely to
become an associate, of a person listed
on the Roll; or
(ii) a person, body or association having a
business association with a person
referred to in sub-paragraph (i); or
(b) disciplinary action taken under
section 3.4.65, including any investigation
undertaken for that purpose.
s. 3.9.4
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(2) The Commission has no power to impose a
condition on a person's listing on the Roll
requiring the person to pay the whole or any part
of the costs of an investigation or disciplinary
action referred to in sub-section (1).
(3) Nothing in this section affects the power of the
Commission to impose a fine on a person under
section 3.4.65.
3.9.5 Appeals
(1) A person whose interests are affected by a
decision of the Commission—
(a) to cancel or suspend, or to refuse to cancel or
suspend, a licence under this Chapter; or
(b) to revoke, or to refuse to revoke, an approval
of premises under Part 3; or
(c) to amend, or to refuse to amend, the
conditions of a licence under this Chapter; or
(d) to list, or refuse to list, a person on the Roll;
or
(e) to make a declaration under section 3.6.8; or
(f) to approve, or to refuse to approve, a person
as a nominee under section 3.4.14—
may appeal to the Supreme Court from the
decision on a question of law.
(2) Section 74 of the County Court Act 1958 applies
to an appeal under sub-section (1) with such
modifications as are necessary.
(3) The Supreme Court must hear and determine the
appeal and may make any of the following
orders—
(a) an order affirming or setting aside the
decision of the Commission;
s. 3.9.5
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(b) an order remitting the matter to the
Commission to decide again in accordance
with any directions of the Supreme Court;
(c) any other order the Supreme Court considers
appropriate.
3.9.6 Injunctions to prevent contraventions etc.
If a venue operator or a gaming operator has
engaged or is proposing to engage in conduct that
constitutes or would constitute—
(a) a contravention of a provision of this
Chapter; or
(b) attempting to contravene such a provision; or
(c) aiding, abetting, counselling or procuring a
person to contravene such a provision; or
(d) inducing, or attempting to induce, whether
by threats, promises or otherwise, a person to
contravene such a provision; or
(e) being in any way, directly or indirectly,
knowingly concerned in, or party to, the
contravention by a person of such a
provision; or
(f) conspiring with others to contravene such a
provision—
the Commission may apply to a court of
competent jurisdiction for an injunction on any
terms that the court determines to be appropriate.
__________________
s. 3.9.6
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CHAPTER 4—WAGERING AND BETTING
PART 1—INTRODUCTION
4.1.1 Purpose
The purpose of this Chapter is—
(a) to make provision for the carrying on of
licensed wagering and betting, by—
(i) the issuing of a wagering licence;
(ii) the approval of betting competitions;
(iii) the issuing of permits to conduct on-
course wagering;
(iv) imposing controls over the conduct of
wagering and approved betting
competitions.
(b) to provide for the issue of a gaming licence
in conjunction with the issue of a wagering
licence, allowing the licensee to conduct
gaming in accordance with Chapter 3.
4.1.2 Definitions
In this Chapter—
"exempt totalisator" means a totalisator in
respect of which an exemption under
section 4.1.3 is in force;
"licensee" means the holder of the wagering
licence and the gaming licence;
"operator" means the wagering operator or an
operator appointed under
section 4.3.15(1)(b);
"permit" means an on-course wagering permit
granted under Part 4.
s. 4.1.1
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4.1.3 Exemption of totalisators
(1) For the purposes of Part 6, the Treasurer, by
notice given to the licensee, may grant the
licensee an exemption, subject to the conditions
(if any) determined by the Treasurer and specified
in the notice, for a totalisator conducted by the
licensee or the wagering operator if the Treasurer
is satisfied that the totalisator is not connected
with wagering or approved betting competitions
conducted in Victoria.
(2) The Treasurer, by notice given to the licensee,
may, subject to the conditions (if any) determined
by the Treasurer and specified in the notice,
declare that specified amounts, or amounts of a
specified class, invested in a totalisator are
deemed, for the purposes of sections 4.6.1 and
4.6.4, not to form part of the total amount invested
in that totalisator.
(3) The Treasurer, by notice given to the licensee,
may, subject to the conditions (if any) determined
by the Treasurer and specified in the notice,
declare that specified amounts, or amounts of a
specified class, are deemed, for the purposes of
section 4.6.6(1), not to form part of the net
investment in approved betting competitions at
fixed odds conducted by the licensee or the
wagering operator.
__________________
s. 4.1.3
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PART 2—GENERAL AUTHORISATION FOR WAGERING
AND BETTING
Division 1—Legality of Wagering and Betting
4.2.1 Wagering and approved betting competitions
(1) The conduct of wagering and approved betting
competitions is lawful when conducted in
accordance with a licence or permit granted under
this Chapter and is not a public or private
nuisance.
(2) Any place in which wagering or an approved
betting competition is conducted as referred to in
sub-section (1) is not a common gaming house or
place.
(3) Despite anything to the contrary in Chapter 2, the
licensee or the wagering operator or the holder of
a permit may broadcast, display and publish
information related to races and race meetings and
betting odds on any race or combination of races.
(4) Sections 2.5.15 and 2.5.17 do not apply to an
approved betting competition conducted in
accordance with a licence granted under this
Chapter.
4.2.2 Use of totalisator lawful
(1) The use of a totalisator as provided by this
Chapter is lawful.
(2) A person who uses or conducts a totalisator as
provided by this Chapter, the regulations and the
betting rules is not guilty of an offence at common
law or under any Act by reason of so using or
conducting a totalisator.
s. 4.2.1
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(3) Subject to this Act, the mere fact of persons
wagering or betting by means of a totalisator—
(a) does not constitute the wagering or betting
an offence at common law or under an Act;
(b) is not a ground for any house or place being
taken to be a common gaming house or
place;
(c) is not a public nuisance.
4.2.3 Approval of totalisator equipment
(1) The licensee or wagering operator or the holder of
a permit must not use, or cause or permit to be
used—
(a) any instrument or contrivance; or
(b) any computer hardware or software; or
(c) any other equipment—
in connection with a totalisator or approved
betting competition unless the instrument,
contrivance, hardware, software or equipment has
been approved by the Commission.
(2) The licensee or an operator or the holder of a
permit must not make, or cause or permit to be
made, any change in any instrument, contrivance,
hardware, software or other equipment approved
by the Commission under sub-section (1) unless
the change has been approved by the Commission.
(3) In approving an instrument, contrivance,
hardware, software or equipment under this
section, the Commission may take into account
the certificate of a person listed on the Roll, being
a person referred to in section 3.4.61(1)(c).
(4) The Commission may make an approval under
this section subject to such conditions as it thinks
fit.
s. 4.2.3
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(5) The Commission may, for just and reasonable
cause, withdraw an approval given under this
section by instrument given to the licensee or
wagering operator or the holder of a permit, as the
case requires.
(6) A function of the Commission under this section
may be performed by any commissioner.
Division 2—Betting rules
4.2.4 Totalisator or approved betting competition not to
be conducted without rules
(1) The licensee or the wagering operator must not
conduct a totalisator or hold an approved betting
competition unless there are in force betting rules
under this section applying to that totalisator or
competition, or to totalisators or competitions of
that type.
(2) The holder of a permit must not conduct a
totalisator unless there are in force betting rules
under this section applying to that totalisator or to
totalisators of that type.
4.2.5 Licensee to make betting rules
(1) Subject to this Act, the regulations and any
condition of the wagering licence, the licensee
must make betting rules in relation to—
(a) totalisators for wagering; and
(b) totalisators for approved betting
competitions; and
(c) betting in approved betting competitions at
fixed odds; and
(d) such other matters as are necessary for the
proper carrying on of a business of wagering
and a business of conducting approved
betting competitions.
s. 4.2.4
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(2) Betting rules may, without limiting sub-
section (1)(d), include provisions relating to—
(a) placing of bets, including minimum bets;
(b) odds;
(c) dividends or prizes, including minimum
dividends or prizes, calculation of dividends
or prizes, payment of dividends or prizes and
unclaimed dividends or prizes;
(d) refunds;
(e) betting accounts;
(f) jackpots;
(g) determination of disputes;
(h) display of information.
(3) Betting rules must specify the day on which they
are made and the day on which they come into
operation, being a day at least 4 weeks after the
day on which they are made or such earlier day
(not being earlier than the day of making)
approved in writing by the Commission.
(4) Betting rules may confer a discretionary authority
or impose a duty on a specified person or class of
persons.
(5) The licensee must comply with the prescribed
requirements relating to the making of betting
rules.
(6) Betting rules, as in force when the bet is made,
form part of the contract between the licensee or
an operator and the investor.
s. 4.2.5
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4.2.6 Disallowance of betting rules
(1) The licensee must give a copy of any betting rules
to the Commission as soon as practicable after
making them.
(2) The Commission may disallow a betting rule in
whole or part at any time by giving notice in
writing given to the licensee, if the Commission is
satisfied that the rule is—
(a) unfair to investors; or
(b) unreasonable; or
(c) contrary to the public interest.
(3) Disallowance of a betting rule takes effect on a
day specified in the notice under sub-section (2),
being a day not earlier than 3 days after the notice
is given to the licensee
(4) If, before a betting rule is made, the Commission
consents in writing to the making of the rule in a
specified form, the Commission must not disallow
the rule within the period of 6 months after it is
made.
_______________
s. 4.2.6
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PART 3—WAGERING LICENCE AND GAMING LICENCE
Division 1—Authority of Licences
4.3.1 Wagering licence
The wagering licence authorises the licensee and
the wagering operator to conduct, subject to this
Act and the regulations, the Racing Act 1958 and
any conditions to which the licence is subject—
(a) wagering; and
(b) approved betting competitions.
4.3.2 Gaming licence
The gaming licence confers on the licensee and an
operator appointed under section 4.3.15(1)(b) the
following authorities, subject to this Act and the
regulations and any conditions to which the
licence is subject—
(a) the same authority as is conferred on the
holder of a gaming operator's licence under
Chapter 3; and
Note: Section 3.4.2 sets out the authority of the
holder of a gaming operator's licence.
(b) the authority to conduct and promote club
keno games in Victoria as a participant in
accordance with Chapter 6.
4.3.3 One licence
This Chapter does not authorise the operation at
the same time of—
(a) more than one wagering licence; or
(b) more than one gaming licence.
s. 4.3.1
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4.3.4 Licences non-transferable
The wagering licence and the gaming licence are
not transferable to any other person.
Division 2—Grant of Licences
4.3.5 Application for licences
(1) A Victorian company may, at the time or within
the period determined by the Commission, apply
to the Commission for the grant of—
(a) a wagering licence; and
(b) a gaming licence.
(2) A person who has held a wagering licence or
gaming licence is not entitled to apply under sub-
section (1) if a wagering licence or gaming licence
held by the person has been cancelled.
(3) An application—
(a) must be in the form approved by the
Commission; and
(b) must be accompanied by the prescribed fee;
and
(c) must be accompanied by a statement of the
premium payment offered by the applicant;
and
(d) must be accompanied by an outline of the
arrangements proposed to be entered into by
the applicant, on or before the grant of the
licence, being—
(i) arrangements with VicRacing; and
(ii) arrangements with Racing Products.
(4) An applicant must provide such additional
information in connection with the application as
the Commission requires.
s. 4.3.4
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(5) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for the licences.
4.3.6 Matters to be considered in determining application
(1) The Commission must not recommend that a
licence be granted unless satisfied that the
applicant, and each associate of the applicant, is a
suitable person to be concerned in, or associated
with, the management and operation of a
wagering business and a gaming business.
(2) In particular, the Commission must consider
whether—
(a) the applicant, and each associate of the
applicant, is of good repute, having regard to
character, honesty and integrity;
(b) the applicant, and each associate of the
applicant, is of sound and stable financial
background;
(c) the applicant has, or is or will be able to
obtain, financial resources that are adequate
to ensure the financial viability of a wagering
business and a gaming business and the
services of persons who have sufficient
experience in the management and operation
of a wagering business and a gaming
business;
(d) the applicant has sufficient business ability
to establish and maintain a successful
wagering business and a successful gaming
business;
(e) neither the applicant, nor any associate of the
applicant, has any association with any
person, body or association who or which, in
s. 4.3.6
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the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity as a result of which the
applicant or the associate is likely to be
significantly affected in an unsatisfactory
manner;
(f) each executive officer of the applicant and
any other officer or person determined by the
Commission to be associated or connected
with the management of the proposed
operation of a wagering business or a gaming
business of the applicant is a suitable person
to act in that capacity;
(g) the applicant will have in place an adequate
electronic monitoring system for detecting
significant events associated with each
gaming machine, including a system for
continuous on-line real time recording,
monitoring and control of significant game
play transactions.
4.3.7 Recommendation on application
(1) The Commission must determine whether or not
to recommend the grant of the licences and must
notify the applicant in writing of its determination.
(2) If the Commission determines to recommend the
grant of the licences, it may make a
recommendation to the Governor in Council
accordingly.
4.3.8 Grant of licences
(1) Subject to sub-section (2), the Governor in
Council may grant to an applicant recommended
by the Commission—
(a) a wagering licence; and
s. 4.3.7
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(b) a gaming licence—
on payment by the applicant of the premium
payment.
(2) The Governor in Council must not grant the
licences unless the Minister, after consultation
with the Commission—
(a) is satisfied—
(i) that the arrangements between the
current licensee and VicRacing or
Racing Products have been or, before
the licences commence, will be,
concluded to the reasonable satisfaction
of the parties; or
(ii) that a reasonable opportunity has been
given for such a conclusion of those
arrangements; and
(b) is satisfied that the applicant has entered
into, or made a binding offer to enter into,
arrangements with VicRacing and
arrangements with Racing Products that, in
the opinion of the Minister, after consultation
with the Commission, are no less favourable
to VicRacing and Racing Products than those
last in force between a licensee (other than a
licensee appointed under section 4.3.33) and
VicRacing or Racing Products, as the case
requires.
4.3.9 Duration of licences and licence conditions
(1) Each licence is for a term of 18 years, or a longer
term determined by the Governor in Council and
set out in the licence, and is subject to the
conditions set out in the licence.
(2) If, because of section 4.3.8(2), the Governor in
Council is unlikely to grant the licences before the
expiration of the term of 18 years of the licences
s. 4.3.9
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held by the current licensee, the Governor in
Council may, by Order published in the
Government Gazette, approve the extension of the
term of the current licences until the
commencement of the new licences or for any
shorter period specified in the Order.
4.3.10 Amendment of licence conditions
The conditions (other than the term) of each
licence may be amended by the Governor in
Council with the consent of the licensee.
4.3.11 Powers of licensee under Corporations Act not
affected
Except as otherwise provided in this Act, nothing
in this Act is to be taken to restrict the licensee,
being a Victorian company, from carrying out
functions or exercising powers that it may
lawfully carry out or exercise as such a company.
Division 3—Entitlement of Former Licensee
4.3.12 Entitlement of former licensee on grant of new
licences
(1) On the grant of new licences, the person who was
the holder of the licences last in force (the
"former licences") is entitled to be paid an
amount equal to the licence value of the former
licences or the premium payment paid by the new
licensee, whichever is the lesser.
(2) The person who was the holder of the former
licences is entitled to the payment under sub-
section (1) whether or not the person was, or was
entitled to be, an applicant for the new licences.
(3) Sub-section (1) does not apply if the holder of the
former licences has been wound up.
s. 4.3.10
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4.3.13 What is the licence value of the former licences?
The licence value in relation to the former
licences is the amount calculated in accordance
with the formula—
C
20
17 3R ×
+
where—
R is the amount calculated in accordance with
the formula—
100 1
B
F
E
A
D
1
×
−
×
but—
(a) if the amount so calculated is less than
zero, R is zero; and
(b) if the amount so calculated is more
than 2, R is 2;
A is the sum of—
(a) the total amount invested in totalisators
conducted by the holder of the former
licences or an operator appointed by
that holder on wagering events during
the period of 12 months ending
immediately before the former licences
ceased to be in force, less dividends
paid in respect of that total amount; and
(b) the total amount wagered on gaming
machines of the holder of the former
licences during that period, less
amounts returned to players during that
period;
s. 4.3.13
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E is the all groups consumer price index for
Melbourne as at the first anniversary of the
commencement of the former licences last
published by the Australian Statistician in
respect of the quarter in which that
anniversary falls;
F is the all groups consumer price index for
Melbourne last published by the Australian
Statistician in respect of the quarter in which,
or in part of which, the former licences were
last in force or, if such an index has not been
so published, the index for the most recent
quarter last so published;
B is the sum of—
(a) the total amount invested in totalisators
conducted by the holder of the former
licences or an operator appointed by
that holder on wagering events during
the period of 12 months commencing
on the date of commencement of the
former licences, less dividends paid in
respect of that total amount; and
(b) the total amount wagered on gaming
machines of the holder of the former
licences during that period, less
amounts returned to players during that
period;
C is—
(a) if the former licences were the initial
licences within the meaning of the
Gaming and Betting Act 1994, the
allotment amount within the meaning
of section 13 of that Act as in force
immediately before its repeal; and
s. 4.3.13
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(b) in any other case, an amount equal to
the amount of the premium payment
paid by the former licensee for the
former licences;
D is the number of years, including part of a
year, in the period beginning on the first
anniversary of the commencement of the
former licences and ending on the last day on
which they are in force.
4.3.14 When must the payment be made?
(1) The payment under section 4.3.12(1) must be
made not later than 7 days after the
commencement of the new licences.
(2) The Consolidated Fund is appropriated to the
necessary extent for the payment to be made.
Division 4—Operators
4.3.15 Appointment of operators
(1) Subject to section 4.3.17, the licensee may, by
notice in writing given to the Commission—
(a) appoint a Victorian company that is—
(i) a wholly-owned subsidiary of the
licensee; and
(ii) approved by the Commission—
as operator of the wagering licence;
(b) appoint one or more Victorian companies
that are—
(i) wholly-owned subsidiaries of the
licensee; and
(ii) approved by the Commission—
as operators of the gaming licence.
s. 4.3.14
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(2) The same company may be appointed as wagering
operator and an operator of the gaming licence.
(3) A company appointed as operator ceases to be the
operator on ceasing to be a wholly-owned
subsidiary of the licensee.
(4) The licensee may, at any time by notice in writing
given to the Commission, revoke the appointment
of an operator under this section.
4.3.16 Application for approval
The licensee may apply to the Commission for
approval of a wholly-owned subsidiary for
appointment as an operator.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval of a
wholly-owned subsidiary for appointment as an
operator.
4.3.17 Approval of wholly-owned subsidiary
(1) The Commission must not approve a wholly-
owned subsidiary of the licensee for appointment
as an operator unless satisfied that the subsidiary,
and each associate of the subsidiary, is a suitable
person to be concerned in, or associated with, the
management and operation of a wagering business
or a gaming business, or both, as the case requires.
(2) In particular, the Commission must consider
whether—
(a) the subsidiary, and each associate of the
subsidiary, is of good repute, having regard
to character, honesty and integrity;
(b) the subsidiary, and each associate of the
subsidiary, is of sound and stable financial
background;
s. 4.3.16
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(c) the subsidiary has, or is able to obtain,
financial resources that are adequate to
ensure the financial viability of a wagering
business or a gaming business, or both, and
the services of persons who have sufficient
experience in the management and operation
of a wagering business or a gaming business,
or both;
(d) the subsidiary has sufficient business ability
to establish and maintain a successful
wagering business and a successful gaming
business;
(e) neither the subsidiary nor any associate of
the subsidiary has any association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity as a result of which the
subsidiary or the associate is likely to be
significantly affected in an unsatisfactory
manner;
(f) each director, executive officer or secretary
of the subsidiary and any other officer or
person determined by the Commission to be
associated or connected with the ownership
or management of the operations or business
of the subsidiary, is a suitable person to act
in that capacity.
Division 5—Regulation of Shareholding Interests
4.3.18 Definitions
(1) In this Division—
"associate" has the meaning, in relation to a
person, it would have under Division 2 of
Part 1.2 of the Corporations Act if—
s. 4.3.18
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(a) for paragraphs (b) and (c) of section 12
of that Act, there were substituted—
"or
(b) whether the primary person is in a
position to exercise certain powers
in relation to a body corporate;";
and
(b) sections 13, 14, 16(2) and 17 of that
Act were repealed;
"officer", in relation to the licensee, has the same
meaning as in section 9 of the Corporations
Act;
"voting share" in relation to the licensee, has the
same meaning as in section 9 of the
Corporations Act.
(2) For the purposes of this Division, a person is an
associate of another—
(a) if the person is an associate of the other
within the meaning of paragraph (a) of the
definition of "associate" in sub-section (1);
or
(b) if the Minister—
(i) is of the opinion that the person and the
other are likely to act in concert with a
view to taking control of, or exercising
significant influence over, the licensee
against the public interest; and
(ii) by notice in writing served on the
licensee, declares that the person is an
associate of the other.
(3) Where notice of a declaration under sub-section
(2) is served on the licensee, the Minister must, at
the same time or as soon as practicable thereafter,
cause written notice of the declaration to be
s. 4.3.18
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served on the persons to whom the declaration
relates.
(4) For the purposes of this Division, a person has a
relevant interest in a share if, and only if, the
person would be taken to have a relevant interest
in the share because of sections 608 and 609 of
the Corporations Act.
(5) For the purposes of this Division, the voting
power a person, being the licensee or any other
person, has in the licensee is the person's voting
power determined in accordance with section 610
of the Corporations Act as if a reference in that
section of that Act to a relevant interest were a
reference to a relevant interest to which sub-
section (4) applies.
(6) A reference in this Division to the Corporations
Act is a reference to that Act as it would apply if
references in that Act to a body corporate,
corporation or company included references to—
(a) a body corporate of any kind wherever
formed or incorporated and whether formed
or incorporated under that Act or any other
law; and
(b) any unincorporated body, being a society,
association, company of proprietors or other
body, wherever formed, that, under the law
of its place of formation, may sue or be sued,
or may hold property in the name of the
secretary or some other officer of the society,
association or body, or in the name of any
trustee or trustees; and
(c) any unincorporated body, being a society,
association, company of proprietors or other
body or undertaking to which is applied,
under the laws of the place of its formation,
with or without exceptions, a law in force in
s. 4.3.18
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that place relating to companies or
corporations as if it were a company or
corporation within the meaning of that Act.
(7) The regulations may provide that relevant
interests, or particular classes of relevant interests,
in shares, or in particular classes of shares, are, in
such circumstances and subject to such conditions
(if any) as are specified in the regulations, to be
disregarded for such purposes as are specified in
the regulations.
(8) If a whole or a portion of the share capital of the
licensee consists of stock, a reference in this Part
to a number of shares in the licensee as a
percentage is, in relation to an amount of stock, a
reference to the amount of stock that represents
that number of shares.
4.3.19 Application of Division
(1) This Division applies in relation to the licensee
only so long as the licensee holds the wagering
licence and the gaming licence.
(2) This Division applies in relation to any
transaction, agreement, arrangement,
understanding or undertaking—
(a) whether the transaction, agreement,
arrangement, understanding or undertaking is
entered into, or made, in this State or
elsewhere; and
(b) whether the shares (if any) to which the
transaction, agreement, arrangement,
understanding or undertaking relates are
registered in this State or elsewhere; and
(c) whether the proper law of the transaction,
agreement, arrangement, understanding or
undertaking is the law of this State or not.
s. 4.3.19
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4.3.20 Prohibited shareholding interest
(1) A person has a prohibited shareholding interest in
the licensee if the person has a voting power of
more than 10% in the licensee.
(2) For the purposes of this Division, the licensee or a
subsidiary of the licensee cannot have a prohibited
shareholding interest in the licensee.
(3) It is unlawful for a person to have a prohibited
shareholding interest in the licensee.
4.3.21 Power to require information relating to entitlement
to shares in licensee
(1) The Minister, or a director or the secretary of the
licensee, may, by notice in writing served on a
person who has, or is suspected by the Minister,
director or secretary (as the case may be) of
having, a relevant interest in shares in the
licensee, require the person to furnish information
specified in the notice for the purpose of
determining whether that person or any other
person has, or is taking action to acquire, a
prohibited shareholding interest in the licensee.
(2) A notice under sub-section (1) may require the
person on whom the notice is served, or, if that
person is a corporation, 2 directors of the
corporation, to verify by statutory declaration any
information furnished in compliance with the
notice.
(3) If—
(a) a person on whom a notice under sub-
section (1) has been served fails to furnish,
within the time allowed in the notice, the
information required by the notice, verified
as required by the notice; or
s. 4.3.20
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(b) information furnished by the person in
response to the notice is, in the opinion of
the Minister, by reason of anything included
in it or omitted from it, false or misleading in
a material particular—
the Minister may, by reason only of that fact, by
notice in writing served on the licensee, do one or
more of the following—
(c) declare that the person is an associate of
another, or that another is an associate of that
person;
(d) declare that the person, or another to whom a
declaration under paragraph (c) relates, has a
relevant interest in specified shares in the
licensee;
(e) declare that the voting rights attaching to the
shares to which a declaration under
paragraph (d) relates are suspended;
(f) declare that the person, or another to whom a
declaration under paragraph (c) relates, has a
prohibited shareholding interest in the
licensee.
(4) If notice of a declaration under sub-section (3) is
served on the licensee, the Minister must, at the
same time or as soon as practicable thereafter,
cause written notice of the declaration to be
served—
(a) on the person to whom the declaration
relates; and
(b) in the case of a declaration under
paragraph (e) of that sub-section—on the
holder of the shares to which the declaration
relates.
s. 4.3.21
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4.3.22 Disposal, forfeiture etc. of shares where prohibited
shareholding interest
(1) If the Minister—
(a) makes a declaration under section 4.3.21(3);
or
(b) forms the opinion and, by notice in writing
served on the licensee, declares under this
sub-section—
that a person ("the offender") has a prohibited
shareholding interest in the licensee, the Minister
may, by notice in writing served—
(c) if the offender holds voting shares in the
licensee in which the offender has a relevant
interest—on the offender; or
(d) on any other person who holds voting shares
in the licensee in which the offender has a
relevant interest—
declare that the offender or that other person must
dispose of the relevant number of those shares, or
a specified number of those shares not exceeding
the relevant number, otherwise than to an
associate of the offender within a period specified
in the notice, being not less than 3 months after
service of the notice.
(2) For the purposes of sub-section (1), the relevant
number of shares that a person may be required by
a notice under that sub-section to dispose of
otherwise than to an associate of the offender is—
(a) subject to paragraph (b), the number of
shares held by the person that would need to
be so disposed of in order to cause the
offender to cease to have a prohibited
shareholding interest in the licensee; or
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(b) if, after all the shares in the licensee held by
the person to which the offender is entitled
were so disposed of, the offender would
continue to have a prohibited shareholding
interest in the licensee—the total number of
those shares.
(3) For the purposes of this section, a person is not to
be taken to have disposed of shares in the licensee
in which an offender has a relevant interest unless
and until the person ceases to hold the shares and
the offender ceases to have a relevant interest in
them.
(4) If a person served with a notice of a declaration
under sub-section (1) requiring the person to
dispose of shares in the licensee fails to comply
with the notice within the period specified in the
notice, the shares to which the notice relates are,
by force of this sub-section, forfeited to the State.
(5) If a transaction is entered into with respect to any
shares in the licensee and—
(a) a person who did not, before the transaction
is entered into, have a prohibited
shareholding interest in the licensee would,
but for this sub-section, have such an interest
after the transaction; or
(b) a person who, before the transaction is
entered into, had a prohibited shareholding
interest in the licensee would, after the
transaction (but for this sub-section) have a
relevant interest in a greater number of
voting shares in the licensee than the person
had immediately before the transaction—
the transaction is illegal and void.
(6) If voting shares in the licensee have been
transferred as a result of a transaction that is
illegal and void by virtue of sub-section (5), the
s. 4.3.22
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Minister may, by notice in writing served on the
transferee, declare that the shares are forfeited to
the State.
(7) The Minister must cause written notice of—
(a) a declaration under sub-section (1) requiring
a person to dispose of shares in the licensee;
or
(b) a declaration under sub-section (6) that
shares in the licensee are forfeited to the
State—
to be served on the licensee.
(8) A director or secretary of the licensee may, before
a transfer of shares in the licensee is registered,
require the transferee, or, if the transferee is a
corporation, 2 directors of the transferee
corporation, to make a statutory declaration to the
effect that the transaction to which the transfer
relates was not a transaction to which sub-section
(5) applies.
(9) If a requirement under sub-section (8) is not
complied with, the licensee may refuse to register
the transfer in relation to which the requirement
was made.
4.3.23 Voting rights in respect of certain shares
(1) This section applies to all voting shares in the
licensee in which any person who has a prohibited
shareholding interest in the licensee has a relevant
interest.
(2) The aggregate voting rights to be attached to the
shares to which this section applies are, in lieu of
the voting rights that would, but for this sub-
section, be so attached, the voting rights ("the
relevant voting rights") that would be so
attached if those shares constituted 10% of the
total number of voting shares in the licensee.
s. 4.3.23
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(3) Each person who holds any of the shares to which
this section applies is entitled to such proportion
of the relevant voting rights (if any) as the number
of those shares held by the person bears to the
total number of those shares.
(4) If written notice is served on the licensee of a
declaration of the Minister under this Division—
(a) that a person is an associate of another; or
(b) that a person has a prohibited shareholding
interest in shares in the licensee—
the declaration is binding and has effect for the
purposes of the application of this section in
relation to any general meeting of the licensee
held after receipt by the licensee of the notice.
4.3.24 Annulment of certain resolutions of the licensee
(1) If the Minister is of the opinion that a resolution
of a general meeting of the licensee has been
passed as a result of the admission of votes that
should not, by virtue of a declaration of the
Minister under section 4.3.21(3) or by virtue of
section 4.3.23, have been admitted, the Minister
may, by notice in writing served on the licensee,
declare the resolution to have been (at all times)
null and void.
(2) If notice of a declaration under sub-section (1) is
served on the licensee, the Minister must, at the
same time or as soon as practicable thereafter,
cause written notice of the declaration to be
served on each person whose votes should not, in
the opinion of the Minister, have been admitted.
(3) A notice under sub-section (1) does not have any
effect unless it is served on the licensee within one
month after the date of the resolution to which it
relates.
s. 4.3.24
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4.3.25 Making, review and revocation of declarations by
Minister
(1) A declaration may be made by the Minister under
this Division on the basis of such information as
the Minister considers sufficient in the
circumstances.
(2) A declaration of the Minister under this Division
other than—
(a) a declaration under section 4.3.22(1)
requiring a person to dispose of shares in the
licensee; or
(b) a declaration under section 4.3.22(6) that
shares in the licensee are forfeited to the
State—
is effective when written notice of the declaration
is served on the licensee irrespective of when or
whether service is effected on any other person as
provided by this Division.
(3) If the Minister makes a declaration under this
Division—
(a) the licensee; or
(b) any other person on whom notice of the
declaration has been served under this Part—
may apply to the Minister for a review of the
declaration.
(4) On an application under this section for review of
a declaration, the Minister—
(a) must allow the applicant and, where the
applicant is not the licensee, the licensee, a
reasonable opportunity to make submissions
in relation to the application; and
s. 4.3.25
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(b) may, after giving due consideration to any
such submissions—
(i) confirm the declaration; or
(ii) revoke or vary the declaration either
conditionally or unconditionally and
with effect from the date of the
declaration or some other date
determined by the Minister.
(5) If an application is made under this section for
review of a declaration of the Minister under this
Division, the declaration continues to have effect
pending determination of the application except as
otherwise determined by the Minister.
(6) The Minister may, of his or her own motion, by
notice in writing served on the person on whom
notice of the declaration was served, revoke or
vary a declaration of the Minister under this
Division with effect from the date of the
declaration or some other date determined by the
Minister.
4.3.26 Appeal against declarations of Minister
(1) The licensee or any other person on whom notice
of a declaration of the Minister is served under
this Division may appeal to the Supreme Court
against the declaration.
(2) An appeal does not lie against a declaration under
section 4.3.24 annulling a resolution of the
licensee.
(3) An appeal under this section must be instituted
within 21 days after notice of the declaration
under appeal is served on the appellant and that
period of limitation may not be extended.
(4) Where an appeal is instituted by a person other
than the licensee, the licensee is to be a
respondent in addition to the Minister.
s. 4.3.26
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(5) The Supreme Court may, on an appeal under this
section, if satisfied that proper grounds for making
the declaration did not exist, quash or vary the
declaration, either conditionally or
unconditionally and with effect from the date of
the declaration or some other date, as the Court
thinks fit, and make any consequential or ancillary
orders that may be just.
(6) If an appeal is made under this section, a
declaration other than—
(a) a declaration under section 4.3.22(1)
requiring a person to dispose of shares in the
licensee; or
(b) a declaration under section 4.3.22(6) that
shares in the licensee are forfeited to the
State—
continues to have effect pending determination of
the appeal.
(7) Except as provided in this Division, a declaration
of the Minister under this Division may not be
challenged or called into question.
4.3.27 Sale of forfeited shares
(1) The Commission is to sell any shares forfeited to
the State under this Division.
(2) For the purposes of any such sale, the
Commission is not bound by any restriction on the
sale of shares contained in the memorandum or
articles of association of the licensee.
(3) Any money realised from the sale of forfeited
shares under this section must, after deduction of
the reasonable costs of the forfeiture and sale—
(a) if the shares were transferred as a result of a
transaction that was illegal and void by
virtue of section 4.3.22(5) and the transferor
has not received the full consideration agreed
s. 4.3.27
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upon with the transferee—be applied in
payment to the transferor of the amount or
value of the consideration not received by
the transferor and in payment of the balance
(if any) to the transferee; or
(b) in any other case—be paid to the person
from whom the shares were forfeited.
Division 6—Further Licensing Restrictions and
Requirements
4.3.28 Restrictions on directors of licensee or operator
(1) For the purposes of Division 7, the licensee is in
contravention of this Act if a director of the
licensee or an operator—
(a) is a director of, or has a voting power of 5%
or more in, the holder of—
(i) a casino licence; or
(ii) a gaming operator's licence; or
(iii) a public lottery licence; or
(b) is a trustee of the will and estate of the late
George Adams or a beneficiary in that estate.
(2) For the purposes of sub-section (1), the voting
power a person has in the holder of a licence
referred to in sub-section (1)(a) is the person's
voting power determined in accordance with
section 610 of the Corporations Act as if a
reference in that section of that Act to a relevant
interest were a reference to a relevant interest to
which section 4.3.18(4) applies.
s. 4.3.28
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4.3.29 Licensee and others not to be associated with certain
activities
(1) This section applies to—
(a) the licensee;
(b) an associate of the licensee;
(c) a subsidiary of the licensee;
(d) a related body corporate of the licensee.
(2) A person to whom this section applies must not—
(a) except as authorised by Chapter 3, hold a
venue operator's licence; or
(b) hold a gaming operator's licence, special
employee's licence or technician's licence; or
(c) be listed on the Roll; or
(d) hold a casino licence or casino special
employee's licence; or
(e) be a member of the Commission; or
(f) be an inspector.
(3) A person to whom this section applies must not
otherwise be employed by, or significantly
associated with—
(a) the holder of a casino licence; or
(b) the holder of a gaming operator's licence
(except for the purposes of Chapter 6).
(4) A licensed racing club is taken not to be an
associate of the licensee for the purposes of sub-
section (2)(a).
s. 4.3.29
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4.3.30 Change in situation of licensee or operator
(1) In this section—
"major change" in the situation existing in
relation to the licensee or an operator
means—
(a) any change in that situation which
results in a person becoming an
associate of the licensee or operator; or
(b) any other change in that situation which
is of a class or description prescribed as
major for the purposes of this section;
"minor change" in the situation existing in
relation to the licensee or an operator means
any change in that situation that is prescribed
as a minor change for the purposes of this
section.
(2) The licensee or an operator must—
(a) ensure that a major change in the situation
existing in relation to the licensee or operator
which is within the licensee's or operator's
power to prevent occurring does not occur
except with the prior approval in writing of
the Commission; and
(b) notify the Commission in writing of the
likelihood of any major change in the
situation existing in relation to the licensee
or operator to which paragraph (a) does not
apply as soon as practicable after the licensee
or operator becomes aware of the likelihood
of the change; and
s. 4.3.30
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(c) notify the Commission in writing of any
major change in the situation existing in
relation to the licensee or operator to which
paragraphs (a) and (b) do not apply within
3 days after becoming aware that the change
has occurred; and
(d) notify the Commission in writing of any
minor change in the situation existing in
relation to the licensee or operator within
14 days after becoming aware that the
change has occurred.
Penalty: 60 penalty units.
(3) If a major change for which the approval of the
Commission is sought under this section involves
a person becoming an associate of the licensee or
operator, the Commission must not grant its
approval unless satisfied that the person is a
suitable person to be associated with the
management of a wagering or gaming business.
(4) Division 1 of Part 4 of Chapter 10 applies to an
application for approval under this section in the
same way that it applies to an application for a
licence or for approval of a person as an operator.
(5) If a major change is proposed or has occurred
involving a person becoming an associate of the
licensee or operator and the approval of the
Commission to the change is not required—
(a) the Commission must inquire into the change
to determine whether it is satisfied that the
person is a suitable person to be associated
with the management of a wagering business
or a gaming business; and
(b) if it is not so satisfied, the Commission must
take such action as it considers appropriate.
s. 4.3.30
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Division 7—Disciplinary action and cancellation
4.3.31 Disciplinary action
(1) If the Commission is satisfied that the licensee or
an operator has contravened—
(a) a condition of the wagering licence or the
gaming licence (or both); or
(b) the betting rules; or
(c) a gaming Act or gaming regulations or any
other law relating to wagering or gaming—
the Commission may give notice to the licensee
and the operator (unless satisfied that the operator
did not commit the contravention) to show cause
why the Commission should not take disciplinary
action under this section.
(2) If the licensee, within 7 days or such longer period
as the Commission allows, does not—
(a) remedy the contravention or cause it to be
remedied; or
(b) if the contravention cannot be remedied,
satisfy the Commission that steps have been
taken to ensure a similar contravention does
not occur again—
the Commission, after giving the licensee and the
operator (unless satisfied that the operator did not
commit the contravention) an opportunity to be
heard—
(c) may reprimand the licensee or the operator
or both; or
(d) may impose a fine on the licensee or the
operator or both not exceeding $5 000 000.
(3) In sub-section (1), a reference to a contravention
does not include a reference to a contravention of
Division 5.
s. 4.3.31
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4.3.32 Cancellation of both licences
(1) The Commission, with the consent of the
Minister, may apply to the Supreme Court for
cancellation of the wagering licence and the
gaming licence.
(2) On an application under sub-section (1), the
Supreme Court may cancel the licences if it is
satisfied—
(a) that the licensee or an operator—
(i) has materially contravened a term or
condition of the wagering licence or the
gaming licence or the betting rules or of
a gaming Act or gaming regulations or
any other law relating to wagering or
gaming; or
(ii) has persistently contravened terms or
conditions of a licence or the betting
rules or of a gaming Act or gaming
regulations or any other law relating to
wagering or gaming—
and that a reprimand or fine is not, in all the
circumstances, a sufficient sanction;
(b) that the licensee or an operator has
persistently committed contraventions
referred to in section 4.3.31(1);
(c) that on an application under section 459P of
the Corporations Act, the Court would be
required under section 459C(2) of that Act to
presume that the licensee or operator is
insolvent;
(d) that the licensee or an operator is an
externally-administered body corporate;
s. 4.3.32
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(e) that the licensee or an operator has been
convicted of an offence that is of sufficient
magnitude to warrant cancellation of the
licences;
(f) that the licensee or an operator is not a
Victorian company;
(g) that neither the licensee nor an operator is
carrying on a significant wagering business
on events in Victoria and a significant
gaming business in Victoria;
(h) that the licensee or an operator is involved in
a scheme or arrangement the purpose, or one
of the purposes, of which is the avoidance of
tax under Part 6.
(3) The Supreme Court must not cancel the licences
under this section if a receiver, or receiver and
manager, or administrator, of the licensee has
been appointed under the Corporations Act within
the preceding 6 months, unless the receiver, or
receiver and manager, or administrator, consents
to the cancellation.
4.3.33 Appointment of temporary licensee if licence
cancelled
(1) If the licences are cancelled, the Commission
may, if it is satisfied that it is in the public interest
to do so, by instrument appoint a person approved
by the Commission as licensee for the purposes of
this Act for such period, not exceeding 6 months,
as it determines.
(2) A licensee is appointed under sub-section (1) on
such terms and conditions as the Commission
thinks fit.
s. 4.3.33
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(3) The appointment of a licensee under sub-section
(1) may be renewed for one period only not
exceeding 6 months and may be terminated at any
time by the Commission and is terminated by the
grant of another licence under this Part.
(4) For the purposes of this Act, a licensee appointed
under this section is taken to be the holder of the
licences while so appointed.
(5) Subject to this section, a licensee appointed under
this section may enter into any arrangements that
are approved by the Commission with the former
licensee, including arrangements relating to the
use of assets and services of staff of the former
licensee.
(6) The former licensee—
(a) must make available to the licensee on
reasonable terms such assets of, or under the
control of, the former licensee as are
reasonably necessary for arrangements under
sub-section (5); and
(b) must use its best endeavours to make
available such staff of the former licensee as
are reasonably necessary for those
arrangements.
Penalty: 100 penalty units.
(7) A licensee appointed under this section must use
its best endeavours to continue the arrangements
with VicRacing and the arrangements with Racing
Products to which the former licensee was a party
immediately before the licences were cancelled.
(8) The regulations may make provision for or with
respect to the functions and powers of a licensee
appointed under this section.
_______________
s. 4.3.33
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PART 4—ON-COURSE WAGERING PERMIT
Division 1—Authority of Permit
4.4.1 On-course wagering permit
An on-course wagering permit authorises the
holder to conduct, subject to this Act and the
regulations, the Racing Act 1958 and any
conditions to which the permit is subject,
on-course wagering by accepting investments
placed by persons on a racecourse at a bona fide
race meeting held under the Racing Act 1958
conducted by the holder, whether the investments
relate to races held on that racecourse or
elsewhere.
Division 2—Grant of Permit
4.4.2. Application for permit
(1) A licensed racing club may apply to the
Commission for the grant of an on-course
wagering permit.
(2) An application—
(a) must be in the form approved by the
Commission; and
(b) must be accompanied by the prescribed fee;
and
(c) must nominate a person to be appointed as
manager of the permit.
(3) An applicant must provide such additional
information in connection with the application as
the Commission requires.
s. 4.4.1
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(4) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for an on-course wagering
permit.
4.4.3 Matters to be considered in determining application
(1) The Commission must not grant a permit unless
satisfied that the applicant and the manager, and
each associate of the applicant and the manager, is
a suitable person to be concerned in, or associated
with, the management and operation of an on-
course wagering business.
(2) In particular, the Commission must consider
whether—
(a) the applicant and the manager, and each
associate of the applicant and the manager, is
of good repute, having regard to character,
honesty and integrity;
(b) the applicant and the manager, and each
associate of the applicant and the manager, is
of sound and stable financial background;
(c) the applicant has, or is or will be able to
obtain, financial resources that are adequate
to ensure the financial viability of the
proposed on-course wagering business and
the services of persons who have sufficient
experience in the management and operation
of a wagering business;
(d) the applicant has sufficient business ability
to establish and maintain a successful
wagering business of the size and kind
proposed;
(e) neither the applicant nor the manager, nor
any associate of the applicant or the
manager, has any association with any
s. 4.4.3
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person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity as a result of which the
applicant or the manager or the associate is
likely to be significantly affected in an
unsatisfactory manner;
(f) each executive officer of the applicant and
the manager and any other officer or person
determined by the Commission to be
associated or connected with the
management of the proposed operation of a
wagering business of the applicant is a
suitable person to act in that capacity.
4.4.4 Grant of permit
(1) The Commission may grant a permit to a licensed
racing club.
(2) A permit—
(a) applies to race-meetings held by the licensed
racing club on the race-course or race-
courses specified in the permit; and
(b) is for a term of 12 months; and
(c) is subject to the conditions determined by the
Commission and set out in the permit.
(3) The conditions of a permit (other than the term)
may be amended by the Commission with the
consent of the holder of the permit.
(4) A permit may be revoked at any time by the
Commission for just and reasonable cause stated
in writing.
4.4.5 Permit is non-transferable
A permit is not transferable to any other person.
s. 4.4.4
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Division 3—Conduct of On-course Wagering
4.4.6 Compliance with betting rules
(1) The holder of a permit must conduct on-course
wagering in accordance with the betting rules in
relation to wagering.
(2) The betting rules, as in force when the bet is
made, form part of the contract between the holder
of the permit and the investor.
4.4.7 Racing industry and licensee
The holder of a permit must not participate
directly or indirectly in any decision concerning
the operation, management or activities of a
business conducted under the wagering licence.
Division 4—Commissions, Dividends and Taxes
4.4.8 Commissions
(1) Subject to sub-section (2), the holder of a permit
may deduct, or cause to be deducted, as
commission out of the total amount invested in
each totalisator conducted by it on a wagering
event or wagering events an amount not exceeding
25% of the amount so invested.
(2) The holder of a permit must not, under sub-section
(1), deduct, or cause to be deducted, in respect of
a financial year an amount exceeding 16% of the
total amount invested during that financial year in
totalisators conducted by it on wagering events.
4.4.9 Dividends
(1) The holder of a permit, after deduction of its
commissions under section 4.4.8(1), must pay by
way of dividends all money invested in
totalisators conducted by it on a wagering event or
wagering events.
s. 4.4.6
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(2) If no person nominates the winning combination
in a totalisator conducted by a permit holder, the
permit holder may, unless otherwise directed by
the Commission, transfer the money that would
have been payable as dividends in that totalisator
to be added to the money to form part of the
money available for dividends in respect of a
subsequent totalisator conducted by it.
(3) If, but for this sub-section, a dividend would
include a fraction of 10 cents—
(a) if the fraction is less than 5 cents a permit
holder—
(i) must not include the fraction in the
dividend; and
(ii) must, within 14 days after the dividend
is paid, pay the fraction to the
Treasurer;
(b) if the fraction is 5 cents or more, a permit
holder—
(i) is required to include 5 cents in the
dividend; and
(ii) must, within 14 days after the dividend
is paid, pay the balance of the fraction
to the Treasurer.
4.4.10 Wagering tax
(1) The holder of a permit must pay to the Treasurer a
tax equal to 19⋅11% of the total amount deducted
under section 4.4.8(1) in respect of each day on
which it conducts a totalisator on a wagering
event or wagering events.
(2) The tax payable under sub-section (1) is payable
within 14 days after the day to which the tax
applies.
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(3) If the holder of a permit does not pay an amount
of tax payable under this section within the period
within which it is so payable, the holder of the
permit is liable to pay interest at the rate of 20%
per annum on that amount from the date on which
the payment was due until the payment.
(4) The Commission may, if it thinks fit, mitigate or
remit an amount of interest due under sub-
section (3).
4.4.11 Hospitals and Charities Fund
In respect of each financial year, an amount equal
to the amount paid to the Treasurer under
sections 4.4.9 and 4.4.10 in respect of that year
must be paid out of the Consolidated Fund (which
is hereby to the necessary extent appropriated
accordingly) into the Hospitals and Charities
Fund.
4.4.12 Supervision charge
(1) A permit holder must pay to the Treasurer a
supervision charge in such instalments in respect
of such periods in each financial year as the
Treasurer determines from time to time.
(2) The supervision charge is such amount in respect
of each financial year as the Treasurer, after
consultation with the Minister, determines having
regard to the reasonable costs and expenses in
respect of the financial year incurred by the
Commission in carrying out its functions and
powers in respect of on-course wagering.
(3) The supervision charge is a tax.
s. 4.4.11
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Division 5—General
4.4.13 Unclaimed refunds and dividends
(1) On or before the last day of each month (the
"payment month"), a permit holder must pay to
the Treasurer an amount equal to the sum of all
refunds and dividends that have remained
unclaimed for—
(a) in the case of a payment month before June
2004—not less than 12 months on the first
day of that payment month;
(b) in the case of the payment month of June
2004 and each subsequent payment
month—not less than 6 months on the first
day of that payment month—
less the expenses of the permit holder reasonably
incurred in searching for the persons entitled to
those refunds or dividends.
(2) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (1), the Treasurer, on being satisfied
that the claimant is the owner of the money
demanded, must direct that it be paid to the
claimant out of money available for the purpose.
_______________
s. 4.4.13
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PART 5—APPROVED BETTING COMPETITIONS
4.5.1 Approval of betting competitions
(1) Subject to this Part, the Minister may, by
instrument, approve a betting competition on a
particular event or contingency or class of events
or contingencies, as an approved betting
competition for the purposes of this Act, subject to
any conditions the Minister determines.
(2) The approval of a betting competition under this
section must specify whether it is a competition
with fixed odds or whether it is a competition
conducted on a totalisator.
(3) The Minister must not under this section approve
a betting competition—
(a) that is conducted on a totalisator on a
wagering event; or
(b) that is played on a gaming machine; or
(c) that is a club keno game; or
(d) that, in the opinion of the Minister, is
offensive or contrary to the public interest; or
(e) that is an interactive game.
4.5.2 Events and contingencies
A betting competition may be approved in respect
of—
(a) any event or contingency of or relating to a
horse race, harness race, or greyhound race;
(b) any other race, fight, game, sport or exercise;
(c) any other event or contingency of any kind.
s. 4.5.1
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4.5.3 Notice of approved betting competitions
Notice of the approval under this Part of a betting
competition that may be conducted by the licensee
or the wagering operator must be published in the
Government Gazette as soon as practicable after
the approval is given but a failure to publish the
notice does not affect the validity of the approval.
4.5.4 Conditions of approval
(1) The approval of a betting competition is subject to
any conditions specified in the instrument of
approval as varied and in force for the time being.
(2) The Minister, after consultation with the
Commission, may by instrument, vary or revoke
any conditions to which the approval of a betting
competition is subject and may, for any
reasonable cause stated in writing by the Minister,
withdraw the approval.
_______________
s. 4.5.3
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PART 6—COMMISSIONS, DIVIDENDS AND TAXES
Division 1—Wagering
4.6.1 Commissions
(1) Subject to sub-section (2), the licensee may
deduct, or cause to be deducted, as commission
out of the total amount invested in each totalisator
conducted by the licensee or wagering operator on
a wagering event or wagering events an amount
not exceeding 25% of the amount so invested.
(2) The licensee must not, under sub-section (1),
deduct, or cause to be deducted, in respect of a
financial year an amount exceeding 16% of the
total amount invested during that financial year in
totalisators, other than exempt totalisators,
conducted by the licensee or wagering operator on
wagering events.
4.6.2 Dividends
(1) The licensee or the wagering operator, after
deduction of the licensee's commissions under
section 4.6.1(1), must pay by way of dividends all
money invested in totalisators conducted by the
licensee or wagering operator on a wagering event
or wagering events.
(2) If no person nominates the winning combination
in a totalisator conducted by the licensee or an
operator, the licensee or wagering operator may,
unless otherwise directed by the Commission,
transfer the money that would have been payable
as dividends in that totalisator to be added to the
money to form part of the money available for
dividends in respect of a subsequent totalisator
conducted by the licensee or wagering operator.
s. 4.6.1
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(3) If, but for this sub-section, a dividend would
include a fraction of 10 cents—
(a) if the fraction is less than 5 cents, the
licensee or operator is not required to include
the fraction in the dividend; and
(b) if the fraction is 5 cents or more, the licensee
or operator is required to include 5 cents in
the dividend.
4.6.3 Wagering tax
(1) The licensee must pay to the Treasurer a tax equal
to 19⋅11% of—
(a) the total amount deducted under
section 4.6.1(1) less any amount referred to
in sub-section (2) in respect of each day on
which the licensee or wagering operator
conducts a totalisator, other than an exempt
totalisator, on a wagering event or wagering
events; and
(b) fractions relating to dividends in respect of
that amount retained under section 4.6.2(3).
(2) If the calculated dividend on an amount invested
in a totalisator is less than the minimum dividend
payable under the betting rules or the regulations,
the difference between the minimum dividend and
the calculated dividend is not to be included in the
total amount referred to in sub-section (1)(a).
(3) The tax payable under sub-section (1) is payable
within 14 days after the day to which the tax
applies.
(4) If the licensee does not pay an amount of tax
payable under this section within the period within
which it is so payable, the licensee is liable to pay
interest at the rate of 20% per annum on that
amount from the date on which the payment was
due until payment.
s. 4.6.3
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(5) The Commission may, if it thinks fit, mitigate or
remit an amount of interest due under sub-
section (4).
Division 2—Approved Betting Competitions
4.6.4 Commissions—totalisators
The licensee may deduct or cause to be deducted,
as commission out of the total amount invested in
each totalisator conducted by the licensee or
wagering operator on an approved betting
competition an amount not exceeding 25% of the
amount so invested.
4.6.5 Dividends
(1) The licensee or wagering operator, after the
deduction of the licensee's commissions under
section 4.6.4, must pay by way of dividends all
money invested in a totalisator conducted by the
licensee or wagering operator on an approved
betting competition.
(2) If no person nominates the winning combination
in a totalisator conducted by the licensee or
wagering operator on an approved betting
competition, the licensee or wagering operator
may, unless otherwise directed by the
Commission, transfer the money that would have
been payable as dividends in that totalisator to be
added to the money to form part of the money
available for dividends in respect of a subsequent
totalisator conducted by the licensee or wagering
operator on an approved betting competition.
(3) If, but for this section, a dividend would include a
fraction of 10 cents—
(a) if the fraction is less than 5 cents, the
licensee or wagering operator is not required
to include the fraction in the dividend; and
s. 4.6.4
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(b) if the fraction is 5 cents or more, the licensee
or wagering operator is required to include
5 cents in the dividend.
4.6.6 Tax
(1) The licensee must, in respect of such periods as
the Commission determines, pay to the Treasurer
a tax equal to 10⋅91% of the net investment, being
the total amount invested, less the total amount
paid out as winnings, in approved betting
competitions at fixed odds conducted by the
licensee or wagering operator during each such
period.
(2) The licensee must pay to the Treasurer a tax equal
to 19⋅11% of the sum of—
(a) the amount deducted under section 4.6.4 less
any amount referred to in sub-section (3) in
respect of each totalisator conducted by the
licensee or wagering operator on an
approved betting competition; and
(b) fractions relating to dividends in
respect of that amount retained under
section 4.6.5(3).
(3) If the calculated dividend on an amount invested
in a totalisator is less than the minimum dividend
payable under the betting rules or the regulations,
the difference between the minimum dividend and
the calculated dividend is not to be included in the
total amount referred to in sub-section (2)(a).
(4) Amounts payable under sub-sections (1) and (2)
are payable within 14 days after the approved
betting competition to which the tax applies is
conducted.
s. 4.6.6
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(5) If the licensee does not pay an amount of tax
payable under this section within the period within
which it is so payable, the licensee is liable to pay
interest at the rate of 20% per annum on that
amount from the date on which the payment was
due until payment.
(6) The Commission may, if it thinks fit, mitigate or
remit an amount of interest due under sub-
section (5).
Division 3—Supervision Charge
4.6.7 Licensee to pay charge
(1) The licensee must pay to the Treasurer a
supervision charge in such instalments in respect
of such periods in each financial year as the
Treasurer determines from time to time.
(2) The supervision charge is such amount in respect
of each financial year as the Treasurer, after
consultation with the Minister determines having
regard to the reasonable costs and expenses in
respect of the financial year incurred by the
Commission in carrying out its functions and
powers in respect of gaming, wagering, approved
betting competitions and club keno games.
(3) The supervision charge is a tax.
Division 4—General
4.6.8 Hospitals and Charities Fund
In respect of each financial year, an amount equal
to the sum of the amounts paid to the Treasurer
under sections 4.6.3 and 4.6.6 in respect of that
year must be paid out of the Consolidated Fund
(which is appropriated to the necessary extent)
into the Hospitals and Charities Fund.
s. 4.6.7
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4.6.9 Unclaimed refunds, dividends and prizes
(1) On or before the last day of each month (the
"payment month"), the licensee must pay to the
Treasurer an amount equal to the sum of all
refunds, dividends and prizes that have remained
unclaimed for—
(a) in the case of a payment month before June
2004—not less than 12 months on the first
day of that payment month;
(b) in the case of the payment month of June
2004 and each subsequent payment month—
not less than 6 months on the first day of that
payment month—
less the expenses of the licensee or wagering
operator reasonably incurred in searching for the
persons entitled to those refunds, dividends or
prizes.
(2) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (1), the Treasurer, on being satisfied
that the claimant is the owner of the money
demanded, must direct that it be paid to the
claimant out of money available for the purpose.
_______________
s. 4.6.9
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PART 7—OFFENCES
4.7.1 Minors
(1) A person having the management or control of, or
employed by or acting in any capacity for, the
licensee or wagering operator or a permit holder
must not accept a bet from, or give or send a ticket
or acknowledgment in respect of a bet to, any
minor.
Penalty: 20 penalty units.
(2) A minor must not—
(a) make a bet in a totalisator or approved
betting competition; or
(b) buy a ticket in a totalisator or approved
betting competition.
Penalty: 20 penalty units.
(3) The licensee or a permit holder must have a
clearly printed copy of sub-section (2)
prominently displayed at every place where bets
are accepted by the licensee or wagering operator
or a permit holder.
Penalty: 20 penalty units.
4.7.2 Offences relating to totalisators and approved
betting competitions
(1) A person (not being a person lawfully conducting
or employed in the wagering business conducted
by the licensee or wagering operator or a permit
holder) must not—
(a) sell or offer for sale any ticket in a totalisator
or approved betting competition; or
s. 4.7.1
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(b) make or offer to make any contract or
bargain to pay or receive a sum of money
calculated at a rate determined or to be
determined by the result of the operation of a
totalisator on any event; or
(c) receive from any other person any money for
the purpose of placing, investing or
depositing it or any part of it in any
totalisator for fee, commission, reward, share
or interest of any kind whatever or upon any
understanding or agreement whether
expressed or implied for such fee,
commission, reward, share or interest.
Penalty: 60 penalty units and an amount not
exceeding the amount received by the
person for investment in the totalisator
or approved betting competition.
(2) Sub-section (1)(b) does not apply to a bookmaker
or a bookmaker's clerk who—
(a) is registered under the Racing Act 1958; and
(b) is carrying on his or her business or is
engaged in his or her employment (as the
case may be) at a race meeting authorised
under that Act; and
(c) complies with any conditions imposed by the
Minister after consultation with Racing
Victoria, Harness Racing Victoria or
Greyhound Racing Victoria (as the case may
be) and the Victorian Bookmakers'
Association.
(3) A person must not purchase a ticket in a totalisator
or approved betting competition from a person not
authorised to sell it.
Penalty: 10 penalty units.
s. 4.7.2
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(4) A person having the management or control of or
employed by or acting in any capacity for the
licensee or wagering operator or a permit holder
in the wagering or approved betting competition
business conducted by the licensee, wagering
operator or permit holder must not—
(a) accept from any person any bet which is
prohibited by or does not conform to this Act
or the regulations or the betting rules; or
(b) receive or permit to be received any bet in a
totalisator in respect of an event after the
start of the event; or
(c) receive or permit to be received any bet in an
approved betting competition after the start
of the competition or such later times as is
specified in the betting rules applicable to
that competition; or
(d) accept or act on any request, instructions or
directions relating to any bet on a totalisator
transmitted by letter, telephone, fax, e-mail
or any other means of communication unless
the person wanting to make the bet has
established a betting account with the
licensee or an operator in accordance with
the betting rules and the balance of the
account is sufficient to pay the amount of the
bet and the bet is charged against that
account.
Penalty: 60 penalty units.
(5) A person must not employ, or cause to be
employed, another person to service, maintain or
repair an instrument, contrivance, hardware,
software or equipment referred to in
section 4.2.3(1) unless the second-mentioned
person is a licensed technician.
Penalty: 250 penalty units.
s. 4.7.2
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4.7.3 Tickets etc. purportedly issued by licensee
(1) A person who is not lawfully managing or
controlling or being employed by the licensee or
wagering operator or a permit holder or an agent
of the licensee, wagering operator or permit
holder, must not sell or offer to sell any ticket or
acknowledgment purporting to be issued by the
licensee, wagering operator or permit holder in
respect of a bet.
Penalty: 60 penalty units.
(2) A person must not purchase a ticket or
acknowledgment purporting to be issued by the
licensee or wagering operator or a permit holder
in respect of a bet from any person not authorised
to sell it.
Penalty: 20 penalty units.
4.7.4 Offence related to payment of dividends or prizes
An officer, employee or agent of the licensee or
wagering operator or of a permit holder must not
make, authorise or permit the payment to any
person of a dividend or prize which is not
calculated in accordance with the betting rules or
the regulations.
Penalty: 60 penalty units.
4.7.5 Inducements, cheating etc.
(1) A person ("the cheat") must not dishonestly, by a
scheme or practice, in relation to the conduct of
wagering or approved betting competitions,
induce a relevant person to deliver, give or credit
to the cheat or any other person, any money,
tickets, benefit, advantage, valuable consideration
or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
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(2) A relevant person must not dishonestly, by a
scheme or practice, in relation to the conduct of
wagering or approved betting competitions,
induce a person to deliver, give or credit to the
relevant person or any other person, any money,
tickets, benefit, advantage, valuable consideration
or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(3) In this section—
"relevant person" means—
(a) the licensee or wagering operator or a
permit holder; or
(b) an associate of the licensee or wagering
operator or of a permit holder; or
(c) a person acting on behalf of the
licensee or wagering operator or a
permit holder.
4.7.6 Offence to extend credit etc.
The licensee or wagering operator or a permit
holder, or an agent or employee of the licensee,
wagering operator or permit holder, must not—
(a) accept a bet made otherwise than by means
of money or by debiting the amount of the
bet from a betting account with a balance
sufficient to cover the amount of the bet; or
(b) lend money or any valuable thing in
connection with wagering or gaming; or
(c) accept a bet as part of a transaction involving
a credit card; or
(d) extend any other form of credit.
Penalty: 60 penalty units.
_______________
s. 4.7.6
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PART 8—COMPLIANCE REQUIREMENTS
Division 1—Banking, Accounting and Auditing
4.8.1 Application of Division
Nothing in this Division applies to a transaction,
accounting record, account, balance sheet,
document, book or financial statement which does
not form, or record, part of the business of the
wagering operator or permit holder carried on by a
person in accordance with this Chapter.
4.8.2 Banking
(1) The wagering operator must—
(a) keep and maintain separate accounts—
(i) for amounts invested in wagering;
(ii) for amounts invested in approved
betting competitions—
as approved by the Commission, at an
authorised deposit-taking institution or
institutions in the State for use for all
banking transactions arising under this
Chapter in relation to the wagering operator;
and
(b) from time to time provide the Commission,
as required, and in a form approved by the
Commission, with a written authority
addressed to the authorised deposit-taking
institution referred to in paragraph (a)
authorising the authorised deposit-taking
institution to comply with any requirements
of an inspector exercising the powers
conferred by this section.
Penalty: 100 penalty units.
s. 4.8.1
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(2) The holder of a permit must—
(a) keep and maintain an account for amounts
invested in wagering as approved by the
Commission, at an authorised deposit-taking
institution in the State for use for all banking
transactions arising under this Chapter in
relation to the permit holder; and
(b) from time to time provide the Commission,
as required, and in a form approved by the
Commission, with a written authority
addressed to the authorised deposit-taking
institution authorising the authorised deposit-
taking institution to comply with any
requirements of an inspector exercising the
powers conferred by this section.
Penalty: 100 penalty units.
(3) An inspector, by notice in writing, may require the
manager or other principal officer of an authorised
deposit-taking institution referred to in sub-section
(1) or (2) to provide the inspector with a statement
of an account referred to in that section and such
other particulars relating to the account as may be
specified in the notice.
(4) A person to whom a notice is given under sub-
section (3) must comply with the notice.
Penalty: 60 penalty units.
(5) An inspector may not exercise the powers
conferred by this section without the prior written
approval of the Commission.
4.8.3 Accounts
(1) The wagering operator must keep such accounting
records as correctly record and explain the
transactions and financial position of the
operations of the wagering operator.
s. 4.8.3
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(2) The holder of a permit must keep such accounting
records as correctly record and explain the
transactions and financial position of the
operations of the permit holder.
(3) The accounting records must be kept in such
manner as will enable true and fair financial
statements and accounts to be prepared from time
to time and the financial statements and accounts
to be conveniently and properly audited.
(4) The wagering operator and a permit holder must,
as soon as practicable after the end of each
financial year, prepare financial statements and
accounts, including—
(a) cash flow statements for the financial year;
and
(b) profit and loss accounts for the financial
year; and
(c) a balance-sheet as at the end of the financial
year—
that give a true and fair view of the financial
operations of the wagering operator or the permit
holder, as the case may be.
Penalty: 60 penalty units.
4.8.4 Books etc. to be kept on the premises
(1) The wagering operator must ensure that all
documents relating to the operations of the
wagering operator under this Chapter are—
(a) kept at the principal place of business in
Victoria of the wagering operator or at such
other place as the Commission approves in
writing; and
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(b) retained for not less than 7 years after the
completion of the transactions to which they
relate.
Penalty: 60 penalty units.
(2) The holder of a permit must ensure that all
documents relating to the operations of the holder
under the permit are—
(a) kept at the principal place of business in
Victoria of the permit holder or at such other
place as the Commission approves in
writing; and
(b) retained for not less than 7 years after the
completion of the transactions to which they
relate.
Penalty: 60 penalty units.
(3) The Commission may by instrument in writing
grant an exemption to the wagering operator or
permit holder from all or specified requirements
of this section in respect of all or specified, or
specified classes of, documents and may grant the
exemption subject to conditions.
4.8.5 Audit of wagering operator and permit holders
(1) The wagering operator must, as soon as
practicable after the end of each financial year,
cause the books, accounts and financial statements
of the wagering operator to be audited by an
auditor approved by the Commission.
(2) The holder of a permit must, as soon as
practicable after the end of each financial year,
cause the books, accounts and financial statements
of the permit holder to be audited by an auditor
approved by the Commission.
s. 4.8.5
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(3) The auditor—
(a) has right of access at all times to the books
of the wagering operator or permit holder;
and
(b) may require from an officer or employee of
the wagering operator or permit holder any
information, assistance and explanations
necessary for the performance of the duties
of the auditor in relation to the audit.
(4) The wagering operator or permit holder must
cause the auditor's report to be lodged with the
Commission within 75 days (or any longer period
not exceeding 4 months agreed by the
Commission) after the end of the financial year to
which the report relates.
(5) If the Commission gives notice in writing to a
subsidiary of the licensee (other than the wagering
operator), or to a subsidiary of a subsidiary of the
licensee, to the effect that this section applies to
the subsidiary, in respect of a specified period,
this section applies accordingly and has effect as
if, in respect of that period, a reference to the
wagering operator included a reference to that
subsidiary.
Penalty: 60 penalty units.
Division 2—Reporting
4.8.6 Submission of reports
(1) The wagering operator must submit to the
Commission reports relating to its operations
under this Chapter.
(2) The holder of a permit must submit to the
Commission reports relating to its operations
under this Chapter.
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(3) The reports must include reports on agreements
and arrangements enabling or facilitating the
making of bets on totalisators conducted in
Victoria by persons outside Victoria.
(4) The reports are to be submitted at the times, and
are to contain the information, that is specified by
notice in writing given to the wagering operator or
the permit holder, as the case may be, by the
Commission from time to time.
__________________
s. 4.8.6
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CHAPTER 5—LOTTERIES
PART 1—INTRODUCTION
5.1.1 Purposes
The main purposes of this Chapter are—
(a) to provide for the lawful conduct of public
lotteries, including football pools and
competitions; and
(b) to generate additional funds for grass roots
sports, health, women's sports and sports
medicine through the licensing of AFL footy
tipping competitions; and
(c) to provide for the lawful conduct of trade
promotion lotteries.
5.1.2 Definitions
In this Chapter—
"amount paid" does not include an amount
determined in accordance with the licence
conditions that is paid by way of commission
paid or payable to an agent of the licensee
(but not including any amount in respect of
GST payable on the supply in respect of
which the commission was paid or is
payable);
"appointed subsidiary" means a company
appointed by a public lottery licensee under
section 5.3.14 to conduct public lotteries
under the public lottery licence;
"corresponding law", in relation to a
participating jurisdiction, means a law of the
participating jurisdiction declared under
section 5.4.7(1)(b) to be a corresponding
law;
s. 5.1.1
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"licence conditions" means the conditions
imposed on a public lottery licence under
section 5.3.7;
"lottery rules" means rules made under section
5.2.2 for a public lottery;
"participating jurisdiction" means a State,
Territory or country declared under
section 5.4.7(1)(a) to be a participating
jurisdiction;
"player" means a person who enters a public
lottery;
"public lottery" means a lottery or other game or
competition of chance, or partly of chance
and partly of skill, in which people pay
money to enter with the possibility of
obtaining a prize, including a lottery, game
or competition that involves a scheme of
pari-mutuel betting.
5.1.3 Application of Chapter
Nothing in this Chapter applies to a raffle, lottery
or other activity authorised by or under Chapter 8.
__________________
s. 5.1.3
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PART 2—PUBLIC LOTTERIES
Division 1—Legality of Public Lotteries
5.2.1 Public lotteries declared lawful
The conduct of a public lottery in accordance with
this Chapter by a licensee or an appointed
subsidiary of a licensee is lawful and is not a
public nuisance.
Division 2—Public Lottery Rules
5.2.2 Lottery rules
(1) A public lottery licensee must make rules, not
inconsistent with this Act, the regulations or the
licence conditions, for or with respect to the
conduct of each public lottery authorised by the
public lottery licence.
(2) A public lottery licensee or an appointed
subsidiary must not conduct a public lottery
unless—
(a) lottery rules for the public lottery are in
force; and
(b) the public lottery is conducted in accordance
with those rules.
Penalty: 100 penalty units.
(3) Without limiting sub-section (1), lottery rules may
make provision for any of the following matters—
(a) the handling of applications to enter a public
lottery;
(b) the recording of entries in a public lottery;
(c) the determination of the entitlement (if any)
of a player to a prize in a public lottery;
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(d) the payment of prizes in, or the refund of
money paid to enter, a public lottery.
(4) As soon as practicable after making lottery rules, a
public lottery licensee must give a copy of them to
the Commission.
(5) Lottery rules for a public lottery, as in force when
an entry to the public lottery is accepted, form part
of the contract between the licensee and the
player.
5.2.3 When do lottery rules come into force?
(1) Lottery rules come into force on the day specified
in them, which must be—
(a) at least 4 weeks after the day on which they
are made; or
(b) an earlier day approved by the Commission
(not being a day before the rules are made).
(2) An approval under sub-section (1)(b) must be in
writing.
(3) Despite sub-section (1), lottery rules cannot come
into force before notice of making them is
published in accordance with section 5.2.4.
5.2.4 Publication and inspection of lottery rules
(1) A public lottery licensee must publish notice of
the making of lottery rules in the Government
Gazette and in a newspaper circulating generally
in Victoria.
(2) A public lottery licensee or other person who
accepts entries in a public lottery must—
(a) make available a complete copy of the
lottery rules for the public lottery for
inspection by any person free of charge on
request; and
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(b) at each place or point at which those entries
are accepted, display a notice stating that the
lottery rules are available for inspection.
(3) A notice under sub-section (2)(b) must be in the
form approved by the Commission.
5.2.5 Disallowance of lottery rules
(1) The Commission may disallow lottery rules in
whole or part at any time by giving written notice
to the public lottery licensee, if—
(a) the Commission is satisfied that the rules
are—
(i) unfair to players; or
(ii) unreasonable; or
(iii) contrary to the public interest; or
(b) the Minister has requested the Commission
to disallow the rules under sub-section (3).
(2) The Commission may refer lottery rules to the
Minister if the Commission considers that the
Minister ought to consider whether the rules
should be disallowed.
(3) The Minister may request the Commission to
disallow lottery rules (whether or not they were
referred to the Minister under sub-section (2)), if
the Minister considers that the lottery rules—
(a) are not in the public interest; or
(b) would result in the public lottery being of a
different character from the public lottery
authorised to be conducted by the licence.
(4) In deciding whether to request disallowance, the
Minister may take into account, among other
things, the amount of the premium payment for
the licence.
s. 5.2.5
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(5) The disallowance of lottery rules takes effect on
the day specified in the notice of disallowance,
being a day that is at least 3 days after the notice
is given to the licensee.
(6) If, before lottery rules are made, the Commission
consents in writing to the making of the rules in
the form in which they are made, the Commission
must not disallow the rules or any part of them
within the period of 6 months after they are made,
unless the Minister requests disallowance under
sub-section (3).
(7) A function of the Commission under this section
may be performed by the Executive
Commissioner.
Division 3—Conduct of Public Lotteries
5.2.6 Supervision of public lottery draws by
Commission's representative
A public lottery licensee or other person must not
determine a public lottery by draw unless a person
nominated by the Commission supervises the
draw.
5.2.7 Licensee to record entries
(1) A public lottery licensee must ensure that an
accurate record is made (whether by the issue of a
ticket or otherwise) of each entry in a public
lottery conducted under the licensee's licence.
(2) The record must include—
(a) an identifying number, or other form of
identification, of the entry; and
(b) the amount paid to enter the lottery; and
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(c) the amount (if any) of commission paid or
payable to an agent of the licensee in respect
of the entry, determined in accordance with
the licence conditions.
(3) The licensee must ensure that the record of entry,
or a copy of it, is given or made available to the
player on request.
5.2.8 Prohibition on accepting public lottery entries by
minors
A person must not knowingly accept an entry in a
public lottery from a minor.
Penalty: 10 penalty units.
5.2.9 Licensee not to act as credit provider
A public lottery licensee must not provide credit
to a player.
Penalty: For a first offence, 240 penalty units.
For a second or subsequent offence,
240 penalty units or imprisonment for
2 years, or both.
5.2.10 Non-monetary prizes
(1) If a public lottery licensee offers a non-monetary
prize in a public lottery the licensee must also
offer a monetary prize of equivalent value as an
alternative to the non-monetary prize.
(2) In determining whether a monetary prize is of
equivalent value to a non-monetary prize, any
amount in respect of GST payable in respect of
the supply to which the prize relates is to be taken
into account.
s. 5.2.8
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5.2.11 Prohibition of certain schemes
(1) A person, or two or more persons together, must
not conduct or promote a scheme or part of a
scheme—
(a) under which a guarantee or promise is given
to a person participating in the scheme to the
effect that the person will win a prize or
share of a prize in a public lottery; or
(b) in respect of which the person knows, or
ought reasonably to know, or represents, that
the probability of participants in the scheme
collectively or separately winning a prize or
share of a prize in a public lottery is greater
than the highest probability of winning a
prize or share of a prize in that public lottery
under any scheme conducted by the licensee
in relation to that public lottery.
Penalty: 60 penalty units or imprisonment for
6 months or both.
(2) A prize is not payable in respect of an entry in a
public lottery if the entry was accepted or
obtained under, or used in connection with, a
scheme or part of a scheme—
(a) of a kind referred to in sub-section (1); and
(b) conducted by a person other than a licensee
or an appointed subsidiary of a licensee.
(3) If a prize has been paid in respect of an entry in a
public lottery, the entitlement to the prize must not
be questioned on the ground that it was not
payable by reason of sub-section (2).
(4) In this section—
"scheme" includes plan, contract, arrangement,
agreement or undertaking.
s. 5.2.11
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5.2.12 Publicity concerning prizewinners
(1) A public lottery licensee or an appointed
subsidiary must not publish, or cause to be
published, the identity of a person who claims a
prize in a public lottery if the person has requested
anonymity.
(2) A player may request anonymity—
(a) in the manner set out in the licence
conditions or the lottery rules; or
(b) in the prescribed manner.
(3) A person may at any time revoke a request for
anonymity.
(4) This section does not prevent a public lottery
licensee or an appointed subsidiary from
publishing, or causing to be published, the venue
or geographic location at which a prizewinning
entry was made and the amount of a prize won.
_______________
s. 5.2.12
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PART 3—PUBLIC LOTTERY LICENCES
Division 1—Number and Type of Public Lottery Licences
5.3.1 Minister determines number and type of public
lottery licences
The Minister is to determine from time to time—
(a) the number of public lottery licences that
may be issued; and
(b) the public lotteries those licences may
authorise to be conducted.
5.3.2 Which public lotteries can be licensed?
(1) The Minister may issue a public lottery licence for
the conduct of any one or more public lotteries
except as provided by this section.
(2) The Minister cannot issue a licence to conduct a
public lottery that is or involves—
(a) wagering; or
(b) gaming on gaming machines; or
(c) a club keno game; or
(d) a game approved under section 60 of the
Casino Control Act 1991 to be played in a
casino.
(3) The Minister must not issue a licence to conduct a
public lottery that, in his or her opinion, is
offensive or contrary to the public interest.
s. 5.3.1
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Division 2—Licensing Procedure
5.3.3 Application for licence
(1) A person who—
(a) has a physical place of business in Victoria;
and
(b) is not a natural person—
may apply to the Minister for a public lottery
licence.
(2) A licence application—
(a) must be in the form, contain the information
and be accompanied by the documents,
required by the Minister; and
(b) must be accompanied by the prescribed
application fee.
(3) Until the regulations provide otherwise, the
prescribed application fee is $100.
(4) The Minister may require an applicant to provide
any further information to the Minister in
connection with the application.
(5) The Minister must refer each licence application
to the Commission.
(6) If a requirement made by this section is not
complied with, the Minister may refuse to
consider the application or to refer it to the
Commission.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a public lottery licence.
s. 5.3.3
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5.3.4 Report to Minister by Commission
(1) The Commission must give a written report to the
Minister on each licence application, stating
whether or not, in the Commission's opinion—
(a) the applicant, and each associate of the
applicant, is of good repute, having regard to
character, honesty and integrity;
(b) the applicant, or an associate of the
applicant, has an association with a person or
body that is not of good repute having regard
to character, honesty and integrity as a result
of which the applicant or the associate is
likely to be significantly affected in an
unsatisfactory manner;
(c) each executive officer of the applicant and
any other person determined by the
Commission to be concerned in or associated
with the ownership, management or
operation of the applicant's business, is a
suitable person to act in that capacity;
(d) the applicant has sufficient technical
capability and adequate systems to conduct
the public lottery to be authorised by the
licence;
(e) the applicant is of sound and stable financial
background;
(f) the applicant has financial resources that are
adequate to ensure the financial viability of a
public lottery business;
(g) the applicant has the ability to establish and
maintain a successful public lottery business.
s. 5.3.4
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(2) The report may include any recommendations the
Commission thinks fit, including
recommendations as to any appropriate licence
conditions.
(3) The report must include the reasons for any
findings or recommendations contained in it.
5.3.5 Determination of applications
(1) The Minister is to determine whether to grant or
refuse a licence application after receiving the
report of the Commission under section 5.3.4.
(2) The Minister may grant a licence application only
if he or she is satisfied that the granting of the
application is in the public interest, taking into
account the matters referred to in section 5.3.4(1)
and any other matters the Minister considers
relevant.
(3) In determining whether to grant or refuse a licence
application, the Minister is entitled to rely on any
findings or recommendations contained in the
report of the Commission.
(4) If the Minister refuses a licence application, he or
she must give written notice to the applicant.
5.3.6 Issue of licence
(1) If the Minister grants a licence application, he or
she must issue a public lottery licence to the
applicant accordingly.
(2) A public lottery licence must specify the public
lottery authorised to be conducted by the licence.
s. 5.3.5
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5.3.7 Licence conditions
The Minister may impose any conditions he or she
thinks fit on a public lottery licence, including—
(a) conditions referred to in any other provision
of this Chapter;
(b) conditions that leave any matter or thing to
be from time to time determined, applied,
dispensed with or regulated by the
Commission;
(c) conditions that remain in effect after the
licence expires or is surrendered, cancelled
or suspended.
5.3.8 Duration of licence
(1) A public lottery licence—
(a) takes effect at the time of issue or at the later
time specified in the licence; and
(b) is valid for the term, not exceeding 7 years,
specified in the licence, unless terminated
earlier in accordance with this Chapter or
extended under this section.
(2) A public lottery licensee may apply to the
Minister, before the public lottery licence expires,
for a licence extension.
(3) On application under sub-section (2), the Minister
may, after consulting the Commission, extend the
licence for a period not exceeding 12 months from
the day it would otherwise expire.
(4) A licence may be extended only once.
(5) A licence cannot be renewed, but a person who
holds or has held a licence may apply for another
public lottery licence.
s. 5.3.7
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5.3.9 Premium payment
(1) The Minister may require a public lottery licensee
to pay, as consideration for the public lottery
licence, one or more amounts determined by the
Minister as the premium payment.
(2) The Minister may determine the premium
payment as—
(a) a single amount payable on the issue of the
licence, or by the later time determined by
the Minister; or
(b) an amount payable each year for the duration
of the licence at the time determined by the
Minister.
(3) The premium payment is a tax.
5.3.10 Licence is non-transferable
A public lottery licence is not transferable to any
other person.
5.3.11 Publication and tabling of licences
The Minister must cause a copy of each public
lottery licence—
(a) to be published, as soon as practicable after
its issue, in the Government Gazette and in a
newspaper circulating generally in Victoria;
and
(b) to be laid before each House of the
Parliament within 7 sitting days of the House
after it is issued.
5.3.12 Inspection of licence
A public lottery licensee must make a copy of the
public lottery licence available for inspection by
members of the public at the licensee's principal
place of business in Victoria during normal
business hours.
s. 5.3.9
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5.3.13 Register of licences
(1) The Minister must cause a register of public
lotteries licences to be kept.
(2) The register must contain—
(a) the name and address of the licensee and of
any appointed subsidiary of the licensee; and
(b) the public lottery authorised to be conducted
by the licence; and
(c) any other information determined by the
Minister.
(3) Anyone may inspect the register without charge at
the office of the department for which the
Minister is responsible during the hours that the
office is open to the public.
Division 3—Appointing Subsidiaries to Conduct Public
Lotteries
5.3.14 Appointment of subsidiaries
(1) A public lottery licensee may, by notice in writing
given to the Minister, appoint to conduct public
lotteries under the public lottery licence a
Victorian company that is—
(a) a wholly-owned subsidiary of the licensee;
and
(b) approved by the Commission.
(2) A company appointed to conduct public lotteries
under a public lottery licence ceases to be
authorised to conduct them on ceasing to be a
wholly-owned subsidiary of the licensee.
(3) At any time, the licensee may revoke an
appointment under sub-section (1) by giving
written notice of revocation to the Minister.
s. 5.3.13
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5.3.15 Approval of subsidiary
On application by a public lottery licensee, the
Commission may approve a wholly-owned
subsidiary of the licensee for appointment under
section 5.3.14 if satisfied that—
(a) the licensee has given the subsidiary an
irrevocable guarantee and indemnity, in the
form approved by the Treasurer, in respect of
the financial obligations of the subsidiary;
and
(b) the appointment of the subsidiary under
section 5.3.14 would not result in a person
who is not currently an associate of the
licensee becoming an associate of the
licensee.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval of a
wholly-owned subsidiary.
Division 4—Amending and Surrendering Licences
5.3.16 Request by licensee for amendment of licence
(1) A public lottery licensee may request the Minister
to amend the public lottery licence to remove or
vary a condition of the licence or to impose an
additional condition on the licence.
(2) A request for a licence amendment—
(a) must be in the form, contain the information
and be accompanied by the documents,
required by the Minister; and
(b) must include the reasons for the requested
amendment.
(3) The Minister may require the licensee to provide
any further information to the Minister in
connection with the request.
s. 5.3.15
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(4) If a requirement made by this section is not
complied with, the Minister may refuse to
consider the request.
5.3.17 Notification of other affected licensees
(1) The Minister may require a public lottery licensee
who requests a licence amendment to notify in
writing the licensee of any other public lottery
licence that, in the Minister's opinion, may be
adversely affected if the amendment is made.
(2) Notification under sub-section (1)—
(a) must be in the form and contain the
information required by the Minister; and
(b) must include the reasons for the requested
amendment; and
(c) must inform the licensee to whom it is given
of their right to object to the requested
amendment.
(3) If a requirement made by this section is not
complied with, the Minister may refuse to
consider the request for amendment.
5.3.18 Objection by other licensees
(1) A public lottery licensee who receives notice
under section 5.3.17 may lodge a written objection
with the Minister.
(2) The objection must be lodged within 28 days after
receiving the notice.
5.3.19 Amendment of licence
(1) The Minister must decide whether to make an
amendment requested under section 5.3.16, either
with or without changes from that originally
requested, and must give written notice of the
decision to the public lottery licensee and to any
public lottery licensee who lodged an objection
under section 5.3.18.
s. 5.3.17
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(2) In deciding whether or not to make an
amendment, the Minister must have regard to any
objections lodged under section 5.3.18, and must
take into account whether, in his or her opinion,
the amendment—
(a) is in the public interest; and
(b) is consistent with the tenor of the original
licence; and
(c) would have an unduly adverse effect on any
other public lottery licence.
(3) As a condition of making a requested amendment,
the Minister may require the licensee to pay to the
State a premium determined by the Minister that
reflects the increased value of the licence as
amended.
(4) If the Minister amends a licence under this
section—
(a) the licensee must cause a copy of the
amendment to be published as soon as
practicable in the Government Gazette and in
a newspaper circulating generally in
Victoria; and
(b) the Minister must cause a copy of the
amendment to be laid before each House of
the Parliament within 7 sitting days of the
House after it is made.
(5) An amendment takes effect when notice of the
decision to make the amendment is given to the
licensee under sub-section (1) or on a later date
specified in the notice.
s. 5.3.19
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5.3.20 Surrender of licence
(1) A public lottery licensee may surrender the public
lottery licence by giving written notice to the
Minister.
(2) The surrender takes effect only if the Minister
consents to the surrender.
(3) The Minister may consent subject to any
conditions he or she thinks fit, and those
conditions remain in effect after the surrender in
accordance with their terms.
Division 5—Disciplinary Action
5.3.21 Grounds for disciplinary action
Each of the following is a ground for disciplinary
action in relation to a public lottery licence—
(a) the licensee is not, or is no longer, a suitable
person or body to conduct the public lottery
authorised by the licence;
(b) the licensee has been found guilty of an
offence against a gaming Act or a
corresponding law;
(c) the licensee, or an associate of the licensee,
has been found guilty of an offence
involving fraud or dishonesty, whether or not
in Victoria, the maximum penalty for which
exceeds imprisonment for 3 months;
(d) the licensee has contravened a condition of
the licence;
(e) the licensee has contravened a provision of
this Act or a corresponding law (being a
provision a contravention of which does not
constitute an offence);
s. 5.3.20
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(f) the licensee has failed to discharge financial
obligations to a player;
(g) the licensee becomes an externally-
administered body corporate or otherwise
becomes insolvent;
(h) the licence was obtained by a materially false
or misleading representation or in some other
improper way.
5.3.22 Commission may recommend disciplinary action
(1) If the Commission considers that there is a ground
for taking disciplinary action in relation to a
public lottery licence, the Commission may give
the licensee written notice giving the public
lottery licensee an opportunity to show cause
within 28 days why disciplinary action should not
be taken on the ground specified in the notice.
(2) The licensee, within the period allowed by the
notice, may arrange with the Commission for the
making of submissions to the Commission as to
why disciplinary action should not be taken.
(3) After considering any submission made under
sub-section (2), the Commission may make a
written report to the Minister recommending that
the Minister take disciplinary action against the
licensee under section 5.3.23.
(4) The report must include the reasons for the
findings and recommendations contained in it.
5.3.23 Minister may take disciplinary action
(1) The Minister, on the recommendation of the
Commission under section 5.3.22, may take any
one or more of the following disciplinary
actions—
(a) issue a letter of censure to the licensee;
s. 5.3.22
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(b) fine the licensee an amount not exceeding
$500 000;
(c) amend the licence;
(d) cancel or suspend the licence.
(2) In taking disciplinary action, the Minister—
(a) is entitled to rely on the findings and
recommendations in the report of the
Commission under section 5.3.22; and
(b) is not required to give the licensee a further
opportunity to be heard or make
submissions.
(3) Cancellation, suspension or amendment of a
licence under this section takes effect when
written notice is given to the licensee or on a later
date specified in the notice.
(4) A letter of censure may censure the licensee in
respect of any matter connected with the
management or operation of its public lottery
business and may include a direction to the
licensee to rectify within a specified time any
matter giving rise to the letter of censure.
(5) If a direction given under sub-section (4) is not
complied with in the specified time, the Minister
may, by giving written notice to the licensee,
cancel, suspend or amend the licence without
giving the licensee a further opportunity to be
heard or make submissions.
(6) A fine imposed under this section may be
recovered in a court of competent jurisdiction as a
debt due to the State.
s. 5.3.23
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5.3.24 Suspension of licence pending criminal proceedings
(1) The Minister may suspend a public lottery licence
by giving written notice to the licensee if the
Minister is satisfied that the licensee or an
executive officer of the licensee has been charged
with—
(a) an offence against a gaming Act or gaming
regulations; or
(b) an offence arising out of or in connection
with the management or operation of a
public lottery business; or
(c) an indictable offence or an offence that, if
committed in Victoria, would be an
indictable offence, the nature and
circumstances of which, in the opinion of the
Minister, relate to the management or
operation of a public lottery business.
(2) The Minister may, at any time, terminate or
reduce a period of suspension imposed under sub-
section (1).
5.3.25 Effect of licence suspension
A public lottery licence is of no effect for the
purposes of Part 2 while it is suspended.
5.3.26 Application of Division to appointed subsidiaries
A reference in this Division to a public lottery
licensee includes a reference to an appointed
subsidiary of the licensee.
_______________
s. 5.3.24
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PART 4—RETURNS TO PLAYERS AND TAXES
Division 1—Returns to Players
5.4.1 Returns to players
(1) A public lottery licensee must ensure that the
following minimum return to players is made on
public lotteries conducted each year under the
public lottery licence—
(a) 50% of the total amount paid by players to
enter soccer football pools;
(b) 60% of the total amount paid by players to
enter any other public lottery.
(2) In this section—
"year", in relation to a licence, means the year
commencing on the day on which the licence
takes effect and the year commencing on
each anniversary of that day.
Division 2—Taxes
5.4.2 Supervision charge
(1) A public lottery licensee must pay to the Treasurer
a supervision charge in the instalments and in
respect of the periods in each financial year that
the Treasurer determines from time to time.
(2) The supervision charge is the amount in respect of
each financial year that the Treasurer, after
consultation with the Minister, determines having
regard to the reasonable costs and expenses in
respect of the financial year incurred by the
Commission in performing its functions under this
Act in respect of public lotteries.
(3) The supervision charge is a tax.
s. 5.4.1
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5.4.3 Public lottery tax
(1) In relation to each public lottery conducted under
a public lottery licence, the public lottery licensee
must—
(a) lodge a return with the Commission; and
(b) pay to the Commission to be paid into the
Consolidated Fund the required percentage
of player loss.
(2) The required percentage of player loss is—
(a) in relation to an AFL footy tipping
competition—
(i) 58⋅41% of the player loss that is in
respect of supplies on which GST is
payable; and
(ii) 67⋅50% of the player loss that is in
respect of supplies on which GST is not
payable;
(b) in relation to a soccer football pool—
(i) 57⋅52% of the player loss that is in
respect of supplies on which GST is
payable; and
(ii) 68% of the player loss that is in respect
of supplies on which GST is not
payable;
(c) in relation to any other public lottery—
(i) 79⋅40% of the player loss that is in
respect of supplies on which GST is
payable; and
(ii) 90% of the player loss that is in respect
of supplies on which GST is not
payable.
(3) The return must be in the form, and contain the
particulars, required by the Commission.
s. 5.4.3
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(4) The return must be lodged, and payment made,
not later than the 7 days after the determination of
the public lottery to which the return relates.
(5) In this section—
"player loss", in relation to a public lottery,
means the total amount paid by all players to
enter the public lottery less—
(a) the sum of all prizes payable from that
total amount (other than prizes payable
from a jackpot prize pool) and any
refunds made to players from that total
amount; and
(b) the sum of amounts determined under
the lottery rules for the public lottery
for payment in respect of that total
amount to a jackpot prize pool.
5.4.4 Penalty interest for late payment
A public lottery licensee must pay to the
Commission, for payment into the Consolidated
Fund, interest on an amount payable under
section 5.4.3 or on a premium payment under
section 5.3.9 or 5.3.19(3) that is outstanding as at
the end of the period allowed for payment, at the
rate fixed for the time being under section 2 of the
Penalty Interest Rates Act 1983.
5.4.5 Recovery of amounts
An amount payable under section 5.4.3, a
premium payment under section 5.3.9 or
5.3.19(3), or any interest payable under
section 5.4.4 may be recovered in a court of
competent jurisdiction as a debt due to the State.
s. 5.4.4
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5.4.6 Application of tax proceeds
(1) In each financial year, the hypothecated amount
must be paid out of the Consolidated Fund, in the
proportions determined by the Treasurer, into—
(a) the Hospitals and Charities Fund; and
(b) the Mental Health Fund.
(2) The hypothecated amount for a financial year is
an amount equal to the amount paid into the
Consolidated Fund under section 5.4.3 in that year
and any interest paid under section 5.4.4 in respect
of that amount, less—
(a) any amount paid into the Consolidated Fund
in that year in respect of AFL footy tipping
competitions; and
(b) any amount paid out of the Consolidated
Fund in that year under section 5.4.7(5)(a).
(3) The Consolidated Fund is appropriated to the
extent necessary for payments to be made under
sub-section (1).
(4) It is the intention of the Parliament that amounts
paid into the Consolidated Fund in respect of AFL
footy tipping competitions be applied for the
purposes of grass roots sports and for any one or
more of the following purposes: health, women's
sports and sports medicine.
5.4.7 Sharing tax with other jurisdictions
(1) The Governor in Council, on the recommendation
of the Minister, by Order in Council published in
the Government Gazette—
(a) may declare another State, Territory or
country to be a participating jurisdiction for
the purposes of this Chapter;
s. 5.4.6
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(b) may declare a law of another State, Territory
or country to be a corresponding law for the
purposes of this Chapter.
(2) The Minister must not make a recommendation
for the purposes of sub-section (1) unless satisfied
that—
(a) there is in force an agreement between the
Minister and a Minister of the other State,
Territory or country making adequate
provision for administrative arrangements
between this State and the other State,
Territory or country relating to the
administration of this Chapter and the
proposed corresponding law of the other
State, Territory or country; and
(b) there is in force an agreement between the
Treasurer and the Treasurer (by whatever
name called) of the other State, Territory or
country making adequate provision for the
taxation of public lotteries and the sharing of
taxation revenue.
(3) The Governor in Council, on the recommendation
of the Minister, by Order in Council published in
the Government Gazette may at any time revoke
an Order under sub-section (1).
(4) The Minister must make a recommendation for
the purposes of sub-section (3) if satisfied that
there is no longer in force the agreement or
administrative arrangements referred to in sub-
section (2).
(5) If there is in force an agreement referred to in sub-
section (2)(b)—
(a) the Treasurer may pay, in accordance with
the agreement, so much of the amount paid
into the Consolidated Fund under section
5.4.3, and any interest paid under
s. 5.4.7
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section 5.4.4 in respect of that amount, that
in the Treasurer's opinion, was paid in
respect of entries to public lotteries
conducted under this Chapter that were
accepted in the participating jurisdiction; and
(b) the Consolidated Fund is appropriated to the
extent necessary for payments to be made
under paragraph (a).
_______________
s. 5.4.7
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PART 5—COMPLIANCE REQUIREMENTS
Division 1—Financial Recording and Reporting
5.5.1 Licensee to keep accounts and records
A public lottery licensee must ensure that there
are kept proper accounts and records of the
transactions and affairs of the licensee and such
other records as sufficiently explain the financial
operations and financial position of the licensee.
5.5.2 Annual financial statements
(1) A public lottery licensee must prepare financial
statements of the public lotteries conducted by the
licensee during each financial year.
(2) Financial statements—
(a) must be prepared in a form approved by the
Minister; and
(b) must present fairly the results of the financial
transactions of the licensee during the
financial year to which they relate and the
financial position of the licensee as at the
end of that financial year; and
(c) must be audited under section 5.5.3.
(3) The licensee must submit the audited financial
statements to the Minister on or before 31 October
next following the financial year to which they
relate.
(4) The Minister must cause the audited financial
statements to be laid before each House of the
Parliament within 7 sitting days of the House after
the Minister receives them.
s. 5.5.1
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5.5.3 Audit
(1) The financial statements referred to in
section 5.5.2 must be audited by the Auditor-
General.
(2) The Auditor-General and any person assisting the
Auditor-General has, in respect of the audit of
those financial statements, all the powers
conferred on the Auditor-General—
(a) by the Audit Act 1994 in respect of the audit
under that Act of financial statements of
authorities; and
(b) by any other law relating to the audit of the
public accounts.
(3) Without limiting sub-section (2)(a), sections 11
and 12 of the Audit Act 1994 apply for the
purpose of an audit under this section as if a
reference in those sections to an authority were a
reference to the public lottery licensee.
(4) The licensee must pay to the Consolidated Fund
an amount to be determined by the Auditor-
General to defray the costs and expenses of each
audit under this section.
5.5.4 Extension of time for annual financial statements
(1) A public lottery licensee may apply in writing to
the Minister for an extension of the date by which
the financial statements are to be submitted to the
Minister.
(2) The Minister may in writing grant the licensee an
extension to the date determined by the Minister.
(3) The Minister must advise each House of the
Parliament of each extension granted under this
section and the reasons for the extension.
s. 5.5.3
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5.5.5 Failure to submit annual financial statements
If a public lottery licensee fails to submit the
financial statements to the Minister—
(a) if an extension has not been granted under
section 5.5.4, by 31 October in any year; or
(b) if an extension has been granted, by the date
to which the extension was granted—
the Minister must advise each House of the
Parliament of the failure and the reasons for it.
5.5.6 Agents and subsidiaries to comply with Division
(1) If a public lottery licence authorises the licensee
to engage any other person to conduct a public
lottery on behalf of the licensee, this Division
applies to both the licensee and that other person.
(2) If an appointment under section 5.3.14 is in force,
this Division applies to both the licensee and the
appointed subsidiary.
Division 2—Other Requirements
5.5.7 Directions to licensees
(1) The Commission may give a written direction to a
public lottery licensee relating to the conduct,
supervision or control of the public lottery
authorised to be conducted by the public lottery
licence and the licensee must comply with the
direction as soon as it takes effect.
(2) The direction takes effect when it is given to the
licensee or at the later time specified in it.
(3) The power conferred by this section includes a
power to give a direction to a licensee to adopt,
vary, cease or refrain from any practice in respect
of the conduct of the public lottery.
s. 5.5.5
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(4) A direction under this section must not be
inconsistent with this Act, the regulations or the
licence conditions.
5.5.8 Claims for prize
(1) If a claim for a prize in a public lottery is made to
a public lottery licensee within 12 months after
the end of the lottery, the licensee must—
(a) immediately try to resolve the claim; and
(b) if the licensee is not able to resolve the
claim, promptly give the claimant written
notice—
(i) of the licensee's decision on the claim;
and
(ii) that the claimant may, within 10 days
after receiving the notice, ask the
Commission to review the decision.
(2) If the claim is not resolved, the claimant may ask
the Commission—
(a) if the claimant has received a notice under
sub-section (1)(b), to review the licensee's
decision on the claim; or
(b) if not, to resolve the claim.
(3) A request to the Commission under sub-section
(2)—
(a) must be in the form approved by the
Commission; and
(b) if the claimant received a notice under sub-
section (1)(b), must be made within 10 days
after receiving the notice.
(4) If a request is made to the Commission, the
Commission may carry out any investigations the
Commission considers necessary to resolve
matters in dispute.
s. 5.5.8
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(5) A function of the Commission under this section
may be performed by any commissioner.
5.5.9 Prizes unclaimed after 12 months
(1) If a prize is not claimed within 12 months after the
end of the public lottery in which the prize was
won, the public lottery licensee must pay the
amount of the prize to the Treasurer.
(2) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (1), the Treasurer, on being satisfied
that the claimant is the owner of the money
demanded, must direct that it be paid to the
claimant out of money available for the purpose.
5.5.10 Complaints
(1) A public lottery licensee must inquire into—
(a) a complaint made to the licensee by a person
about—
(i) the conduct of a public lottery by the
licensee or an appointed subsidiary of
the licensee; or
(ii) the conduct of an agent of the licensee
in operations related to a public lottery;
or
(b) a complaint referred to the licensee by the
Commission under sub-section (3).
Penalty: 60 penalty units.
(2) Within 21 days after the complaint is received by,
or referred to, the licensee, the licensee must give
written notice of the result of the inquiry to—
(a) the complainant; and
(b) if the complaint was referred to the licensee
by the Commission, the Commission.
Penalty: 60 penalty units.
s. 5.5.9
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(3) If a complaint is made to the Commission about
the conduct of a public lottery, or the conduct of
an agent in operations related to a public lottery,
the Commission must promptly—
(a) inquire into the complaint; or
(b) if the Commission considers it appropriate,
refer the complaint to the licensee.
(4) The Commission must promptly advise the
complainant of—
(a) the result of the Commission's inquiry; or
(b) the Commission's decision to refer the
complaint to the licensee.
(5) A complaint must—
(a) be in writing; and
(b) state the complainant's name and address;
and
(c) give appropriate details of the complaint.
(6) A function of the Commission under this section
may be performed by any commissioner.
__________________
s. 5.5.10
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PART 6—ONGOING MONITORING
5.6.1 Notification of change in situation of licensee or
associates
(1) A public lottery licensee must give the
Commission written notice, within 14 days, of any
change in any information given to the
Commission or Minister in connection with the
application for the public lottery licence, an
application for amendment of the licence or a
request for approval of a subsidiary under
section 5.3.15.
Penalty: 20 penalty units.
(2) A public lottery licensee or an associate of a
public lottery licensee must give the Commission
written notice, within 14 days, of any other
change in situation of a kind specified by the
Commission.
Penalty: 20 penalty units.
(3) The Commission may specify a kind of change in
situation for the purposes of sub-section (2) by
giving written notice to the licensee or associate,
being a kind of change in situation that may be
relevant to—
(a) the suitability of the licensee to conduct a
public lottery; or
(b) the suitability of the associate to be
concerned in or associated with the
ownership, management or operation of a
public lottery business.
(4) A function of the Commission under this section
may be performed by any commissioner.
s. 5.6.1
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5.6.2 Notification of persons becoming associates
A public lottery licensee must—
(a) notify the Commission in writing that a
person is likely to become an associate of the
licensee as soon as practicable after the
licensee becomes aware of the likelihood;
and
(b) ensure that a person does not become an
associate except with the prior approval in
writing of the Commission.
5.6.3 Investigations of licensee
(1) From time to time, the Commission may
investigate a public lottery licensee to help the
Commission decide whether the licensee is a
suitable person or body to conduct, or to continue
to conduct, a public lottery.
(2) However, the Commission may investigate a
licensee only if the Commission reasonably
suspects the licensee is not, or is no longer, a
suitable person or body to conduct the public
lottery authorised by the public lottery licence.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
5.6.4 Requirement to give information to Commission
(1) The Commission may, by written notice, require a
licensee or a person or body that is, or at any time
has been, a person referred to in section 5.6.5(1)—
(a) to give the Commission or an inspector, in
accordance with directions in the notice, any
information relevant to the licensee or person
that is specified in the notice; or
s. 5.6.2
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(b) to produce to the Commission or an
inspector, in accordance with directions in
the notice, any records relevant to the
licensee's public lottery business, or to other
matters specified by the Commission, that
are specified in the notice and to permit
examination of those records, the taking of
extracts from them and the making of copies
of them; or
(c) to attend before the Commission or an
inspector for examination in relation to any
matters relevant to the licensee's public
lottery business, or to other matters specified
by the Commission, and to answer questions
relating to those matters.
(2) A person is not excused from complying with a
notice under this section on the ground that
compliance would tend to incriminate the person
but, if the person, in writing given to the
Commission, claims, before complying with the
notice, that compliance would tend to incriminate
them, information provided in compliance with
the notice is not admissible in evidence against the
person in criminal proceedings other than
proceedings under this Act.
(3) If records are produced under this section, the
Commission or inspector may retain possession of
them for the period that is reasonably necessary
for their examination, the taking of extracts from
them and the making of copies of them.
(4) At any reasonable times during the period for
which records are retained, the Commission or
inspector must permit inspection of the records by
a person who would be entitled to inspect them if
they were not in the possession of the
Commission or inspector.
s. 5.6.4
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(5) A person who complies with a requirement of a
notice under this section does not on that account
incur a liability to another person.
(6) A function of the Commission under this section
may be performed by any commissioner.
5.6.5 Investigation of associates and others
(1) The Commission may from time to time
investigate—
(a) an associate, or a person likely to become an
associate, of a public lottery licensee; or
(b) any person or body having a business
association with a person referred to in
paragraph (a).
(2) For the purpose of an investigation, the
Commission—
(a) may require an associate or a person likely to
become an associate to consent to having his
or her photograph, finger prints and palm
prints taken; and
(b) must refer a copy of such photograph, finger
prints and palm prints and any supporting
documents to the Chief Commissioner of
Police.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
5.6.6 Termination of association
(1) If the Commission determines that an associate of
a public lottery licensee has engaged or is
engaging in conduct that, in the Commission's
opinion, is unacceptable for a person who is
concerned in or associated with the ownership,
management or operation of the licensee's
business, the Commission may—
s. 5.6.5
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(a) issue a written warning to the associate that
the conduct is unacceptable; or
(b) give written notice to the associate requiring
the associate to give a written undertaking to
the Commission, within the period specified
in the notice, regarding the future conduct of
the associate.
(2) If the associate fails to give an undertaking
required under sub-section (1)(b) or breaches an
undertaking given under that sub-section, the
Commission may give the associate written notice
requiring the associate to terminate, within
14 days or the longer period agreed with the
Commission, the association with the licensee.
(3) If, after considering the matters referred to in sub-
section (4), the Commission determines that an
associate of a licensee is unsuitable to be
concerned in or associated with the ownership,
management or operation of the licensee's
business, the Commission may give the associate
written notice requiring the associate to terminate,
within 14 days or the longer period agreed with
the Commission, the association with the licensee.
(4) For the purposes of sub-section (3), the
Commission must consider whether the
associate—
(a) is of good repute, having regard to character,
honesty and integrity;
(b) is of sound and stable financial background;
(c) has a business association with a person or
body that, in the Commission's opinion, is
not of good repute having regard to
character, honesty and integrity or has
undesirable or unsatisfactory financial
resources.
s. 5.6.6
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(5) If the association is not terminated within the
period required under sub-section (2) or (3), the
Commission may give written notice to the
licensee directing the licensee to take all
reasonable steps to terminate the association
within 14 days or the longer period agreed with
the Commission.
(6) A licensee must comply with a notice under sub-
section (5).
5.6.7 Application of Division to appointed subsidiary
This Division applies to an appointed subsidiary
of a public lottery licensee as if a reference to a
public lottery licensee were a reference to the
appointed subsidiary.
__________________
s. 5.6.7
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PART 7—TRADE PROMOTION LOTTERIES
Division 1—Legality of Trade Promotion Lotteries
5.7.1 Trade promotion lotteries declared lawful
The conduct of a trade promotion lottery in
accordance with section 5.7.2 or a permit under
Division 2 is lawful and is not a public nuisance.
5.7.2 No permit required if prize value $5000 or less
(1) A person may conduct a trade promotion lottery
without a permit if—
(a) the total value of the prizes does not exceed
$5000; and
(b) the person complies with—
(i) sub-section (2); and
(ii) any prescribed conditions.
(2) The conditions of entry to, or the manner of
participation in, the trade promotion lottery must
not require the entrant or another person to incur
an expense per entry exceeding the amount
determined from time to time by the Governor in
Council by Order published in the Government
Gazette.
Division 2—Permit to Conduct a Trade Promotion Lottery
5.7.3 Application for permit to conduct a trade promotion
lottery
(1) A person may apply to the Commission for a
permit to conduct a trade promotion lottery.
(2) An application for a permit must—
(a) be in the form approved by the Commission;
and
s. 5.7.1
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(b) include the consent to the application of the
trade or business to be promoted by the
lottery; and
(c) if the applicant is a body corporate, nominate
a person to be responsible as permit holder
on behalf of the applicant; and
(d) be accompanied by the prescribed fee; and
(e) be lodged with the Commission not less than
28 days (or any shorter period allowed by the
Commission in a particular case) before the
day on which entry in the lottery is proposed
to commence.
5.7.4 Determination of application
(1) The Commission must determine an application
for a permit to conduct a trade promotion lottery
having regard to—
(a) whether the applicant is of good repute,
having regard to character, honesty and
integrity; and
(b) whether the trade or business to be promoted
by the lottery—
(i) is conducted in good faith; and
(ii) produces or sells a product or service
other than a lottery or promotes a
community or charitable purpose.
(2) Despite sub-section (1)(b)(ii), the Commission
may issue a permit to conduct a lottery to promote
a public lottery that is authorised by a public
lottery licence.
(3) The Commission must either issue a permit to the
applicant or refuse the application and must notify
the applicant in writing accordingly.
s. 5.7.4
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5.7.5 Permit conditions
(1) A permit is subject to—
(a) sub-section (2); and
(b) any prescribed conditions; and
(c) any conditions the Commission may impose.
(2) The conditions of entry to, or the manner of
participation in, the trade promotion lottery must
not require the entrant or another person to incur
an expense per entry exceeding the amount
determined from time to time by the Governor in
Council by Order published in the Government
Gazette.
5.7.6 Duration of permit
A permit to conduct a trade promotion lottery
remains in force, unless sooner cancelled or
surrendered, for—
(a) the period determined by the Commission
and specified in the permit; or
(b) if no period is specified in the permit—a
period of 1 year.
5.7.7 Nominee of permit holder
(1) This section applies if a permit to conduct a trade
promotion lottery is issued to a body corporate.
(2) A person nominated in the application for the
permit and approved by the Commission under
this section is liable under this Act as permit
holder.
(3) If the permit holder does not have a person who
has been approved by the Commission under this
section, the directors or members of the
committee of management of the permit holder (as
the case requires) are severally liable under this
Act as permit holder.
s. 5.7.5
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(4) The Commission may refuse to approve a person
nominated in an application for a permit unless
satisfied that the person nominated, and each
associate of the person, is a suitable person to be
concerned in or associated with the promotion of
the trade or business to which the permit relates.
(5) In particular, the Commission must consider
whether the person nominated is of good repute,
having regard to character, honesty and integrity.
(6) The Commission must approve or refuse to
approve the person nominated and must notify the
permit holder in writing of its decision.
(7) The nomination and approval by the Commission
of a person does not limit the liability of the
permit holder under this Act while that person is a
nominee.
5.7.8 Replacement nominee
(1) As soon as practicable after—
(a) a permit holder is notified by the
Commission of a refusal to approve a person
nominated in the application for the permit;
or
(b) a person nominated by the permit holder and
approved by the Commission resigns, is
dismissed or is unable to perform the
functions of a permit holder—
the permit holder must nominate another natural
person to be responsible as permit holder on
behalf of the permit holder and apply to the
Commission for approval of the person
nominated.
(2) Section 5.7.7 applies to a person nominated under
this section as if the person had been nominated in
the application for the permit.
s. 5.7.8
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5.7.9 Amendment of conditions
(1) The conditions of a permit to conduct a trade
promotion lottery (other than any prescribed
conditions) may be amended in accordance with
this section.
(2) An amendment may be proposed—
(a) by the permit holder by requesting the
Commission in writing to make the
amendment and giving reasons for the
proposed amendment; or
(b) by the Commission by giving notice in
writing of the proposed amendment and
giving reasons to the permit holder.
(3) An amendment proposed by a permit holder must
be accompanied by the prescribed fee.
(4) An amendment proposed by the Commission must
be in the public interest.
(5) The Commission must give the permit holder at
least 28 days to make a submission to the
Commission concerning any proposed amendment
(whether proposed by the Commission or the
holder) and must consider any submission made.
(6) The permit holder may waive their right under
sub-section (5) to make a submission by giving
notice in writing to the Commission.
(7) The Commission must then decide whether to
make the proposed amendment, either with or
without changes to the amendment originally
proposed, and must notify the permit holder of its
decision.
(8) An amendment takes effect when notice of the
Commission's decision is given to the permit
holder or on any later date specified in the notice.
s. 5.7.9
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5.7.10 Appeal
(1) An applicant or permit holder (as the case
requires) may appeal to the Commission, within
28 days of notification of the decision, against any
of the following decisions made by a single
commissioner—
(a) a decision to refuse to grant an application
for a permit to conduct a trade promotion
lottery;
(b) a decision to grant a permit subject to
conditions;
(c) a decision to amend the conditions of a
permit.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions; or
(c) in the case of a decision to grant an
application subject to conditions or to amend
the conditions of a permit—vary or remove
the conditions.
(4) The decision of the Commission on an appeal—
(a) must be notified in writing to the applicant or
permit holder (as the case requires); and
(b) may include the reasons for the decision.
s. 5.7.10
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(5) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
Division 3—Disciplinary Action
5.7.11 Definitions
(1) In this Division—
"disciplinary action", against a permit holder,
means any of the following—
(a) the cancellation or suspension of the
permit;
(b) the variation of the terms of the permit;
(c) the issuing of a letter of censure to the
permit holder;
"grounds for disciplinary action", in relation to
a permit holder, means any of the
following—
(a) that the permit was improperly obtained
in that, at the time it was granted, there
were grounds for refusing it;
(b) that the permit holder has failed to
provide information that the person is
required by this Act to provide or has
provided information knowing it to be
false or misleading;
(c) that the permit holder has contravened
this Act or the regulations or a
condition of the permit;
s. 5.7.11
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(d) that—
(i) the permit holder; or
(ii) if the permit holder is not a natural
person, an executive officer or
nominee of the permit holder—
has been found guilty of a relevant
offence;
(e) that the permit holder has become an
insolvent under administration or an
externally-administered body corporate;
(f) that for any reason the permit holder is
not a suitable person to hold a permit;
"relevant offence" means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence (in Victoria or elsewhere)
involving fraud or dishonesty
punishable by imprisonment for
3 months or more (whether or not in
addition to a fine); or
(c) an indictable offence, or an offence
that, if committed in Victoria, would be
an indictable offence, the nature or
circumstances of which, in the opinion
of the Commission, relate to a trade
promotion lottery.
5.7.12 Investigation of permit holder
(1) The Commission may inquire into whether there
are grounds for disciplinary action against a
permit holder.
(2) At the request of the Commission, the Executive
Commissioner may conduct an investigation in
relation to a permit holder and may make a report
on the investigation to the Commission.
s. 5.7.12
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5.7.13 Taking disciplinary action
(1) If, following an inquiry or investigation under
section 5.7.12, the Commission considers there
are grounds for taking disciplinary action against a
permit holder, the Commission may serve on the
permit holder notice in writing giving them an
opportunity to show cause within 14 days why
disciplinary action should not be taken against
them on the grounds for disciplinary action
specified in the notice.
(2) The permit holder, within the period allowed by
the notice, may arrange with the Commission for
the making of submissions to the Commission as
to why disciplinary action should not be taken and
the Commission must consider any submissions
so made.
(3) If the Commission decides that—
(a) the permit holder is not a suitable person to
hold a permit, the Commission may only
vary, suspend or cancel the permit; or
(b) there are any other grounds for disciplinary
action against the permit holder, the
Commission may take the action—
and does so by giving written notice of the
disciplinary action to the permit holder.
(4) If the disciplinary action is the cancellation,
suspension or variation of the terms of a permit, it
takes effect when the notice under sub-section (3)
is given or at a later time specified in the notice.
s. 5.7.13
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5.7.14 Letter of censure
(1) Disciplinary action taken by the Commission
under section 5.7.13 in the form of a letter of
censure may censure the permit holder in respect
of any matter connected with the permit holder's
activities under this Part and may include a
direction to the permit holder to rectify within a
specified time any matter giving rise to the
censure.
(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
permit holder, cancel, suspend or vary the terms
of the permit without giving the permit holder a
further opportunity to be heard.
5.7.15 Suspension of permit
The Commission may suspend a permit by notice
in writing given to the permit holder if the
Commission is satisfied that the holder has been
charged with a relevant offence.
Division 4—Compliance and Offences
5.7.16 Conducting trade promotion lottery in
contravention of Act etc.
(1) A person must not conduct, or assist in the
conduct of, a trade promotion lottery for which a
permit has been issued other than in accordance
with this Act, the regulations and the conditions of
the permit authorising the lottery.
Penalty: For a first offence, 60 penalty units;
For a second or subsequent offence,
100 penalty units.
(2) A person who is the employer of a person who, in
the course of his or her employment, is the holder
of a permit to conduct a trade promotion lottery
s. 5.7.14
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must ensure that the lottery to which the permit
relates is conducted in accordance with this Act,
the regulations and the conditions of the permit.
Penalty: For a first offence, 60 penalty units;
For a second or subsequent offence,
100 penalty units.
5.7.17 Change in situation of permit holder
If a change of a kind specified by the Commission
in writing given to a permit holder takes place in
the situation existing in relation to the permit
holder, the permit holder must notify the
Commission in writing of the change within
14 days after it takes place.
Penalty: 60 penalty units.
5.7.18 Records
A permit holder must keep records containing the
prescribed information in the form approved by
the Commission for a period of 3 years after the
completion of the transactions to which they
relate.
Penalty: 20 penalty units.
Division 5—Reviews
5.7.19 Tribunal reviews
(1) A person whose interests are affected by a
decision of the Commission under this Part may
apply to the Tribunal for review of the decision.
(2) In the case of a decision referred to in
section 5.7.10(1) made by a single commissioner,
a person who could appeal the decision under that
section cannot apply for review of the decision
under this section, but may apply for review of the
Commission's decision on an appeal under that
section.
s. 5.7.17
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(3) An application for review must be made within
28 days after the later of—
(a) the day on which the decision is made;
(b) if, under the Victorian Civil and
Administrative Tribunal Act 1998, the
person requests a statement of reasons for the
decision, the day on which the statement of
reasons is given to the person or the person is
informed under section 46(5) of that Act that
a statement of reasons will not be given.
Division 6—General
5.7.20 Commissioner may perform Commission's functions
A function of the Commission under this Part
(other than section 5.7.10) may be performed by
any commissioner.
_______________
s. 5.7.20
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CHAPTER 6—CLUB KENO
PART 1—INTRODUCTION
6.1.1 Purpose
The purpose of this Chapter is to make provision
for the game of club keno.
6.1.2 Definitions
In this Chapter—
"gaming revenue", in relation to a week, means
the amount received by the participants for
club keno games conducted by the
participants in the week less the sum of all
prizes payable in respect of those games;
"participants" means—
(a) the Trustees;
(b) if a declaration under section 6.5.1 is in
force, the company declared under that
section to be a participant for the
purposes of this Chapter;
(c) the holder of the gaming licence.
__________________
s. 6.1.1
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PART 2—CLUB KENO GAMES
Division 1—Legality of Club Keno Games
6.2.1 Club keno games conducted by participants are
lawful
A club keno game conducted or promoted by the
participants in accordance with this Chapter and
the authorisation under section 6.2.2 is lawful and
is not a public nuisance.
6.2.2 Authorisation for club keno games
(1) The participants are authorised, subject to this
Chapter and to the commercial arrangements
between the participants as are from time to time
agreed by the Minister, to conduct and promote
club keno games in Victoria.
(2) The Supreme Court, on application by the
Minister, may make an order that the authorisation
under this section be revoked if the Supreme
Court is satisfied that the participants have
wilfully contravened this Act or the authorisation.
6.2.3 Club keno not subject to Chapter 3
The game of club keno under this Chapter is not a
game that may be approved by the Commission
under Chapter 3.
6.2.4 Club Keno games may be conducted in approved
venues
Nothing in this or any other Act prevents the
participants conducting club keno games in
accordance with this Chapter in an approved
venue.
s. 6.2.1
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Division 2—Conducting Club Keno Games
6.2.5 Sale of tickets
(1) Tickets in a club keno game must not be sold
except in an approved venue.
(2) A person must not knowingly sell a ticket in a
club keno game to a minor.
Penalty: 20 penalty units.
(3) A minor must not buy or attempt to buy a ticket in
a club keno game.
Penalty: 10 penalty units.
(4) A minor must not use any evidence purporting to
be evidence of his or her age in order to buy a
ticket in a club keno game if the evidence is false
in a material particular in relation to the minor.
Penalty: 10 penalty units.
6.2.6 Agents of participants
A person who is not an accredited representative
of the participants must not hold out the person as
an agent of the participants.
Penalty: 60 penalty units or imprisonment for
6 months or both.
6.2.7 Defective machinery etc.
(1) The Commission may order the participants to
repair or withdraw from use any defective
machinery, equipment or computer system used in
connection with club keno games.
(2) A function of the Commission under this section
may be performed by any commissioner.
s. 6.2.5
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6.2.8 Unlawful interference with club keno system
A person must not—
(a) be in possession of any device made or
adapted, or intended by the person to be
used, for improperly interfering with any
machinery, equipment or computer system
used in connection with club keno games; or
(b) do any act or thing calculated, or likely, to
improperly interfere with any machinery,
equipment or computer system used in
connection with club keno games.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
6.2.9 Use of defective club keno machinery etc.
The participants, or an accredited representative of
the participants on whose premises the machinery,
equipment or computer system is located, must
not allow any machinery, equipment or computer
system that—
(a) is used in connection with club keno games;
and
(b) does not function in the manner in which it
was designed and programmed to function—
to be used, other than for testing purposes, until it
is functioning in the manner in which it was
designed and programmed to function.
Penalty: 100 penalty units.
s. 6.2.8
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6.2.10 Credit etc.
The participants or an accredited representative of
the participants or an employee of either of them
must not make a loan or extend credit in any form
to any person to enable that person or any other
person to play a club keno game.
Penalty: 100 penalty units.
__________________
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PART 3—RETURNS TO PLAYERS, TAXES AND LEVIES
Division 1—Returns to Players
6.3.1 Returns to players
(1) The participants must ensure that not less than
75% of the total amount received by the
participants for any club keno game be paid by the
participants to a prizes fund established by the
participants.
(2) The prizes fund must be applied exclusively for
the payment of prizes in respect of club keno
games conducted by the participants.
Division 2—Taxes and Levies
6.3.2 Duty payable by participants
(1) In this section, "week" means a period of 7 days
commencing on a Sunday and ending on the
following Saturday.
(2) The participants must pay in respect of club keno
games conducted during each week—
(a) to the Treasurer, in accordance with
arrangements approved by the Treasurer, for
payment into the Consolidated Fund, 24⋅24%
of the gaming revenue for the week, such
payment to be made on the next Tuesday
after the end of the week; and
(b) to the venue operator of an approved venue
in which tickets in club keno games are sold
during the week—
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(i) if GST is payable on the supply to
which the amount to be paid under this
paragraph relates, an amount calculated
in accordance with the formula—
T
V
30
11 GR ×
×
where—
GR is the gaming revenue for the
week;
T is the total amount received by the
participants for club keno games
conducted during the week;
V is the amount received at the
approved venue for club keno
games conducted during the week;
(ii) if GST is not payable on the supply to
which the amount to be paid under this
paragraph relates, an amount calculated
in accordance with the formula—
T
V
3
GR ×
where—
GR is the gaming revenue for the
week;
T is the total amount received by the
participants for club keno games
conducted during the week;
V is the amount received at the
approved venue for club keno
games conducted during the week.
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(3) If, in respect of a week, the amount of all prizes
payable in respect of club keno games conducted
during the week exceeds the amount received by
the participants for those games, the amount of
that excess may be applied to reduce the gaming
revenue for the next or a subsequent week for the
purposes of determining the amounts payable
under sub-section (2)(a) in respect of that week.
(4) An amount payable under this section is a debt
and may be recovered in a court of competent
jurisdiction.
6.3.3 Hospitals, charities and mental health levy
(1) An amount equal to the amount paid into the
Consolidated Fund under section 6.3.2(2)(a) must,
in respect of each financial year, be paid out of the
Consolidated Fund, in the proportions determined
by the Treasurer, into—
(a) the Hospitals and Charities Fund; and
(b) the Mental Health Fund.
(2) The Consolidated Fund is appropriated to the
necessary extent for the payment under sub-
section (1).
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s. 6.3.3
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PART 4—COMPLIANCE REQUIREMENTS
Division 1—Accounting, Reporting and Auditing
6.4.1 Accounting records
(1) The participants must keep accounting records
that correctly record and explain the transactions
and financial position of the operations of the
participants under this Chapter.
Penalty: 60 penalty units.
(2) The participants must keep the accounting records
in a form and manner that will enable—
(a) true and fair financial statements and
accounts to be prepared from time to time;
and
(b) those financial statements and accounts to be
conveniently and properly audited.
Penalty: 60 penalty units.
6.4.2 Annual financial statements
(1) The participants must, in respect of each financial
year, prepare financial statements in respect of
club keno games and submit them to the Treasurer
not later than—
(a) 31 October next following the end of the
financial year; or
(b) if the Treasurer has granted an extension
under sub-section (4)—to the date
determined by the Treasurer.
(2) The financial statements—
(a) must be prepared in a form appropriate to the
activities of the participants in relation to
club keno games; and
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(b) must present fairly the results of the financial
transactions of the participants during the
financial year and the financial position of
the participants as at the end of the financial
year; and
(c) must be audited as required by section 6.4.3.
(3) The participants may apply in writing to the
Treasurer for an extension of the date by which
the financial statements are to be submitted to the
Treasurer.
(4) The Treasurer may in writing grant to the
participants an extension to such date as the
Treasurer determines.
(5) The Treasurer must advise or cause to be advised
each House of the Parliament of each extension
granted under this section and the reasons for the
extension.
6.4.3 Audit
(1) The financial statements prepared under
section 6.4.2 must be audited by the Auditor-
General.
(2) The Auditor-General has, in respect of the audit,
all the powers conferred on the Auditor-General
by any law relating to the audit of the public
accounts.
(3) Without limiting the generality of sub-section (2),
the Auditor-General and any person assisting the
Auditor-General—
(a) has right of access at all times to the books
of the participants; and
(b) may require from an employee of the
participants any information, assistance or
explanations necessary for the performance
of the functions of the Auditor-General in
relation to the audit.
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(4) The participants must pay to the Consolidated
Fund an amount to be determined by the Auditor-
General to defray the costs and expenses of any
audit under this section.
6.4.4 Tabling financial statements in Parliament
(1) The Treasurer must cause the financial statements
submitted to the Treasurer under section 6.4.2 to
be laid before each House of the Parliament
within 7 sitting days of the House after receiving
them.
(2) If the participants fail to submit the financial
statements to the Treasurer by the time required
by section 6.4.2, the Treasurer must report or
cause to be reported the failure and the reasons for
it to each House of the Parliament.
Division 2—Complaints
6.4.5 Investigation of complaints
(1) On receiving a complaint from a person relating to
the conduct of club keno games, the Commission
must forthwith investigate the complaint.
(2) The Commission must inform the participants of
the substance of the complaint and give each of
the participants a reasonable opportunity to make
a response to it.
(3) A function of the Commission under this section
may be performed by any commissioner.
__________________
s. 6.4.4
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PART 5—APPROVAL OF SUBSIDIARIES
6.5.1 Minister may declare company to be participant
(1) The Minister, on the recommendation of the
Trustees, may declare a Victorian company that
is—
(a) a wholly-owned subsidiary of the trustees;
and
(b) approved by the Commission—
to be a participant for the purposes of this
Chapter.
(2) A declaration declaring a company to be a
participant ceases to have effect if the company
ceases to be a wholly-owned subsidiary of the
Trustees.
(3) The Minister, on the recommendation of the
trustees, may at any time revoke the declaration of
a participant under this section.
(4) The Minister must cause notice of a declaration or
revocation of a declaration under this section to be
published in the Government Gazette.
(5) If a declaration is made under this section, any
liability or obligation of the Trustees incurred
prior to the declaration continues to attach to the
Trustees after the declaration.
(6) If a declaration ceases to have effect or is revoked,
any liability or obligation of the company incurred
prior to the cessation of effect or revocation
continues to attach to the company after the
cessation or revocation.
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6.5.2 Application for approval
The Trustees may apply to the Commission for
approval of a wholly-owned subsidiary under this
Part.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval under this
Part.
6.5.3 Approval of a wholly-owned subsidiary
(1) The Commission must not approve a wholly-
owned subsidiary of the Trustees unless satisfied
that the subsidiary, and each associate of the
subsidiary, is a suitable person to be concerned in,
or associated with, the management and operation
of a business of conducting and promoting club
keno games.
(2) In particular, the Commission must consider
whether—
(a) the subsidiary, and each associate of the
subsidiary, is of good repute, having regard
to character, honesty and integrity;
(b) the subsidiary, and each associate of the
subsidiary, is of sound and stable financial
background;
(c) the subsidiary has, or is able to obtain,
financial resources that are adequate to
ensure the financial viability of a business of
conducting and promoting club keno games,
and the services of persons who have
sufficient experience in the management and
operation of a business of conducting and
promoting club keno games;
(d) the subsidiary has sufficient business ability
to establish and maintain a successful
business of conducting and promoting club
keno games;
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(e) neither the subsidiary nor any associate of
the subsidiary has any association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity as a result of which the
company or the associate is likely to be
significantly affected in an unsatisfactory
manner;
(f) each director, executive officer or secretary
of the subsidiary and any other officer or
person determined by the Commission to be
associated or connected with the ownership
or management of the operations or business
of the subsidiary, is a suitable person to act
in that capacity.
__________________
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CHAPTER 7—INTERACTIVE GAMING
PART 1—INTRODUCTION
7.1.1 Purpose
The purpose of this Chapter is to make provision
for the protection of persons participating in
interactive games by regulating the provision of
interactive gaming services.
7.1.2 Definitions
In this Act—
"approved game" has the meaning given by
section 7.1.4;
"conduct" includes promote, organise and
operate;
"control system" means a system of internal
controls and administrative and accounting
procedures for the conduct of interactive
games by a licensed provider;
"corresponding law", in relation to a
participating jurisdiction, means a law of the
participating jurisdiction declared to be a
corresponding law under section 7.1.5;
"employ" includes engage under a contract for
services;
"employee", in relation to a licensed provider,
means a person employed by the licensed
provider in functions related to the conduct
of approved games;
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"executive associate"—
(a) in relation to a licensed provider, means
an executive officer of a corporation, a
partner or trustee, or another person
stated by the Commission, whom the
Commission reasonably believes to be
associated with the ownership or
management of the operations of the
licensed provider;
(b) in relation to an applicant for an
interactive gaming licence, means an
executive officer of a corporation, a
partner or trustee, or another person
stated by the Commission whom the
Commission reasonably believes—
(i) is associated with the ownership
or management of the applicant's
operations; or
(ii) will, if an interactive gaming
licence is issued to the applicant,
be associated with the ownership
or management of the licensed
provider's operations;
"game" includes a scheme or arrangement;
"gaming record", in relation to a licensed
provider, means a record (including a
document) about the operations conducted
by the licensed provider under the interactive
gaming licence;
"identity", in relation to a person, means name,
address, date of birth or a prescribed aspect
of the person's identity;
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"interactive gaming equipment" means a
machine or other device (whether electronic,
electrical or mechanical), computer software,
or another thing used, or suitable for use, in
the conduct of an approved game;
"participating jurisdiction" means a State or
Territory that, under an Order under
section 7.1.5, is declared to be a participating
jurisdiction;
"play" means participate in an interactive game;
"player" means a person who participates in an
interactive game;
"public office", in relation to a licensed provider,
means the licensed provider's principal place
of business in the State or, if the licensed
provider is a corporation and has its
registered office in the State, the registered
office;
"wager" means an amount a player pays to
participate in an interactive game or puts at
risk in playing an interactive game.
7.1.3 Meaning of interactive game
(1) For the purposes of this Act, but subject to sub-
section (2), an interactive game is a game in
which—
(a) a prize consisting of money or something
else of value is offered or can be won under
the rules of the game; and
(b) a player—
(i) enters the game or takes any step in the
game by means of a telecommunication
device; and
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(ii) pays, or undertakes to pay, a monetary
payment or other valuable
consideration to participate in the
game; and
(c) the winner of a prize is decided—
(i) wholly or partly by chance; or
(ii) by a competition or other activity in
which the outcome is wholly or partly
dependent on the player's skill.
(2) The following are not interactive games—
(a) wagering or an approved betting competition
authorised to be conducted under Chapter 4,
if a person participates in it by means of a
telecommunication device used in
conducting the wagering or competition;
(b) wagering of a kind authorised to be carried
on by an authorised bookmaker, if the person
placing a bet with the bookmaker places it by
means of the telecommunication device used
in carrying on the wagering;
(c) a public lottery or trade promotion lottery
authorised under Chapter 5, if a person
participates in the lottery by means of a
telecommunication device;
(d) a raffle or lottery authorised under Chapter 8,
but not including bingo or lucky envelopes,
if the person making the bet or investment
does so by means of the telecommunication
device used in conducting the raffle or
lottery;
(e) a club keno game, if a person participates by
means of a telecommunication device;
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(f) a game approved by the Commission under
section 60 of the Casino Control Act 1991,
if a person participates by means of a
telecommunication device;
(g) gaming that is lawful under Chapter 3, if a
person participates by means of a
telecommunication device;
(h) a game in which a person participates by
means of a telecommunication device and all
wagers are returned to persons participating
whether as prizes or otherwise.
7.1.4 Meaning of approved game
(1) For the purposes of this Act, an approved game is
an interactive game, not being a prohibited game,
that—
(a) a licensed provider is authorised to conduct
under this Chapter; or
(b) a person licensed under a corresponding law
is authorised to conduct under the
corresponding law.
(2) If the Minister is satisfied that a game is contrary
to the public interest, the Minister, by notice
published in the Government Gazette, may declare
the game to be a prohibited game.
7.1.5 Participating jurisdictions
(1) The Governor in Council, on the recommendation
of the Minister, by Order in Council published in
the Government Gazette—
(a) may declare another State or Territory to be
a participating jurisdiction for the purposes
of this Chapter;
(b) may declare a law of another State or
Territory to be a corresponding law for the
purposes of this Chapter.
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(2) The Minister must not make a recommendation
for the purposes of sub-section (1) unless the
Minister is satisfied that—
(a) there is in force an agreement between the
Minister and a Minister of the other State or
Territory making adequate provision for
administrative arrangements between this
State and the other State or Territory relating
to the administration of this Chapter and the
proposed corresponding law of the other
State or Territory; and
(b) there is in force an agreement between the
Treasurer and the Treasurer of the other State
or Territory making adequate provision for
the taxation of approved games and the
sharing of taxation revenue.
(3) The Governor in Council, on the recommendation
of the Minister, by Order in Council published in
the Government Gazette may at any time revoke
an Order under sub-section (1).
(4) The Minister must make a recommendation for
the purposes of sub-section (3) if satisfied that
there is no longer in force the agreement or
administrative arrangements referred to in sub-
section (2).
(5) If there is in force an agreement referred to in sub-
section (2)(b)—
(a) gaming revenue in section 7.5.3 does not
include an amount in respect of which a tax
or duty is payable under the corresponding
law in accordance with the agreement; and
(b) there shall be paid out of the Consolidated
Fund (which is appropriated to the necessary
extent) any amount that is required to be paid
in accordance with the agreement to a
participating State.
s. 7.1.5
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7.1.6 Territorial application of this Chapter
(1) This Chapter applies both within and outside
Victoria.
(2) This Chapter applies outside Victoria to the full
extent of the extraterritorial legislative power of
Parliament.
_______________
s. 7.1.6
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PART 2—GENERAL AUTHORISATION FOR INTERACTIVE
GAMING
7.2.1 Lawful activities
The following activities are lawful—
(a) the conduct of an approved game in
accordance with this Chapter, by a person
authorised under this Chapter or a
corresponding law to conduct the game;
(b) the advertisement and promotion (subject to
this Chapter) of an approved game;
(c) participation (subject to this Chapter) as a
player in an approved game;
(d) the doing of anything else required or
authorised to be done under this Chapter.
7.2.2 Offence to conduct unauthorised interactive gaming
(1) A person must not—
(a) conduct an interactive gaming business at or
from a place in Victoria; or
(b) own, control or operate a computer server in
Victoria that enables interactive games to be
played; or
(c) offer or advertise in Victoria the playing of
interactive games; or
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(d) seek to obtain a commercial advantage from
the use of premises in Victoria for the
playing of interactive games—
unless the person is a licensed provider or is
authorised under a corresponding law and the
person's licence or authority authorises that
activity.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years or both.
(2) For the purposes of sub-section (1), if a wager for
an interactive game is placed at premises or
money is deposited at premises to be held on
behalf of a player for the purposes of interactive
gaming, an interactive gaming business is taken to
be conducted at those premises.
(3) A person who supplies to the public a listed
carriage service (within the meaning of the
Telecommunications Act 1997 of the
Commonwealth) that enables end-users to access
the Internet is not guilty of an offence under sub-
section (1)(c) by reason only of hosting or
carrying information—
(a) kept on a data storage device; and
(b) accessed or available for access using that
service—
if the person was not aware of that information.
_______________
s. 7.2.2
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PART 3—INTERACTIVE GAMING LICENCES
Division 1—Licensing Procedure
7.3.1 Application for interactive gaming licence
(1) A natural person over the age of 18 years or a
body corporate may apply to the Commission for
an interactive gaming licence.
(2) An application—
(a) must be in the form approved by the
Commission; and
(b) must be accompanied by the prescribed fee;
and
(c) must contain or be accompanied by any
additional information that the Commission
requests.
(3) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for an interactive
gaming licence.
7.3.2 Matters to be considered in determining
applications
(1) The Commission must not grant an application for
an interactive gaming licence unless satisfied—
(a) that the applicant, and each associate of the
applicant, is a suitable person to be
concerned in or associated with the
management and operation of an interactive
gaming business; and
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(b) that the applicant has, or has access to, the
technical ability and resources to conduct
interactive games in accordance with a
licence.
(2) In particular, the Commission must consider
whether—
(a) each applicant and associate of the applicant
is of good repute, having regard to character,
honesty and integrity;
(b) in the case of an applicant that is not a
natural person, the applicant has, or has
arranged, a satisfactory ownership, trust or
corporate structure;
(c) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources;
(d) each director, partner, trustee, executive
officer and secretary and any other officer or
person determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operations or business of the applicant is a
suitable person to act in that capacity.
7.3.3 Suitability of applicant to hold interactive gaming
licence
(1) In deciding whether an applicant is a suitable
person to hold an interactive gaming licence, the
Commission may have regard to the following
matters—
(a) the applicant's character or business
reputation;
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(b) the applicant's current financial position and
financial background;
(c) if the applicant is not a natural person,
whether the applicant has, or has arranged, a
satisfactory ownership, trust or corporate
structure;
(d) whether the applicant has, or is able to
obtain, appropriate resources and appropriate
services;
(e) if the applicant has a business association
with another entity—
(i) the entity's character or business
reputation; and
(ii) the entity's current financial position
and financial background;
(f) any prescribed matters.
(2) In sub-section (1)—
"appropriate resources" means financial
resources—
(a) adequate, in the Commission's opinion,
to ensure the financial viability of
operations conducted under an
interactive gaming licence; and
(b) available from a source that is not, in
the Commission's opinion, tainted with
illegality;
"appropriate services" means the services of
persons who have appropriate experience to
ensure the proper and successful conduct of
interactive games.
s. 7.3.3
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7.3.4 Suitability of associates
In deciding whether an associate of an applicant
for an interactive gaming licence is a suitable
person to be associated with a licensed provider's
operations, the Commission may have regard to
the following matters—
(a) the person's current financial position and
financial background;
(b) if the person has a business association with
another entity—
(i) the entity's character or business
reputation; and
(ii) the entity's current financial position
and financial background;
(c) any prescribed matters.
7.3.5 Determination of applications
(1) The Commission must determine an application
by either granting or refusing the application and
must notify the applicant in writing of its decision.
(2) A licence may be granted subject to any
conditions that the Commission thinks fit.
(3) Without limiting the matters to which conditions
may relate, the conditions of a licence may relate
to—
(a) any matter for which provision is made by
this Act but must not be inconsistent with a
provision of this Act;
(b) approval of games and rules of games;
(c) approval of premises;
(d) approval of equipment;
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(e) approval of associates;
(f) approval of an internal control system
relating to such matters as the Commission
determines, including the keeping of records,
holding of funds on behalf of players,
financial statements, reports, accounts and
prizes.
(4) If an application is granted, the licence is granted
subject to the conditions and for the premises
specified in the licence.
7.3.6 Changing conditions of licence
The Commission may, by notice in writing given
to a licensed provider, change the conditions of an
interactive gaming licence, if the Commission
considers it is necessary or desirable to make the
change for the proper conduct of approved games
by the licensed provider or otherwise in the public
interest.
7.3.7 Interactive gaming licence non-transferable
An interactive gaming licence is not be
transferable to any other person.
7.3.8 Surrender of interactive gaming licence
(1) A licensed provider may surrender the licence
with the written consent of the Commission.
(2) The Commission may refuse consent if not
satisfied about the arrangements made by the
licensed provider for the termination of the
licensee's interactive gaming business.
s. 7.3.6
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Division 2—Disciplinary Action
7.3.9 Definitions
In this Division—
"disciplinary action" means—
(a) the cancellation or suspension of an
interactive gaming licence; or
(b) the variation of the terms of an
interactive gaming licence; or
(c) the issuing of a letter of censure to a
licensed provider; or
(d) the imposition of a fine not exceeding
$50 000 on a licensed provider;
"grounds for disciplinary action", in relation to
an interactive gaming licence, means any of
the grounds referred to in section 7.3.10;
"relevant offence" means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence arising out of or in
connection with the management or
operation of an interactive gaming
business; or
(c) an indictable offence or an offence
which, if committed in Victoria, would
be an indictable offence, the nature and
circumstances of which, in the opinion
of the Commission, relate to the
management or operation of a gaming
business; or
s. 7.3.9
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(d) an offence involving fraud or
dishonesty, whether or not committed
in Victoria, the maximum penalty for
which exceeds imprisonment for
3 months.
7.3.10 Grounds for disciplinary action
(1) Each of the following is a ground for disciplinary
action in relation to an interactive gaming
licence—
(a) the licensed provider is not, or is no longer, a
suitable person to hold an interactive gaming
licence;
(b) an associate of the licensed provider is not,
or is no longer, a suitable person to be
associated with a licensed provider's
operations;
(c) the licensed provider has been found guilty
of a relevant offence;
(d) the licensed provider has contravened a
condition of the interactive gaming licence;
(e) the licensed provider has contravened a
provision of this Act or a corresponding law
(being a provision a contravention of which
does not constitute an offence);
(f) the licensed provider has failed to discharge
financial obligations to a player or to the
State;
(g) the licensed provider is an insolvent under
administration or an externally-administered
body corporate;
s. 7.3.10
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(h) the interactive gaming licence was obtained
by a materially false or misleading
representation or in some other improper
way;
(i) any prescribed grounds.
(2) For the purposes of forming a belief that the
ground mentioned in sub-section (1)(a) exists, the
Commission may have regard to the same matters
to which it may have regard in deciding whether
an applicant is a suitable person to hold an
interactive gaming licence.
(3) For the purposes of forming a belief that the
ground mentioned in sub-section (1)(b) exists, the
Commission may have regard to the same matters
to which it may have regard in deciding whether
an associate of an applicant is a suitable person to
be associated with a licensed provider's
operations.
7.3.11 Taking disciplinary action
(1) The Commission may serve on a licensed provider
a notice in writing giving the provider an
opportunity to show cause within 28 days why
disciplinary action should not be taken on grounds
for disciplinary action specified in the notice.
(2) The licensed provider, within the period allowed
by the notice, may arrange with the Commission
for the making of submissions to the Commission
as to why disciplinary action should not be taken
and the Commission must consider any
submissions so made.
(3) The Commission may then take disciplinary
action against the licensed provider as the
Commission sees fit and does so by giving written
notice of the disciplinary action to the provider.
s. 7.3.11
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(4) If the disciplinary action is the cancellation,
suspension or variation of an interactive gaming
licence, it takes effect when the notice under sub-
section (3) is given to the licensed provider or at a
later time specified in the notice.
(5) If the disciplinary action is a fine, the fine may be
recovered as a debt due to the State.
7.3.12 Letter of censure
(1) Disciplinary action taken by the Commission
under section 7.3.11 in the form of a letter of
censure may censure the licensed provider in
respect of any matter connected with the operation
of the interactive gaming business and may
include a direction to the provider to rectify within
a specified time any matter giving rise to the
censure.
(2) If a direction given in a letter of censure is not
complied within the specified time, the
Commission may, by giving written notice to the
licensed provider, cancel, suspend or vary the
terms of the provider's licence without giving the
provider a further opportunity to be heard.
7.3.13 Suspension of interactive gaming licence pending
criminal proceedings
(1) The Commission may suspend an interactive
gaming licence by notice in writing given to the
licensed provider if the Commission is satisfied
that—
(a) the provider; or
(b) if the provider is a body corporate, an
executive officer of the provider—
has been charged with a relevant offence.
(2) The Commission may, at any time, terminate or
reduce a period of suspension imposed under sub-
section (1).
s. 7.3.12
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7.3.14 Effect of licence suspension
An interactive gaming licence is of no effect for
the purposes of Part 2 while it is suspended.
Division 3—Endorsement of Licence
7.3.15 Power to executors, trustees etc. to carry on business
under licence
(1) Any of the following persons may apply to the
Commission to have the person's name endorsed
on a licence—
(a) a person who is, or intends to become, the
legal personal representative of a deceased
licensed provider;
(b) the guardian or administrator appointed
under the Guardianship and
Administration Act 1986 in respect of a
licensed provider who is a represented
person within the meaning of that Act;
(c) the official receiver, trustee or assignee of a
licensed provider who becomes an insolvent
under administration;
(d) a receiver and manager or an administrator
who is appointed in respect of a licensed
provider that is a body corporate;
(e) an official liquidator or provisional liquidator
who is appointed in respect of a licensed
provider that is a body corporate.
(2) If—
(a) the Commission is satisfied that the applicant
is a suitable person to carry on the business
of the licensed provider; and
s. 7.3.14
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(b) the prescribed fee is paid—
the Commission must cause the licence to be
endorsed accordingly.
(3) If a person referred to in sub-section (1) does not
apply to the Commission under that sub-section in
respect of a licence, the Commission may cause
the licence to be endorsed with the name of a
person nominated by the Commission.
(4) A function of the Commission under this section
may be performed by any commissioner.
7.3.16 Effect of endorsements
A person whose name is endorsed on a licence
under section 7.3.15 may carry on the business of
interactive gaming authorised by the licence until
the expiration of 6 months after the endorsement
is made and is subject to the same duties,
liabilities, obligations, disqualifications and
penalties as if the person were a licensed provider.
7.3.17 Licence lapses if not endorsed
If a licensed provider—
(a) dies; or
(b) becomes an insolvent under administration
or an externally-administered body
corporate; or
(c) becomes a represented person within the
meaning of the Guardianship and
Administration Act 1986—
the licence ceases to have force at the end of the
period of 90 days after the happening of the event
or such longer period as the Commission in any
particular case allows, unless the licence is
endorsed under section 7.3.15.
__________________
s. 7.3.16
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PART 4—CONTROL OF INTERACTIVE GAMING
Division 1—Player Registration
7.4.1 Player registration and acceptance of wagers
(1) A licensed provider must not permit a person to
play an approved game unless the person is
registered with the provider as a player.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years, or both.
(2) A licensed provider must not accept a wager from
a player in an approved game unless—
(a) the player is a registered player; and
(b) the funds necessary to cover the amount of
the wager are held by the provider on behalf
of the player.
Penalty: 240 penalty units.
7.4.2 Minors not to be registered
A licensed provider must not register a minor as a
player.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years, or both.
s. 7.4.1
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7.4.3 Verification of player's identity
A licensed provider must not allow a registered
player to play an approved game until the player's
identity has been authenticated in accordance with
the conditions of the licence.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years or both.
Division 2—General Conduct of Interactive Gaming
7.4.4 Compliance with certain conditions
(1) A licensed provider must not conduct or offer to
conduct an approved game unless—
(a) the rules of the game are approved by the
Commission; and
(b) the game is conducted in accordance with
those rules; and
(c) the game is conducted at or from premises
approved by the Commission; and
(d) equipment used in conducting the game is
approved by the Commission; and
(e) the associates of the licensed provider are
approved by the Commission in accordance
with this Act; and
(f) the licensed provider has an internal control
system that is approved by the Commission.
Penalty: 240 penalty units.
s. 7.4.3
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(2) The Commission must not approve rules unless it
is satisfied that the rules—
(a) are fair to players; and
(b) are reasonable; and
(c) are not contrary to the public interest.
(3) In approving equipment under this section, the
Commission may take into account the certificate
of a person listed on the Roll, being a person
referred to in section 3.4.61(1)(c).
7.4.5 Licensed testers to test interactive gaming
equipment
A person must not employ, or cause to be
employed, another person to service, maintain or
repair interactive gaming equipment unless the
second-mentioned person holds a technician's
licence.
Penalty: 250 penalty units.
7.4.6 Offence for licensed provider to participate etc.
(1) A licensed provider must not participate as a
player in an interactive game conducted by the
provider.
Penalty: 600 penalty units.
(2) An employee of a licensed provider must not
participate as a player in an interactive game
conducted by the provider.
Penalty: 240 penalty units.
7.4.7 Commission's power to restrict participation in
approved games by gaming officials
(1) The Commission may, by written notice given to a
gaming official, direct the gaming official—
(a) not to participate as a player in an approved
game; or
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(b) not to participate as a player in an approved
game except in stated circumstances or for
stated purposes.
(2) A gaming official must not participate as a player
in an approved game in contravention of a
direction under this section.
Penalty: 60 penalty units.
(3) In this section—
"gaming official" means a person employed in
the administration of this Act, other than an
inspector.
7.4.8 Licensed provider not to act as credit provider
A licensed provider must not provide credit to a
player.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years or both.
Division 3—Players' Funds and Prizes
7.4.9 Players funds
A licensed provider must, at the request of the
registered player or the personal representatives of
the registered player, remit funds of the player
held by the licensed provider on behalf of the
player as directed by the player no later than the
first business day after the request is received.
Penalty: 60 penalty units.
s. 7.4.8
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7.4.10 Funds held on behalf of players
A licensed provider must not have recourse to
funds held on behalf of a player except as
follows—
(a) to debit to the funds of the player a wager
made by the player or an amount the player
indicates the player wants to wager in the
course of an approved game the player is
playing or about to play; or
(b) to remit funds of the player at the player's
request; or
(c) as otherwise authorised under this Chapter.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years or both.
7.4.11 Inactive players
(1) If no transaction has been recorded on behalf of a
player for a period of 2 years, the licensed
provider must remit any funds held on behalf of
the player, or if the player cannot be found, must
pay the funds to the Treasurer.
(2) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (1), the Treasurer, on being satisfied
that the claimant is the owner of the money
demanded, must direct that it be paid to the
claimant out of money available for the purpose.
7.4.12 Disposal of unclaimed non-monetary prizes
(1) This section applies to a non-monetary prize in an
approved game conducted by a licensed provider
that is not collected within 3 months after
notification of the place at which it may be
collected.
s. 7.4.10
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(2) The licensed provider—
(a) may dispose of the prize by public auction or
tender or in some other way approved by the
Commission; and
(b) may pay for the disposal from the proceeds
of sale; and
(c) must—
(i) pay the remainder of the proceeds to
the relevant player or former player; or
(ii) if the licensed provider is unaware of
the whereabouts of the relevant player
or former player, pay the remainder of
the proceeds to the Treasurer.
(3) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (2)(c)(ii), the Treasurer, on being
satisfied that the claimant is the owner of the
money demanded, must direct that it be paid to the
claimant out of money available for the purpose.
7.4.13 Claims for prize
(1) If a claim for a prize in an approved game is made
to a licensed provider within 2 years after the end
of the game, the licensed provider must—
(a) immediately try to resolve the claim; and
(b) if the licensed provider is not able to resolve
the claim, by written notice (a "claim result
notice") given to the claimant, promptly
inform the claimant—
(i) of the licensed provider's decision on
the claim; and
(ii) that the person may, within 10 days of
receiving the notice, ask the
Commission to review the decision.
s. 7.4.13
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(2) If the claim is not resolved, the claimant may ask
the Commission to review the licensed provider's
decision on the claim, or if the claimant has not
received a claim result notice, to resolve the
claim.
(3) A request to the Commission under sub-
section (2)—
(a) must be in the approved form; and
(b) if the claimant received a claim result notice,
must be made within 10 days after receiving
the notice.
(4) If a request is made to the Commission, the
Commission may carry out investigations the
Commission considers necessary to resolve
matters in dispute.
(5) A function of the Commission under this section
may be performed by any commissioner.
7.4.14 Monetary prizes not claimed within 2 years
(1) If a monetary prize is not claimed within 2 years
after the end of the approved game in which the
prize was won, the licensed provider must pay the
amount of the prize to the Treasurer.
(2) If a claimant makes a demand against the
Treasurer for money paid to the Treasurer under
sub-section (1), the Treasurer, on being satisfied
that the claimant is the owner of the money
demanded, must direct that it be paid to the
claimant out of money available for the purpose.
7.4.15 Power to withhold prizes in certain cases
(1) If a licensed provider has reason to believe that
the result of an approved game has been affected
by an illegal activity or malfunction of equipment,
the licensed provider may withhold a prize in the
game.
s. 7.4.14
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(2) If a licensed provider withholds a prize under this
section, the licensed provider—
(a) must immediately inform the Commission of
the circumstances of the incident; and
(b) must not conduct a further game if a
recurrence of the illegality or malfunction is
likely.
(3) After investigating the incident, the Commission
may, by written notice to the licensed provider—
(a) direct the licensed provider to pay the prize;
or
(b) confirm the licensed provider's decision to
withhold the prize, but direct the licensed
provider to refund amounts wagered in the
game.
(4) The licensed provider must comply with a
direction under sub-section (3).
(5) A function of the Commission under this section
may be performed by any commissioner.
Division 4—Responsible Gambling Measures
7.4.16 Limitation on amount wagered
(1) A registered player may, by notice to a licensed
provider, set a limit on the amount the player may
wager.
(2) A player who has set a limit under this section
may change or revoke the limit by written notice
given to the licensed provider.
s. 7.4.16
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(3) A notice increasing or revoking the limit does not
have effect unless—
(a) 7 days have passed since the provider
received the notice; and
(b) the player has not notified the provider of an
intention to withdraw the notice.
(4) A notice reducing the limit has effect on its receipt
by the licensed provider.
(5) A licensed provider must not accept a wager from
a player contrary to a limit set for the player under
this section.
Penalty: 240 penalty units.
7.4.17 Self-exclusion order
(1) If a person gives notice in writing to a licensed
provider to the effect that the person is not to be
permitted to play an interactive game conducted
by the licensed provider, the licensed provider—
(a) must give a copy of the notice to the
Commission; and
(b) must not permit the person to play an
interactive game conducted by the licensed
provider unless the notice is revoked in
accordance with this section.
(2) If the Commission receives a notice from a
licensed provider under sub-section (1), the
Commission must give a copy to each other
licensed provider and to the relevant authority in
each participating jurisdiction.
(3) If the Commission receives a notice from the
relevant authority in a participating jurisdiction
under a provision of a corresponding law
corresponding to this section, the Commission
must give a copy of the notice to each licensed
provider.
s. 7.4.17
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(4) A licensed provider that receives a copy of a
notice under sub-section (2) or (3) must not permit
the person to whom the notice relates to play an
interactive game conducted by the provider unless
the notice is revoked in accordance with this
section or the corresponding law.
(5) A person may revoke a notice given under sub-
section (1) by giving notice to that effect to the
licensed provider.
(6) A notice under sub-section (5) does not take effect
unless—
(a) 7 days have passed since the person gave the
notice; and
(b) the person has not withdrawn the notice.
(7) A licensed provider must not accept a wager from
a person in respect of whom a notice under sub-
section (1) or under a corresponding provision of
a corresponding law is in effect.
Penalty: 240 penalty units.
_______________
s. 7.4.17
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PART 5—RETURNS TO PLAYERS AND TAXES
Division 1—Returns to Players
7.5.1 Returns to players
(1) A licensed provider must ensure that the pay-out
table on interactive games is set so as to return to
players the players' proportion of the total
amounts wagered each year on interactive games
conducted by the licensed provider.
(2) The players' proportion is—
(a) not less than 85%; or
(b) if the Commission determines in accordance
with sub-section (3), a fixed percentage
greater than 85%.
(3) A determination under sub-section (2)—
(a) must be made by notice published in the
Government Gazette; and
(b) must be expressed to have effect on and after
a specified date.
Division 2—Taxes
7.5.2 Supervision charge
(1) A licensed provider must pay to the Treasurer a
supervision charge in such instalments in respect
of such periods in each financial year as the
Treasurer determines from time to time.
(2) The supervision charge is such amount in respect
of each financial year as the Treasurer, after
consultation with the Minister, determines having
regard to the reasonable costs and expenses in
respect of the financial year incurred by the
s. 7.5.1
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Commission in carrying out its functions and
powers in respect of interactive gaming.
(3) The supervision charge is a tax.
7.5.3 Interactive gaming tax
(1) A licensed provider must, in respect of each
month, pay to the Commission to be paid into the
Consolidated Fund—
(a) the prescribed percentage; or
(b) if no percentage is prescribed, 40·91%—
of the provider's gaming revenue in respect of that
month.
(2) A payment under sub-section (1) in respect of a
month must be made not later than the 7th day of
the following month.
(3) If, in respect of a month, the amount of the sum
of—
(a) all prizes paid from the total amount wagered
on interactive games conducted by the
licensed provider in that month except prizes
paid from a jackpot special prize pool; and
(b) all amounts determined under the rules of the
interactive games for payment, in respect of
the total amount wagered on interactive
games conducted by the licensed provider in
that month, to a jackpot special prize pool—
exceeds the total of the amount wagered on
interactive games conducted by the licensed
provider during that month, the amount of the
excess may be applied to reduce the amount of
gaming revenue that is payable for the next or a
subsequent month for the purposes of determining
the amount under sub-section (1).
s. 7.5.3
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(4) In this section—
"gaming revenue", in relation to a month, means
the total amount wagered on interactive
games conducted by the licensed provider
during that month less—
(a) the sum of all prizes paid from that total
amount (other than prizes paid from a
jackpot special prize pool); and
(b) the sum of amounts determined under
the rules of the interactive games for
payment in respect of that total amount
wagered to a jackpot special prize pool;
"jackpot" means winnings payable from money
that accumulates as contributions are made
to a special prize pool.
7.5.4 Returns for calculation of tax
(1) Within 7 days after the end of each month, a
licensed provider must give the Commission a
return in a form approved by the Commission
containing—
(a) the information for calculating the amount
payable by the licensed provider under
section 7.5.3 in respect of the preceding
month; and
(b) any prescribed information.
Penalty: 60 penalty units.
(2) If a licensed provider does not give the
Commission a return in accordance with sub-
section (1), the Commission may by notice given
to the provider, determine the information for the
purposes of calculating the amount payable by the
provider under section 7.5.3 in respect of the
preceding month.
s. 7.5.4
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7.5.5 Penalty interest for late payment
A licensed provider must pay to the Commission
interest on an amount payable under section 7.5.3
or on a licence fee that is outstanding as at the end
of the period allowed for payment at the rate fixed
for the time being under section 2 of the Penalty
Interest Rates Act 1983.
7.5.6 Recovery of amounts
An amount payable under section 7.5.2 or 7.5.3 or
interest payable under section 7.5.5 is a debt
payable to the State and may be recovered by
action in a court of competent jurisdiction.
7.5.7 Revenue offences
(1) A licensed provider must not—
(a) evade the payment of an amount payable by
the licensed provider under section 7.5.2 or
7.5.3; or
(b) give the Commission a return containing
information the licensed provider knows to
be false, misleading or incomplete in a
material particular.
Penalty: For a first offence, 600 penalty units;
For a second or subsequent offence,
600 penalty units or imprisonment for
2 years or both.
(2) Sub-section (1)(b) does not apply to a licensed
provider if the licensed provider—
(a) when giving the return, informs the
Commission in writing, to the best of the
licensed provider's ability, how the return is
false, misleading or incomplete; and
(b) subsequently gives the correct information to
the Commission as soon as the licensed
provider has, or can reasonably obtain, it.
s. 7.5.5
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(3) It is sufficient for a charge for an offence against
sub-section (1) to state that the document was
false, misleading or incomplete to the defendant's
knowledge.
_______________
s. 7.5.7
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PART 6—COMPLIANCE REQUIREMENTS
Division 1—Directions
7.6.1 Directions
(1) The Commission may, by written notice given to
licensed providers, give directions about the
conduct of authorised games by licensed
providers.
(2) Without limiting sub-section (1), the Commission
may, by written notice, give directions to licensed
providers about—
(a) the conduct of games that the licensed
provider is authorised to conduct under this
Act; and
(b) how licensed providers must foster
responsible gambling by players of
interactive games in order to—
(i) minimise harm caused by problem
gambling; and
(ii) accommodate those who gamble
without harming themselves or others.
(3) A function of the Commission under this section
may be performed by any commissioner.
Division 2—Complaint Handling
7.6.2 Inquiries about complaints
(1) A licensed provider must inquire into—
(a) a complaint made to the licensed provider by
a person about—
(i) the conduct of an approved game by the
licensed provider; or
s. 7.6.1
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(ii) the conduct of an agent of the licensed
provider in operations related to an
approved game; or
(b) a complaint referred to the licensed provider
by the Commission under sub-section (3).
Penalty: 60 penalty units.
(2) Within 21 days after the complaint is received by,
or referred to, the licensed provider, the licensed
provider must give written notice of the result of
the inquiry to—
(a) the complainant; and
(b) if the complaint was referred to the licensed
provider by the Commission, the
Commission.
Penalty: 60 penalty units.
(3) If a complaint is made to the Commission about
the conduct of an approved game, or the conduct
of an agent in operations related to an approved
game, the Commission must promptly—
(a) inquire into the complaint; or
(b) if the Commission considers it appropriate—
(i) refer the complaint to the licensed
provider who conducted the game; or
(ii) if the approved game is conducted by
an external provider, refer the
complaint to the relevant participating
regulator.
(4) The Commission must promptly advise the
complainant of—
(a) the result of the Commission's inquiry; or
(b) the Commission's decision to refer the
complaint to the licensed provider or a
participating regulator.
s. 7.6.2
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(5) A complaint must—
(a) be in writing; and
(b) state the complainant's name and address;
and
(c) give appropriate details of the complaint.
(6) A function of the Commission under this section
may be performed by any commissioner.
_______________
s. 7.6.2
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PART 7—ONGOING MONITORING
7.7.1 Investigation of licensed providers
(1) The Commission may investigate a licensed
provider to help the Commission decide whether
the licensed provider is a suitable person to hold,
or to continue to hold, an interactive gaming
licence.
(2) However, the Commission may investigate a
licensed provider only if the Commission
reasonably suspects the licensed provider is not,
or is no longer, a suitable person to hold an
interactive gaming licence.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
7.7.2 Investigation of business and executive associates of
licensed providers
(1) The Commission may investigate a business or
executive associate of a licensed provider to help
the Commission decide whether the person is, or
continues to be, a suitable person to be associated
with a licensed provider's operations.
(2) However, the Commission may investigate a
business or executive associate of a licensed
provider only if—
(a) the Commission reasonably suspects the
person is not, or is no longer, a suitable
person to be associated with a licensed
provider's operations; or
(b) the person became a business or executive
associate of the licensed provider after the
issue of the interactive gaming licence.
s. 7.7.1
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(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
7.7.3 Requirement to give information or document for
investigation
(1) In investigating a licensed provider, or a business
or executive associate of a licensed provider, the
Commission may, by written notice given to the
person, require the person to give the Commission
information or a document the Commission
considers relevant to the investigation.
(2) When making the requirement, the Commission
must warn the person it is an offence to fail to
comply with the requirement, unless the person
has a reasonable excuse.
(3) The person must comply with a requirement under
sub-section (1), unless the person has a reasonable
excuse.
Penalty: 240 penalty units.
(4) It is a reasonable excuse for the person not to
comply with the requirement if complying with
the requirement might tend to incriminate the
person.
(5) The person does not commit an offence against
this section if the information or document sought
by the Commission is not in fact relevant to the
investigation.
(6) A function of the Commission under this section
may be performed by the Executive
Commissioner.
s. 7.7.3
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7.7.4 Notification of persons becoming associates
A licensed provider must—
(a) notify the Commission in writing that a
person is likely to become an associate as
soon as practicable after the licensed
provider becomes aware of the likelihood;
and
(b) ensure that a person does not become an
associate (other than a relative) except with
the prior approval in writing of the
Commission.
7.7.5 Investigation of associates and others
(1) The Commission may from time to time
investigate—
(a) an associate, or a person likely to become an
associate, of a licensed provider; or
(b) any person, body or association having a
business association with a person referred to
in paragraph (a).
(2) The Commission—
(a) may require an associate or a person likely to
become an associate to consent to having his
or her photograph, finger prints and palm
prints taken; and
(b) must refer to the Chief Commissioner of
Police a copy of—
(i) any photograph, finger prints and palm
prints; and
(ii) any supporting documents.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
s. 7.7.4
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7.7.6 Termination of association
(1) If the Commission, having regard to the matters
referred to in sub-section (3), determines that an
associate is unsuitable to be concerned in or
associated with the business of the licensed
provider, the Commission may, by notice in
writing, require the associate to terminate the
association with the licensed provider.
(2) In particular, the Commission must consider
whether the associate—
(a) is of good repute, having regard to character,
honesty and integrity;
(b) is of sound and stable financial background;
(c) has any business association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity or has undesirable or
unsatisfactory financial resources.
(3) If the association is not terminated within 14 days
from the date of the notice referred to in sub-
section (1), the Commission may, by notice in
writing, direct the licensed provider to take all
reasonable steps to terminate the association and
the licensed provider must comply with the
direction within 14 days or any longer period
agreed with the Commission.
(4) This section does not apply if a person is an
associate of the licensed provider only because
they are a relative of the licensed provider.
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s. 7.7.6
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PART 8—TRIBUNAL REVIEWS
7.8.1 Review by Tribunal
(1) A person whose interests are affected by a
decision of the Commission under this Chapter,
other than a non-reviewable decision, may apply
to the Tribunal for review of the decision.
(2) An application for review must be made within
28 days after the later of—
(a) the day on which the decision is made;
(b) if, under the Victorian Civil and
Administrative Tribunal Act 1998, the
person requests a statement of reasons for the
decision, the day on which the statement of
reasons is given to the person or the person is
informed under section 46(5) of that Act that
a statement of reasons will not be given;
(c) if, under section 10.1.24, the person requests
a statement of reasons for the decision, the
day on which the statement of reasons is
given to the person or the person is informed
under section 10.1.23(6) that a statement of
reasons will not be given.
(3) In this section—
"non-reviewable decision" means a decision—
(a) to approve, or refuse to approve, an
interactive game; or
(b) to approve, or refuse to approve, the
rules of an interactive game; or
(c) about probity; or
(d) under Part 4.
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(4) If a person requests a statement of reasons under
the Victorian Civil and Administrative
Tribunal Act 1998 and under section 10.1.24, an
application for review must be made within
28 days after the date on which a statement of
reasons was first given under either of those
provisions or the date the person was first
informed under either of those provisions that a
statement of reasons would not be given.
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s. 7.8.1
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CHAPTER 8—COMMUNITY AND CHARITABLE
GAMING
PART 1—INTRODUCTION
8.1.1 Purpose
The purpose of this Chapter is to provide for the
regulation, supervision and control of gaming for
the benefit of community or charitable
organisations with the aims of ensuring that—
(a) community and charitable gaming is
conducted honestly and is free from criminal
influence and exploitation;
(b) activities authorised by a minor gaming
permit benefit the community or charitable
organisation to which the permit is issued;
(c) practices which could undermine public
confidence in community and charitable
gaming are eliminated;
(d) bingo centre operators do not act unfairly in
providing commercial services to community
or charitable organisations.
8.1.2 Definitions
In this Chapter—
"amend", in relation to a permit or licence,
includes amend or substitute or impose a
condition on the permit or licence;
"associate" of a bingo centre operator does not
include a relative of the operator;
Note: The general definition of "associate" can be
found in section 1.4.
s. 8.1.1
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"gross proceeds", in relation to a bingo game or
session of bingo games, means the gross
receipts less the prizes paid for that game or
session;
"gross receipts", in relation to a bingo game or a
session of bingo games, means the total
amount paid by players in that game or
session for tickets;
"lucky envelope" means a ticket in a lottery in
which the tickets which entitle the holders to
claim a prize have been determined and
announced before the commencement of the
sale of tickets in the lottery;
"lucky envelope vending machine" means a
machine, device or contrivance that is
constructed to dispense lucky envelopes by
an operation that involves the insertion in the
machine, device or contrivance of a coin,
token or similar object but does not include a
gaming machine or interactive gaming
equipment that is used or intended to be used
for the purposes of interactive games and not
for gaming of any other kind;
"nominee" means—
(a) in relation to a minor gaming permit,
the natural person nominated by a
community or charitable organisation
and approved by the Commission in
accordance with section 8.3.16;
(b) in relation to a bingo centre operator's
licence, the natural person nominated
by a body corporate and approved by
the Commission in accordance with
section 8.5.9.
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s. 8.1.2
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PART 2—LEGALITY OF COMMUNITY AND CHARITABLE
GAMING
8.2.1 Community and charitable gaming declared lawful
(1) The playing of a game that is conducted in
accordance with this Chapter is lawful and is not a
public or private nuisance.
(2) The premises at which a game is played in
accordance with this Chapter is not a common
gaming house or place.
8.2.2 General requirement for minor gaming permit
A person must not—
(a) conduct or assist in the conduct of a raffle; or
(b) conduct or assist in the conduct of a session
of bingo games; or
(c) sell or assist in the sale of lucky envelopes;
or
(d) conduct or assist in the conduct of a
fundraising event—
otherwise than in accordance with this Chapter,
the regulations and the conditions, if any, of the
minor gaming permit issued in respect of that
activity.
Penalty: For a first offence, 20 penalty units;
For a second or subsequent offence,
60 penalty units.
8.2.3 Permit not required for raffle where prize value
$5000 or less
A person aged 18 years or more may conduct a
raffle without a minor gaming permit if—
(a) the value of the prize does not exceed $5000;
and
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(b) the person complies with any conditions
prescribed for the purposes of this section;
and
(c) the net proceeds of the raffle are to be paid
into a separate account at an authorised
deposit-taking institution, being an account
in the name of a community or charitable
organisation to be used exclusively for—
(i) any philanthropic or benevolent
purpose, including the promotion of art,
culture, science, religion, education or
charity, and including the benefiting of
a fund certified to be a patriotic fund
under section 24 of the Patriotic Funds
Act 1958 or the fund or part of the fund
of the Australian Red Cross Society; or
(ii) the purposes of any sporting or
recreational club or association of a
prescribed kind; or
(iii) the purposes of a political party.
8.2.4 Permit not required for some bingo sessions
A minor gaming permit is not required to conduct
a session of bingo games if—
(a) no fee is charged, directly or indirectly, to
participate in the games; or
(b) the whole of the gross receipts from the
session of bingo games is distributed as
prizes during that session.
__________________
s. 8.2.4
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PART 3—COMMUNITY OR CHARITABLE
ORGANISATIONS
Division 1—Community or Charitable Organisations
8.3.1 Application to be declared as a community or
charitable organisation
(1) An organisation may apply to the Commission to
be declared a community or charitable
organisation.
(2) An application under sub-section (1) must be—
(a) in the form approved by the Commission;
and
(b) accompanied by the prescribed fee (if any).
(3) A function of the Commission under this section
may be performed by any commissioner.
8.3.2 Commission may require further information etc.
(1) The Commission may, by notice in writing,
require an applicant for a declaration to do any
one or more of the following—
(a) to provide, in accordance with directions in
the notice, any information that is relevant to
the investigation of the application and is
specified in the notice;
(b) to produce, in accordance with directions in
the notice, any records relevant to the
investigation of the application that are
specified in the notice and to permit
examination of the records, the taking of
extracts from them and the making of copies
of them;
(c) to authorise a person described in the notice
to comply with a specified requirement of
the kind referred to in paragraph (a) or (b);
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(d) to provide the Commission with any
authorities and consents the Commission
requires for the purpose of enabling the
Commission to obtain information (including
financial and other confidential information)
concerning the applicant from other persons.
(2) If a requirement made under this section is not
complied with, the Commission may refuse to
consider the application concerned.
8.3.3 Commission may make declaration
(1) The Commission, by instrument, may declare an
organisation to be a community or charitable
organisation if the Commission is satisfied that the
organisation is conducted in good faith for—
(a) any philanthropic or benevolent purpose,
including the promotion of art, culture,
science, religion, education or charity, and
including the benefiting of a fund certified to
be a patriotic fund under section 24 of the
Patriotic Funds Act 1958 or the fund or part
of the fund of the Australian Red Cross
Society; or
(b) the purposes of any sporting or recreational
club or association of a prescribed kind; or
(c) the purposes of a political party.
(2) In determining whether to make a declaration
under sub-section (1), the Commission may have
regard to any matter which it considers relevant,
including but not limited to—
(a) the conduct of fundraising or minor gaming
activities by the applicant;
(b) the conduct of any person directly or
indirectly associated with the applicant.
s. 8.3.3
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(3) The Commission—
(a) must either—
(i) declare the applicant to be a community
or charitable organisation for the
purposes of this Act; or
(ii) refuse the application; and
(b) must notify the applicant in writing
accordingly.
(4) If the Commission refuses an application, the
Commission may include reasons for that refusal
in the written notification under sub-section (3).
(5) A function of the Commission under this section
may be performed by any commissioner.
8.3.4 Can the applicant appeal?
(1) If a decision to refuse an application for a
declaration is made by a single commissioner, the
applicant may appeal against the decision to the
Commission within 28 days of notification of the
refusal under section 8.3.3.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
8.3.5 Commission to determine appeal
(1) After consideration of an appeal under
section 8.3.4, the Commission may—
(a) confirm the decision; or
(b) make a declaration under this Division.
(2) The decision of the Commission on an appeal—
(a) must be notified in writing to the applicant;
and
(b) may include the reasons for its decision.
s. 8.3.4
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(3) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
8.3.6 Duration of declaration
A declaration of an organisation as a community
or charitable organisation remains in force until
the declaration—
(a) is revoked in accordance with this Division;
or
(b) is renounced by the organisation by notice in
writing given to the Commission.
Note: A declaration may be suspended under
section 8.3.11.
8.3.7 Commission may require organisation to show cause
(1) The Commission may serve on a community or
charitable organisation a notice in writing giving it
an opportunity to show cause within 28 days (or
the longer period specified in the notice) why the
declaration of the organisation as a community or
charitable organisation should not be revoked on
the ground specified in the notice.
(2) The Commission may serve a notice under sub-
section (1) on any of the following grounds—
(a) that it is not in the public interest for the
organisation to continue to be declared as a
community or charitable organisation;
(b) if the organisation is an unincorporated club,
that the club is substantially and materially
different from the club in respect of which
the declaration was made;
(c) any other ground which the Commission
thinks fit.
s. 8.3.6
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8.3.8 Organisation may make submissions
An organisation that receives a notice under
section 8.3.7 may arrange with the Commission
for the making of submissions to the Commission
as to why the declaration of the organisation as a
community or charitable organisation should not
be revoked and the Commission must consider
any submission so made.
8.3.9 Revocation of declaration
(1) The Commission may revoke a declaration in
respect of a community or charitable organisation
if—
(a) after considering any submission made by
the organisation under section 8.3.8, the
Commission is satisfied of any of the
grounds in section 8.3.7(2); or
(b) the organisation does not respond to the
notice served under section 8.3.7 within the
time specified in the notice.
(2) The Commission must—
(a) give written notice of the revocation to the
organisation; and
(b) specify in the notice that the revocation takes
effect from the date of the notice or on a later
date specified in that notice.
8.3.10 Appeal to Supreme Court
(1) An organisation that receives—
(a) notice of a decision under section 8.3.5
confirming the refusal of the organisation's
application for a declaration; or
s. 8.3.8
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(b) notice under section 8.3.9 of the revocation
of a declaration of the organisation as a
community or charitable organisation—
may appeal to the Supreme Court against that
decision or revocation.
(2) An appeal under this section must be made within
21 days after receipt of the notification of the
decision or revocation by the appellant.
(3) The Supreme Court, on an appeal under this
section, if satisfied that proper grounds for making
the decision or revocation did not exist—
(a) may quash or vary the decision or
revocation, either conditionally or
unconditionally and with effect from the date
of the decision or revocation or some other
date; and
(b) may make any other order, including
consequential or ancillary orders.
8.3.11 Suspension of declaration
(1) The Commission may suspend the declaration of
an organisation as a community or charitable
organisation by giving written notice to the
organisation if—
(a) the Commission is considering whether to
revoke the declaration; and
(b) the Commission considers that it is in the
public interest to suspend the declaration
pending the making of a decision whether or
not to revoke it.
(2) The Commission may at any time terminate a
suspension under sub-section (1).
s. 8.3.11
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(3) Unless terminated earlier by the Commission, a
suspension under sub-section (1) is terminated
when—
(a) the Commission revokes the declaration
under section 8.3.9; or
(b) the Commission decides not to revoke the
declaration—
whichever is earlier.
(4) While a declaration is suspended under sub-
section (1), the organisation to which it relates is
not a community or charitable organisation for the
purposes of Division 2.
(5) A function of the Commission under this section
may be performed by any commissioner.
Division 2—Minor Gaming Permits
8.3.12 Application for minor gaming permit
(1) An organisation that—
(a) is a community or charitable organisation; or
(b) has applied for a declaration as a community
or charitable organisation—
may apply to the Commission for a minor gaming
permit.
(2) An application for a minor gaming permit must—
(a) be in the form approved by the Commission;
and
(b) specify the activity which the organisation
wishes to conduct under the permit and the
proposed date of the activity; and
(c) nominate a natural person aged 18 years or
more to be responsible for the conduct of the
activity; and
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(d) include the consent of the nominee to his or
her nomination; and
(e) be accompanied by the prescribed fee in
respect of that activity; and
(f) be lodged with the Commission not less than
21 days (or any shorter period allowed by the
Commission in a particular case) before the
day on which the activity is proposed to
commence.
(3) A function of the Commission under this section
may be performed by any commissioner.
8.3.13 Determination of application
(1) The Commission must determine an application
for a minor gaming permit having regard to—
(a) whether the applicant is a community or
charitable organisation; and
(b) whether the person nominated by the
applicant is of good repute and character.
(2) The Commission must either issue a minor
gaming permit to the applicant or refuse the
application and must notify the applicant in
writing accordingly.
(3) A minor gaming permit is subject to—
(a) the prescribed conditions in respect of the
activity authorised by the permit; and
(b) any other conditions the Commission
imposes.
(4) A function of the Commission under this section
may be performed by any commissioner.
s. 8.3.13
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8.3.14 What does a minor gaming permit authorise?
(1) A minor gaming permit authorises the holder of
the permit, subject to this Chapter and any
conditions to which the permit is subject—
(a) to conduct a raffle; or
(b) to conduct a session or sessions of bingo
games; or
(c) to sell lucky envelopes; or
(d) to conduct a fundraising event—
as specified in the permit.
(2) A minor gaming permit does not authorise the
holder of the permit to do anything specified in
sub-section (1) at any time when the holder is not
a community or charitable organisation.
8.3.15 Duration of minor gaming permit
A minor gaming permit remains in force for the
period not exceeding 2 years specified in the
permit, unless sooner cancelled or surrendered.
8.3.16 Nominee of organisation
(1) On the issue of a minor gaming permit to a
community or charitable organisation, the natural
person nominated by the organisation is
responsible on behalf of the organisation for the
conduct of the activity specified in the permit and
is liable under this Act as holder of the permit.
(2) If a nominated person resigns, is dismissed or
leaves the community or charitable organisation—
(a) the organisation must nominate another
natural person within 7 days (or any longer
period allowed by the Commission in a
particular case) after the resignation,
dismissal or leaving; and
s. 8.3.14
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(b) the directors of the organisation or the
members of the managing committee of the
organisation (as the case may be) are
severally liable under this Act as holder of
the permit until such time as another person
is nominated and approved by the
Commission.
(3) The liability of the holder of a minor gaming
permit is not limited under this Act by the
nomination and approval of its nominee except in
respect of a contract entered into under
section 8.4.6.
(4) A function of the Commission under this section
may be performed by any commissioner.
8.3.17 Amendment of permit conditions
(1) The conditions of a minor gaming permit (other
than prescribed conditions) may be amended in
accordance with this section.
(2) An amendment may be proposed—
(a) by the holder of the permit by—
(i) requesting the Commission in writing
to make the amendment; and
(ii) giving reasons for the proposed
amendment; and
(iii) paying the prescribed fee; or
(b) by the Commission by giving notice in
writing of the proposed amendment and
giving reasons to the holder of the permit.
(3) An amendment proposed by the Commission must
be in the public interest.
s. 8.3.17
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(4) The Commission must give the holder of the
permit at least 28 days to make a submission to
the Commission concerning any proposed
amendment (whether proposed by the
Commission or the holder) and must consider any
submission made.
(5) The holder of a permit may waive their right
under sub-section (4) to make a submission by
giving notice in writing to the Commission.
(6) The Commission must then decide whether to
make the proposed amendment, either with or
without changes to the amendment originally
proposed, and must notify the holder of the permit
of its decision.
(7) An amendment takes effect when notice of the
decision is given to the holder of the permit or on
any later date that may be specified in the notice.
(8) A function of the Commission under this section
may be performed by any commissioner.
8.3.18 Appeal
(1) An applicant for a minor gaming permit or a
permit holder (as the case requires) may appeal to
the Commission, within 28 days of notification of
the decision, against any of the following
decisions made by a single commissioner—
(a) a decision to refuse to grant an application
for a minor gaming permit;
(b) a decision to grant a permit subject to
conditions;
(c) a decision to amend the conditions of a
permit.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
s. 8.3.18
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(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions; or
(c) in the case of a decision to grant an
application subject to conditions or to amend
the conditions of a permit—vary or remove
the conditions.
(4) The decision of the Commission on an appeal—
(a) must be notified in writing to the applicant or
permit holder (as the case requires); and
(b) may include the reasons for the decision.
(5) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
Division 3—Disciplinary Action
8.3.19 Definitions
In this Division—
"disciplinary action", against the holder of a
minor gaming permit, means any of the
following—
(a) the cancellation or suspension of the
minor gaming permit;
(b) the variation of the terms of the permit;
(c) the issuing of a letter of censure to the
permit holder;
s. 8.3.19
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"grounds for disciplinary action", in relation to
the holder of a minor gaming permit, means
any of the following—
(a) that minor gaming permit was
improperly obtained in that, at the time
it was granted, there were grounds for
refusing it;
(b) that the permit holder has failed to
provide information that the person is
required by this Act to provide or has
provided information knowing it to be
false or misleading;
(c) that the permit holder has contravened
this Act or the regulations or a
condition of the permit;
(d) that—
(i) the permit holder; or
(ii) an executive officer or nominee of
the permit holder—
has been found guilty of a relevant
offence;
(e) that the permit holder has become an
externally-administered body corporate;
(f) that for any reason the permit holder is
not a suitable person to hold their
permit;
"relevant offence" means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence (in Victoria or elsewhere)
involving fraud or dishonesty
punishable by imprisonment for
3 months or more (whether or not in
addition to a fine).
s. 8.3.19
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8.3.20 Taking disciplinary action
(1) The Commission may inquire into whether there
are grounds for disciplinary action against the
holder of a minor gaming permit.
(2) At the request of the Commission, the Executive
Commissioner may conduct an investigation in
relation to a permit holder and may make a report
on the investigation to the Commission.
(3) If, following an inquiry or investigation under
sub-section (1) or (2), the Commission considers
there are grounds for taking disciplinary action
against a permit holder, the Commission may
serve on the permit holder a notice in writing
giving them an opportunity to show cause within
14 days why disciplinary action should not be
taken against them on the grounds for disciplinary
action specified in the notice.
(4) The permit holder, within the period allowed by
the notice, may arrange with the Commission for
the making of submissions to the Commission as
to why disciplinary action should not be taken and
the Commission must consider any submissions
so made.
(5) If the Commission decides that—
(a) the permit holder is not a suitable person to
hold their permit, the Commission may only
vary, suspend or cancel the permit; or
(b) there are any other grounds for disciplinary
action against the permit holder, the
Commission may take the action—
and does so by giving written notice of the
disciplinary action to the permit holder.
s. 8.3.20
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(6) If the disciplinary action is the cancellation,
suspension or variation of the terms of a permit, it
takes effect when the notice under sub-section (5)
is given or at a later time specified in the notice.
8.3.21 Letter of censure
(1) Disciplinary action taken by the Commission
under section 8.3.20(5) in the form of a letter of
censure may censure the permit holder in respect
of any matter connected with the permit holder's
activities under this Chapter and may include a
direction to the permit holder to rectify within a
specified time any matter giving rise to the
censure.
(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
permit holder, cancel, suspend or vary the terms
of the permit without giving the permit holder a
further opportunity to be heard.
8.3.22 Performance of functions
A function of the Commission under this Division
may be performed by any commissioner.
__________________
s. 8.3.21
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PART 4—CONDUCT OF COMMUNITY AND CHARITABLE
GAMING
Division 1—Lucky Envelopes
8.4.1 Lucky envelopes must comply with prescribed
standards
(1) A person must not supply lucky envelopes that do
not comply with the prescribed standards.
Penalty: 60 penalty units.
(2) The holder of a minor gaming permit must not sell
(whether by a lucky envelope vending machine or
otherwise) lucky envelopes that do not comply
with the prescribed standards.
Penalty: 60 penalty units.
8.4.2 Lucky envelopes only to be supplied to permit
holder
A person must not supply lucky envelopes to a
person or organisation that does not hold a minor
gaming permit authorising the sale of lucky
envelopes.
Penalty: 60 penalty units.
Division 2—Bingo
8.4.3 Bingo equipment must comply with prescribed
standards
(1) A person must not supply bingo tickets that do not
comply with the prescribed standards.
Penalty: 60 penalty units.
(2) Sub-section (1) does not apply to a person who
supplies braille tickets in the form approved by
the Commission under section 8.4.5(2) for use by
visually-impaired people.
s. 8.4.1
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(3) A person must not supply a random number
generator for use in the playing of bingo which
does not comply with the prescribed standards.
Penalty: 60 penalty units.
(4) The holder of a minor gaming permit or a bingo
centre operator must not use in the playing of
bingo—
(a) a bingo ticket; or
(b) a random number generator—
that does not comply with the prescribed
standards.
Penalty: 60 penalty units.
(5) Sub-section (4) does not apply to the holder of a
minor gaming permit or a bingo centre operator
who accepts a braille ticket in the form approved
by the Commission under section 8.4.5(2) from a
visually-impaired person.
8.4.4 Bingo equipment only to be supplied to permit
holder
(1) A person must not supply—
(a) bingo tickets; or
(b) a random number generator for use in the
playing of bingo—
to a person or organisation that does not hold a
minor gaming permit authorising the conduct of a
session or sessions of bingo games.
Penalty: 60 penalty units.
(2) Sub-section (1) does not apply to a person who
supplies a braille ticket in the form approved by
the Commission under section 8.4.5(2) to a
visually-impaired person for use by the visually-
impaired person in playing bingo.
s. 8.4.4
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8.4.5 Braille bingo tickets
(1) A person who conducts a session of bingo games
must not refuse to allow a visually-impaired
person to participate in the session only because
the person wishes to play bingo by means of a
braille ticket in the form approved by the
Commission.
(2) For the purposes of sub-section (1), the
Commission may, from time to time, approve a
form of braille ticket.
(3) Nothing in sub-section (1) prevents a person who
conducts a session of bingo games from charging
a visually-impaired person the price of a bingo
ticket to enter the game.
8.4.6 Permit holder may contract with bingo centre
operator to conduct bingo
(1) The holder of a minor gaming permit authorising
the conduct of a session or sessions of bingo
games may enter into an agreement with a bingo
centre operator for the conduct by the bingo centre
operator of bingo sessions at a bingo centre on
behalf of the permit holder.
(2) The agreement must provide for—
(a) compliance by the bingo centre operator with
all relevant provisions of this Act; and
(b) the submission to the Commission of
periodic audited statements as required by or
under this Act; and
(c) the retention of records as required by this
Act; and
(d) the provision to the permit holder of a copy
of all documents submitted on its behalf to
the Commission by the bingo centre
operator; and
s. 8.4.5
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(e) the maximum fee, determined in accordance
with the regulations and not exceeding 2% of
the gross receipts, to be paid to the bingo
centre operator for each session of bingo.
(3) The agreement may contain any other provisions
that are not inconsistent with this Act.
(4) The permit holder must—
(a) give the Commission a copy of an agreement
entered into under this section; and
(b) notify the Commission of the termination of
the agreement.
(5) If an agreement is entered into under this section,
the bingo centre operator is solely liable under this
Act in all respects as if it were the permit holder.
8.4.7 Expenses operators can charge for bingo
A bingo centre operator must not require the
holder of a minor gaming permit to pay to the
bingo centre operator or to an associate of the
bingo centre operator any expenses exceeding the
maximum amount (if any) prescribed by the
regulations.
Penalty: 60 penalty units.
Division 3—Bingo Pooling Schemes
8.4.8 When can a pooling scheme operate?
(1) A pooling scheme may only operate if—
(a) all the community or charitable organisations
conducting bingo games at the particular
place or places to which the scheme applies
are members of the scheme; and
(b) the Commission has been given a copy of the
rules of the scheme before the scheme comes
into operation.
s. 8.4.7
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(2) A pooling scheme operates for 3 years or, if a
shorter period is set out in the rules of the scheme,
that shorter period.
(3) A person must not administer or assist in the
administration of a pooling scheme otherwise than
in accordance with—
(a) this Act; and
(b) the regulations; and
(c) the rules of the pooling scheme.
Penalty: For a first offence, 20 penalty units;
For a second or subsequent offence,
60 penalty units.
8.4.9 Membership of pooling scheme
The members of a pooling scheme are—
(a) the community or charitable organisations
conducting or proposing to conduct bingo in
a particular place or places; and
(b) if the particular place or places referred to in
paragraph (a) are bingo centres, the bingo
centre operator of each of those centres.
8.4.10 Pooling scheme rules
(1) A pooling scheme is governed by the rules of the
scheme adopted by the members of the scheme.
(2) The rules—
(a) must not be inconsistent with this Act, the
regulations or the conditions of the relevant
permits; and
(b) must deal with the matters specified from
time to time by the Commission in a notice
published under section 8.4.11.
s. 8.4.9
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(3) The rules of a pooling scheme take effect—
(a) 28 days after a copy of the rules or the
amendment has been given to the
Commission; or
(b) if the Commission agrees, from an earlier
date specified by the Commission.
8.4.11 Commission may specify matters for rules
The Commission, from time to time, by notice
published in the Government Gazette, may specify
the matters to be included in rules of pooling
schemes including, but not limited to—
(a) the money that must, or must not, be paid
into the pool;
(b) the payment of expenses of the scheme
administrator;
(c) settlements;
(d) the formula or other means by which
payments to pool members are to be
determined;
(e) the circumstances under which an agreement
under section 8.4.6 may be required for
members of the scheme.
8.4.12 Disallowance of rules
(1) The Commission, at any time, may disallow the
rules of a pooling scheme or any amendment of
those rules, by giving written notice to the
members of the scheme, if the Commission
considers that the rules or the amendment—
(a) are not sufficiently clear or certain; or
(b) do not provide for equitable treatment of the
members; or
(c) are inconsistent with this Act, the regulations
or the conditions of the relevant permits.
s. 8.4.11
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(2) The disallowance of the rules or an amendment to
the rules takes effect on the day specified in the
notice of disallowance.
8.4.13 Scheme administrator
(1) A pooling scheme must have a scheme
administrator.
(2) The scheme administrator is—
(a) if a bingo centre operator is a member of the
scheme, that person; or
(b) in any other case, a person appointed in
accordance with the rules of the scheme.
(3) The scheme administrator must—
(a) establish and maintain a financial institution
account in accordance with section 8.6.1 for
all money forming part of the pool or
incidentally involved in the pooling scheme;
and
(b) ensure compliance with the rules of the
scheme by the members of the scheme.
8.4.14 Amendment of rules
(1) The rules of the pooling scheme may be amended
in accordance with this section.
(2) Subject to sub-section (3), an amendment to the
rules does not take effect until—
(a) it is approved by at least two-thirds of the
community or charitable organisations that
are members of the scheme in a vote on that
amendment; and
(b) the Commission has been given notice of the
amendment and a copy of the amendment
before the amendment comes into effect.
s. 8.4.13
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(3) An amendment to the rules of a pooling scheme
takes effect—
(a) 28 days after a copy of the amendment has
been given to the Commission; or
(b) if the Commission agrees, from an earlier
date specified by the Commission.
(4) A member may not be removed from a pooling
scheme without the member's consent unless an
amendment is made to the rules of the scheme
removing that member.
(5) An amendment to the rules which has the effect of
reducing the amount payable to the scheme
administrator in respect of the expenses of
conducting a bingo session is only effective if the
scheme administrator consents to that amendment.
(6) An amendment to the rules may operate to
terminate the pooling scheme at any time.
8.4.15 Declaration of interest
(1) Despite any amendment to the rules being in the
direct or indirect interest of the member or a
related member of that member, a member may
vote on that amendment if that interest is declared
at the time of voting.
(2) A declaration under sub-section (1) must be
included in the notice of the amendment to the
Commission under section 8.4.14(2)(b).
(3) A vote on an amendment to the rules is not invalid
only because a member of the pooling scheme
failed to declare an interest under sub-section (1).
(4) In this section, an organisation that is a member of
the pooling scheme is a related member of another
organisation that is a member of the pooling
scheme if—
s. 8.4.15
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(a) there is significant commonality of
membership of those organisations; or
(b) there is significant commonality of
membership of the controlling body or
committees of those organisations; or
(c) the controlling offices of each of those
organisations are held by the same person or
persons.
8.4.16 Application to political parties
Nothing in this Division applies to a community
or charitable organisation that is conducted for the
purposes of a political party.
_______________
s. 8.4.16
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PART 5—BINGO CENTRES
Division 1—Licensing of bingo centre operators
8.5.1 Requirement to be licensed
A person must not have the management or
control of a bingo centre unless the person holds a
bingo centre operator's licence.
Penalty: 100 penalty units.
8.5.2 Application for licence
(1) Subject to sub-section (2), a person may apply to
the Commission for a bingo centre operator's
licence.
(2) A person cannot apply for, or be granted, a bingo
centre operator's licence if the person—
(a) is a venue operator or gaming operator under
this Act or holds a licence under the law of
another State or a Territory that corresponds
to a venue operator's licence or gaming
operator's licence; or
(b) is an associate of a venue operator or a
gaming operator; or
(c) is a casino operator under the Casino
Control Act 1991 or holds a licence under
the law of another State or a Territory that
corresponds to a casino operator's licence.
8.5.3 Application procedure
(1) An application for a licence must be in the form
approved by the Commission and accompanied by
the prescribed fee.
s. 8.5.1
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(2) Within 14 days after applying for a bingo centre
operator's licence, the applicant must—
(a) send a copy of the application to the relevant
responsible authority within the meaning of
the Planning and Environment Act 1987;
and
(b) cause to be published in a newspaper
circulating in the area and in a newspaper
circulating generally in Victoria a notice
containing—
(i) the prescribed information; and
(ii) a statement that any person may object
to the grant of the licence by giving
notice in writing to the Commission
within 28 days after the date of
publication stating the grounds for the
objection.
(3) If a requirement made by this section is not
complied with, the Commission may refuse to
consider the application.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a bingo centre
operator's licence.
8.5.4 Objections
(1) A person may object to the grant of a bingo centre
operator's licence on any of the following
grounds—
(a) that the applicant or an associate of the
applicant is not of good repute having regard
to character, honesty and integrity;
(b) that the applicant or an associate of the
applicant has a business association with a
person, body or association who or which is
not of good repute having regard to
character, honesty and integrity;
s. 8.5.4
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(c) that a director, partner, trustee, executive
officer, secretary or any other officer or
person associated or connected with the
ownership, administration or management of
the business of the applicant is not a suitable
person to act in that capacity.
(2) The Commission must consider every objection so
made.
8.5.5 Responsible authority's report
(1) The relevant responsible authority may submit to
the Commission a report on the application within
14 days of the date of receipt of the copy of the
application under section 8.5.3(3)(a).
(2) The Commission must consider a report so made.
8.5.6 Matters to be considered in determining
applications
(1) The Commission must not grant an application for
a bingo centre operator's licence unless satisfied
that—
(a) the applicant and each associate of the
applicant is a suitable person to be concerned
in the management and operation of a bingo
centre; and
(b) the applicant's premises are, or on the
completion of building works will be,
suitable for a bingo centre.
(2) In particular, the Commission must consider
whether—
(a) the applicant and each associate of the
applicant is of good repute, having regard to
character, honesty and integrity;
(b) the applicant and each associate of the
applicant is of sound and stable financial
background;
s. 8.5.5
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(c) if the applicant is not a natural person, the
applicant has, or has arranged, a satisfactory
ownership, trust or corporate structure;
(d) the applicant or an associate of the applicant
has any business association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity or has undesirable or
unsatisfactory financial resources;
(e) each director, partner, trustee, executive
officer and secretary and any other officer or
person determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operations or business of the applicant is a
suitable person to act in that capacity;
(f) the size, layout and facilities of the
applicant's premises are or will be suitable;
(g) the proposed security arrangements are or
will be adequate.
8.5.7 Determination of applications
(1) The Commission must determine an application
by either granting or refusing to grant the
application and must notify the applicant of its
decision.
(2) If the Commission refuses to grant an application,
the notice must set out the reasons for the refusal.
(3) A bingo centre operator's licence is subject to—
(a) the prescribed conditions; and
(b) any other conditions that the Commission
imposes on the licence.
s. 8.5.7
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8.5.8 Duration of licence
A bingo centre operator's licence remains in force
for the term not exceeding 5 years specified in the
licence, unless sooner cancelled or surrendered.
8.5.9 Nominee of licensee
(1) Within 60 days, or the longer period allowed by
the Commission, after a bingo centre operator that
is a body corporate is notified under section
8.5.7(1) that it has been granted a bingo centre
operator's licence, the operator must—
(a) nominate a natural person to be responsible
as operator on behalf of the bingo centre
operator; and
(b) apply to the Commission for approval under
this section of the person nominated.
Penalty: 20 penalty units.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for approval under this
section.
(2) Within 60 days, or the longer period allowed by
the Commission, after—
(a) a bingo centre operator is notified by the
Commission of a refusal to approve a person
nominated under this section; or
(b) a person nominated by the bingo centre
operator and approved by the Commission
resigns, is dismissed or ceases to manage or
control the bingo centre—
the bingo centre operator must nominate another
natural person to be responsible as operator on
behalf of the bingo centre operator and apply to
the Commission for approval of the person
nominated.
Penalty: 20 penalty units.
s. 8.5.8
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(3) A person nominated by a bingo centre operator
and approved by the Commission under this
section is liable under this Act as a bingo centre
operator.
(4) If a bingo centre operator that is a body corporate
does not have a person who has been approved by
the Commission under this section managing or
controlling a bingo centre, the directors or
members of the committee of management of the
body corporate (as the case requires) are severally
liable under this Act as a bingo centre operator.
(5) The Commission may refuse to approve a person
nominated under this section unless satisfied that
the person nominated, and each associate of the
person, is a suitable person to be concerned in or
associated with the management and operation of
a bingo centre.
(6) In particular, the Commission must consider
whether—
(a) the person nominated and each associate of
the person nominated is of good repute,
having regard to character, honesty and
integrity;
(b) each person is of sound and stable financial
background;
(c) any of those persons has any business
association with any person, body or
association who or which, in the opinion of
the Commission, is not of good repute
having regard to character, honesty and
integrity or has undesirable or unsatisfactory
financial resources.
(7) The Commission must determine an application
by either approving or refusing to approve the
person nominated and must notify the applicant in
writing of its decision.
s. 8.5.9
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(8) The nomination and approval by the Commission
of a person under this section does not limit the
liability of a bingo centre operator under this Act
whilst that person is a nominee.
(9) A function of the Commission under this section
may be performed by any commissioner.
8.5.10 Licence non-transferable
An operator's licence is not transferable to any
other person or bingo centre.
8.5.11 Licence renewal
(1) If a bingo centre operator pays the prescribed fee,
the Commission may renew the bingo centre
operator's licence for a term not exceeding 5 years
specified in the licence.
(2) The Commission may refuse to renew a bingo
centre operator's licence on any ground on which
the Commission may refuse an application for a
new licence.
(3) If the Commission decides to refuse to renew a
bingo centre operator's licence, it must send the
operator a written notice of the refusal setting out
the reasons for the refusal.
8.5.12 Amendment of conditions
(1) The Commission may amend the conditions of a
bingo centre operator's licence, other than the
prescribed conditions, in accordance with this
section.
(2) An amendment may be proposed—
(a) by the bingo centre operator by requesting
the Commission in writing to make the
amendment and giving reasons for the
request; or
s. 8.5.10
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(b) by the Commission by giving notice in
writing of the proposed amendment and
giving reasons to the operator.
(3) An amendment proposed by the Commission must
be in the public interest or for the proper conduct
of bingo.
(4) The Commission must give the operator at least
28 days to make a submission to the Commission
concerning an amendment proposed by the
Commission and must consider any submission
made.
(5) The operator may waive the right under sub-
section (4) to make a submission concerning a
proposed amendment by giving notice in writing
signed by the operator to the Commission.
(6) The Commission must then decide whether to
make the proposed amendment, either with or
without changes from that originally proposed,
and must notify the operator of its decision.
(7) An amendment takes effect when notice of the
Commission's decision is given to the operator or
on any later date that may be specified in the
notice.
8.5.13 Disciplinary action
(1) In this section—
"disciplinary action", against a bingo centre
operator, means any of the following—
(a) the cancellation or suspension of the
operator's licence;
(b) the variation of the terms of the licence;
(c) the issuing of a letter of censure to the
operator;
s. 8.5.13
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"grounds for disciplinary action", in relation to
a bingo centre operator, means any of the
following—
(a) that the bingo centre operator's licence
was improperly obtained in that, at the
time it was granted, there were grounds
for refusing it;
(b) that the operator has failed to provide
information that the operator is required
by this Act to provide or has provided
information knowing it to be false or
misleading;
(c) that the operator has contravened this
Act or the regulations or a condition of
the licence;
(d) that—
(i) the operator; or
(ii) if the operator is not a natural
person, an executive officer or
nominee of the operator—
has been found guilty of a relevant
offence;
(e) that the operator has become an
insolvent under administration or an
externally-administered body corporate;
(f) that the operator has engaged in
conduct that, in the opinion of the
Commission, is undesirable in relation
to a community or charitable
organisation;
(g) that the bingo centre is, for specified
reasons, no longer suitable for the
conduct of bingo;
s. 8.5.13
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(h) that for any reason the operator is not a
suitable person to hold their licence;
"relevant offence" in relation to a bingo centre
operator or an executive officer or nominee
of a bingo centre operator, means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence arising out of or in
connection with the management or
operation of a bingo centre; or
(c) an offence (in Victoria or elsewhere)
involving fraud or dishonesty
punishable by imprisonment for
3 months or more (whether or not in
addition to a fine); or
(d) an indictable offence, or an offence
that, if committed in Victoria, would be
an indictable offence, the nature or
circumstances of which, in the opinion
of the Commission, relate to a bingo
centre of the operator.
(2) The Commission may inquire into whether there
are grounds for disciplinary action against a bingo
centre operator.
(3) At the request of the Commission, the Executive
Commissioner may conduct an investigation in
relation to a bingo centre operator and may make
a report on the investigation to the Commission.
(4) If, following an inquiry or investigation under
sub-section (2) or (3), the Commission considers
there are grounds for taking disciplinary action
against a bingo centre operator, the Commission
may serve on the person a notice in writing giving
them an opportunity to show cause within 14 days
why disciplinary action should not be taken
s. 8.5.13
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against them on the grounds for disciplinary
action specified in the notice.
(5) The bingo centre operator, within the period
allowed by the notice, may arrange with the
Commission for the making of submissions to the
Commission as to why disciplinary action should
not be taken and the Commission must consider
any submissions so made.
(6) If the Commission decides that—
(a) the bingo centre operator is not a suitable
person to hold their licence, the Commission
may only vary, suspend or cancel the
licence; or
(b) there are any other grounds for disciplinary
action against the operator, the Commission
may take the action—
and does so by giving written notice of the
disciplinary action to the operator.
(7) If the disciplinary action is the cancellation,
suspension or variation of the terms of a licence, it
takes effect when the notice under sub-section (6)
is given or at a later time specified in the notice.
(8) A function of the Commission under this section
may be performed by any commissioner.
8.5.14 Letter of censure
(1) Disciplinary action taken by the Commission
under section 8.5.13(6) in the form of a letter of
censure may censure the bingo centre operator in
respect of any matter connected with the
operator's activities under this Chapter and may
include a direction to the operator to rectify within
a specified time any matter giving rise to the
censure.
s. 8.5.14
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(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
bingo centre operator, cancel, suspend or vary the
terms of the licence without giving the operator a
further opportunity to be heard.
(3) A function of the Commission under this section
may be performed by any commissioner.
8.5.15 Effect and maximum period of suspension of bingo
centre operator's licence
(1) Subject to sub-section (2) and section 8.5.16, a
bingo centre operator's licence cannot be
suspended for longer than 6 months.
(2) The Commission may extend a suspension once
for a period not exceeding 6 months if there are
reasonable grounds for doing so.
(3) During any period of suspension of a bingo centre
operator's licence, the holder of the licence is to be
taken not to be a bingo centre operator except for
the purposes of section 8.5.38 (returns by bingo
centre operator).
8.5.16 Suspension of bingo centre operator's licence
pending criminal proceedings
(1) The Commission may suspend a bingo centre
operator's licence by notice in writing given to the
operator if the Commission is satisfied that—
(a) the operator; or
(b) if the operator is a body corporate, an
executive officer or nominee of the
operator—
has been charged with a relevant offence within
the meaning of section 8.5.13.
s. 8.5.15
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(2) The Commission may, at any time, terminate or
reduce a period of suspension imposed under sub-
section (1).
8.5.17 Licence document to be surrendered
If a document evidencing a bingo centre operator's
licence has been issued by the Commission and
the licence is amended, suspended or cancelled,
the holder of the licence must surrender the
document to an inspector on demand.
8.5.18 Provisional bingo centre operator's licence
(1) The Commission may grant a provisional bingo
centre operator's licence to a person in respect of a
bingo centre.
(2) A provisional licence expires at the end of 90 days
after its grant but may be renewed for a further
period or successive periods of 90 days.
(3) A provisional licence may only be granted under
sub-section (1) to enable an application for a
bingo centre operator's licence in respect of that
bingo centre to be made.
Division 2—Licensing of bingo centre employees
8.5.19 General requirement to be licensed
(1) A person must not perform any prescribed
functions in a bingo centre unless the person holds
a bingo centre employee's licence and complies
with the conditions of the licence.
Penalty: 60 penalty units.
s. 8.5.17
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(2) A bingo centre operator must not—
(a) employ a person to perform any prescribed
function; or
(b) allocate or permit or suffer to be allocated to
a person the performance of any prescribed
function—
unless the person is authorised by a bingo centre
employee's licence to perform the function
concerned.
Penalty: 60 penalty units.
(3) It is a defence to a prosecution for an offence
against sub-section (1) or (2) to prove that the
person exercising the prescribed function was
doing so as a volunteer acting in good faith due to
the absence, as a result of an emergency, of a
bingo centre employee authorised to perform the
function.
(4) This section is subject to section 8.5.20.
8.5.20 Exceptions
(1) A natural person who—
(a) is a bingo centre operator; or
(b) is the nominee of a bingo centre operator—
may perform any prescribed function in a bingo
centre if the person at all times while on duty
wears identification of a kind approved by the
Commission for the purposes of this section in
such a manner as to be visible to other people.
(2) A person who does not hold a bingo centre
employee's licence may, within any period of
7 days, perform a prescribed function in a bingo
centre as a volunteer acting in good faith for only
one holder of a minor gaming permit authorising
the conduct of a session or sessions of bingo
games.
s. 8.5.20
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(3) The holder of a minor gaming permit authorising
the conduct of a session or sessions of bingo
games—
(a) must notify the Commission of the
commencement of the performance of any
prescribed functions by a person referred to
in sub-section (2) not less than 7 days before
the person commences to perform them; and
(b) must notify the Commission of the cessation
of the performance of those functions not
more than 28 days after the person ceases to
perform them.
(4) A function of the Commission under this section
may be performed by any commissioner.
8.5.21 Application for bingo centre employee's licence
(1) A natural person may apply to the Commission
for a bingo centre employee's licence.
(2) However, an application cannot be made by—
(a) a minor; or
(b) a person within a class of persons prescribed
as being ineligible to apply for a bingo centre
employee's licence.
(3) An application must be—
(a) in the form approved by the Commission;
and
(b) accompanied by—
(i) the prescribed fee; and
(ii) the documents, if any, that may be
specified by the Commission and
required in the application form.
(4) If a requirement under this section is not complied
with, the Commission may refuse to consider the
application concerned.
s. 8.5.21
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(5) A function of the Commission under this section
may be performed by any commissioner.
Note: Division 1 of Part 4 of Chapter 10 provides for the
investigation of an application for a bingo centre
employee's licence.
8.5.22 Determination of application
(1) The Commission must consider an application for
a bingo centre employee's licence and must take
into account any submission made by the
applicant within the time allowed and must make
an assessment of—
(a) the integrity, responsibility, personal
background and financial stability of the
applicant; and
(b) the general reputation of the applicant having
regard to character, honesty and integrity;
and
(c) the suitability of the applicant to perform the
type of work proposed to be performed by
the applicant as a bingo centre employee.
(2) The Commission must determine the application
by either issuing a bingo centre employee's licence
to the applicant or refusing the application and
must inform the applicant accordingly.
(3) The Commission is not required to give reasons
for the decision but may give reasons if it thinks
fit.
(4) A licence must specify the bingo centre
employee's name and the authority given by the
licence, including the type of work that may be
performed under the licence.
(5) A function of the Commission under this section
may be performed by any commissioner.
s. 8.5.22
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8.5.23 What does a licence authorise?
A bingo centre employee's licence authorises the
bingo centre employee, subject to this Act and any
conditions to which the licence is subject, to
perform prescribed functions in a bingo centre.
8.5.24 Conditions of licence
(1) A bingo centre employee's licence is subject to
any condition imposed by the Commission and
notified to the bingo centre employee on the issue
of the licence or during its currency.
(2) A condition of a licence may be varied or revoked
by the Commission whether or not on application
made to the Commission by the bingo centre
employee.
(3) It is a condition of every licence that the bingo
centre employee must not participate in the
playing of bingo while on duty (including
intervals for meals and other rostered breaks
arising in the course of duty) other than as
required in the course of his or her employment.
(4) A bingo centre employee must not contravene a
condition of his or her licence.
Penalty: 60 penalty units.
(5) A function of the Commission under this section
may be performed by any commissioner.
8.5.25 Appeal
(1) If a decision to refuse to grant an application for a
bingo centre employee's licence, or a decision to
grant a bingo centre employee's licence subject to
conditions, is made by a single commissioner, the
applicant may appeal against the decision to the
Commission within 28 days of notification of the
decision.
s. 8.5.23
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(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions; or
(c) in the case of a decision to grant an
application subject to conditions—vary or
remove the conditions.
(4) The decision of the Commission on an appeal—
(a) must be notified in writing to the applicant
and the bingo centre operator who employs
or proposes to employ the applicant; and
(b) may include the reasons for its decision.
(5) The Commission as constituted for the purposes
of the appeal must not include the commissioner
who made the decision appealed against.
8.5.26 Identification of bingo centre employees
(1) A bingo centre employee must at all times while
on duty wear identification of a kind approved by
the Commission in such manner as to be visible to
other people.
(2) Identification worn by a bingo centre employee in
compliance with the Private Agents Act 1966 is
sufficient compliance with this section.
(3) The Commission may issue replacement
identification to a bingo centre employee whose
identification has been lost or destroyed.
s. 8.5.26
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(4) An application for replacement identification must
be accompanied by—
(a) a statutory declaration as to the
circumstances in which the identification
was lost or destroyed; and
(b) the prescribed fee, if any.
(5) A function of the Commission under this section
may be performed by any commissioner.
8.5.27 Duration of bingo centre employee's licence
A bingo centre employee's licence remains in
force until whichever of the following happens
first—
(a) the licence is cancelled; or
(b) the licensee, by notice in writing, surrenders
the licence to the Commission; or
(c) the expiration of 10 years after the end of the
month in which the licence was granted.
8.5.28 Renewal of bingo centre employee's licence
(1) A bingo centre employee may, not earlier than one
month before the expiration of his or her current
licence, apply to the Director for a new bingo
centre employee's licence, in which case—
(a) the current licence continues in force until
the new licence is issued or its issue is
refused; and
(b) if issued, the new licence must be taken to
have been granted on the day on which the
current licence was due to expire and must
be dated accordingly.
(2) An application for a new licence must be made in
a form approved by the Commission and must be
accompanied by the prescribed fee.
s. 8.5.27
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(3) This Act (except provisions relating to the form of
an application or the issue of a provisional
licence) applies to and in relation to—
(a) an application under this section for a new
licence; and
(b) the determination of such an application; and
(c) any licence issued as a result of such an
application—
as if the application has been made by a person
other than a bingo centre employee.
(4) A function of the Commission under this section
may be performed by any commissioner.
8.5.29 Persons licensed under other Acts
(1) A person who holds—
(a) a special employee's licence issued under the
Casino Control Act 1991; or
(b) a special employee's licence or a technician's
licence issued under Chapter 3—
may apply to the Commission under this section
for a bingo centre employee's licence.
(2) An application under sub-section (1) must be
accompanied by—
(a) the prescribed fee; and
(b) a certificate by the casino operator, venue
operator or gaming operator who employs or
employed the applicant as to the competence
of the applicant to exercise the functions
specified in the certificate.
s. 8.5.29
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(3) The Commission, if satisfied that the authority
given to the applicant by a licence referred to in
sub-section (1)(a) or (b) is comparable to the
authority conferred by a bingo centre employee's
licence, may issue a bingo centre employee's
licence to the applicant.
8.5.30 Disciplinary action
(1) In this section—
"disciplinary action", against a bingo centre
employee, means any of the following—
(a) the cancellation or suspension of the
employee's licence;
(b) the variation of the terms of the licence;
(c) the issuing of a letter of censure to the
employee;
"grounds for disciplinary action", in relation to
a bingo centre employee, means any of the
following—
(a) that the employee's licence was
improperly obtained in that, at the time
it was granted, there were grounds for
refusing it;
(b) that the employee has failed to provide
information that the employee is
required by this Act to provide or has
provided information knowing it to be
false or misleading;
(c) that the employee has contravened this
Act or the regulations or a condition of
their licence;
(d) that the employee has been found guilty
of a relevant offence;
s. 8.5.30
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(e) that the employee has become an
insolvent under administration;
(f) that for any reason the employee is not
a suitable person to hold their licence;
"relevant offence" in relation to a bingo centre
employee, means—
(a) an offence against a gaming Act or
gaming regulations; or
(b) an offence arising out of or in
connection with the employee's
employment in a bingo centre; or
(c) an offence (in Victoria or elsewhere)
involving fraud or dishonesty
punishable by imprisonment for
3 months or more (whether or not in
addition to a fine).
(2) The Commission may inquire into whether there
are grounds for disciplinary action against a bingo
centre employee.
(3) At the request of the Commission, the Executive
Commissioner may conduct an investigation in
relation to a bingo centre employee and may make
a report on the investigation to the Commission.
(4) If, following an inquiry or investigation under
sub-section (1), the Commission considers there
are grounds for taking disciplinary action against a
bingo centre employee, the Commission may
serve on the employee a notice in writing giving
them an opportunity to show cause within 14 days
why disciplinary action should not be taken
against them on the grounds for disciplinary
action specified in the notice.
(5) The employee, within the period allowed by the
notice, may arrange with the Commission for the
making of submissions to the Commission as to
s. 8.5.30
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why disciplinary action should not be taken and
the Commission must consider any submissions
so made.
(6) If the Commission decides that—
(a) the employee is not a suitable person to hold
their licence, the Commission may only
vary, suspend or cancel the licence; or
(b) there are any other grounds for disciplinary
action against the employee, the Commission
may take the action—
and does so by giving written notice of the
disciplinary action to the employee.
(7) If the disciplinary action is the cancellation,
suspension or variation of the terms of a licence or
permit, it takes effect when the notice under sub-
section (6) is given or at a later time specified in
the notice.
(8) A function of the Commission under this section
may be performed by any commissioner.
8.5.31 Letter of censure
(1) Disciplinary action taken by the Commission
under section 8.5.30(6) in the form of a letter of
censure may censure the bingo centre employee in
respect of any matter connected with the
employee's activities under this Chapter and may
include a direction to the employee to rectify
within a specified time any matter giving rise to
the censure.
(2) If a direction given in a letter of censure is not
complied with in the specified time, the
Commission may, by giving written notice to the
employee, cancel, suspend or vary the terms of the
licence without giving the employee a further
opportunity to be heard.
s. 8.5.31
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(3) A function of the Commission under this section
may be performed by any commissioner.
8.5.32 Disqualification
(1) If the Commission decides to cancel a bingo
centre employee's licence, the Commission may
also disqualify the person whose licence is
cancelled from obtaining a licence or permit under
a gaming Act for a period (not exceeding 4 years)
specified by the Commission in the notice given
under section 8.5.30(6).
(2) A function of the Commission under this section
may be performed by any commissioner.
8.5.33 Suspension of bingo centre employee's licence
pending criminal proceedings
(1) The Commission may suspend a bingo centre
employee's licence by notice in writing given to
the employee if the Commission is satisfied that
the employee has been charged with a relevant
offence within the meaning of section 8.5.30.
(2) The Commission may, at any time, terminate or
reduce a period of suspension imposed under sub-
section (1).
(3) A function of the Commission under this section
may be performed by any commissioner.
8.5.34 Effect etc. of suspension
(1) During any period of suspension of a bingo centre
employee's licence, the employee is deemed not to
be a bingo centre employee.
(2) The Commission may, at any time, terminate or
reduce a period of suspension of an employee's
licence.
(3) A function of the Commission under this section
may be performed by any commissioner.
s. 8.5.32
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8.5.35 Termination of employment on suspension or
cancellation of bingo centre employee's licence
If a bingo centre operator receives written notice
from the Commission that the licence of a bingo
centre employee has been suspended or cancelled,
or has otherwise ceased to be in force, the
operator must, within 24 hours after receiving the
notice, terminate the employment that constitutes
the exercise of the functions of a bingo centre
employee or cause it to be terminated.
Penalty: 100 penalty units.
8.5.36 Provisional bingo centre employee's licences
(1) The Commission may, pending a decision on an
application for a bingo centre employee's licence,
grant the applicant a provisional bingo centre
employee's licence.
(2) A provisional licence is subject to any conditions
or restrictions of which the provisional licensee is
notified by the Commission when issuing the
provisional licence.
(3) A provisional licence may be cancelled by the
Commission at any time and, unless sooner
surrendered or cancelled, ceases to have effect on
the approval or refusal of the provisional
licensee's application for a bingo centre
employee's licence.
(4) This Act applies to a provisional bingo centre
employee's licence in the same way as it applies to
a bingo centre employee's licence (to the extent
that is consistent with this section).
(5) A function of the Commission under this section
may be performed by any commissioner.
s. 8.5.35
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Division 3—Compliance Requirements and Monitoring
8.5.37 Accounts and financial statements
(1) A bingo centre operator must keep accounting
records that correctly record and explain the
transactions and financial position of the
operations of the operator.
Penalty: 60 penalty units.
(2) A bingo centre operator must keep the accounting
records in the form required by the Commission
and in a manner that will enable true and fair
financial statements and accounts to be prepared
from time to time and the financial statements and
accounts to be conveniently and properly audited.
Penalty: 60 penalty units.
(3) A bingo centre operator must, as soon as
practicable after the end of each financial year,
prepare financial statements and accounts
including—
(a) profit and loss accounts for the financial
year; and
(b) a balance-sheet as at the end of the financial
year—
that give a true and fair view of the financial
operations of the operator.
Penalty: 60 penalty units.
8.5.38 Returns to the Commission
A bingo centre operator must, within 6 months
after the issue of the bingo centre operator's
licence, and then at such periods as are prescribed
and within the time limits (if any) prescribed, send
to the Commission a full and accurate statement in
the form approved by the Commission about all
s. 8.5.37
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sessions of bingo conducted at the bingo centre
during the preceding 12 months.
Penalty: 60 penalty units.
8.5.39 Notification of persons becoming associates
A bingo centre operator must—
(a) notify the Commission in writing that a
person, body or association is likely to
become an associate as soon as practicable
after the operator becomes aware of the
likelihood; and
(b) ensure that a person, body or association
does not become an associate except with the
prior approval in writing of the Commission.
8.5.40 Investigation of associates
(1) The Commission may from time to time
investigate an associate of an operator or a person
likely to become an associate of an operator.
(2) The Commission—
(a) may require an associate or a person likely to
become an associate to consent to having his
or her photograph, finger prints and palm
prints taken; and
(b) must refer to the Chief Commissioner of
Police a copy of—
(i) any photograph, finger prints and palm
prints; and
(ii) any supporting documents.
(3) A function of the Commission under this section
may be performed by the Executive
Commissioner.
s. 8.5.39
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8.5.41 Termination of association
(1) If the Commission determines that an associate of
a bingo centre operator has engaged or is
engaging in conduct that, in the Commission's
opinion, is unacceptable for a person who is
concerned in or associated with the ownership,
administration or management of the operations or
business of the operator, the Commission may do
either or both of the following—
(a) issue a written warning to the associate that
the conduct is unacceptable and require the
associate to cease that conduct;
(b) give written notice to the associate requiring
the associate to give a written undertaking to
the Commission, within the period specified
in the notice, regarding the future conduct of
the associate.
(2) If the associate fails to give an undertaking
required under sub-section (1)(b) or breaches an
undertaking given under sub-section (1)(b), the
Commission may give the associate written notice
requiring the associate to terminate, within
14 days or a longer period agreed with the
Commission, the association with the operator.
(3) If, after considering the matters referred to in sub-
section (4), the Commission determines that an
associate of an operator is unsuitable to be
concerned in or associated with the ownership,
administration or management of the operations or
business of the operator, the Commission may
give the associate written notice requiring the
associate to terminate, within 14 days or a longer
period agreed with the Commission, the
association with the operator.
s. 8.5.41
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(4) In particular, the Commission must consider
whether the associate—
(a) is of good repute, having regard to character,
honesty and integrity;
(b) is of sound and stable financial background;
(c) has any business association with any
person, body or association who or which, in
the opinion of the Commission, is not of
good repute having regard to character,
honesty and integrity or has undesirable or
unsatisfactory financial resources.
(5) If the association is not terminated within 14 days
from the date of the notice referred to in sub-
section (3), the Commission may by notice in
writing, direct the operator to take all reasonable
steps to terminate the association and the operator
must comply with the direction within 14 days or
any longer period agreed with the Commission.
(6) Sub-sections (2), (3) and (5) do not apply if a
person is an associate of a bingo centre operator
only because they are a relative of the operator.
8.5.42 Gaming machines in bingo centres
A bingo centre operator must not permit a gaming
machine to be played at any time in premises
included in the operator's licence.
Penalty: 100 penalty units.
__________________
s. 8.5.42
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PART 6—GENERAL COMPLIANCE REQUIREMENTS
Division 1—Banking and records
8.6.1 Banking
(1) This section applies to a person who—
(a) is the holder of a minor gaming permit; or
(b) administers a pooling scheme as a scheme
administrator; or
(c) conducts any other activity authorised by
this Chapter—
or has, at any time in the preceding 12 months,
held a minor gaming permit, administered a
pooling scheme or conducted an activity referred
to in paragraph (c).
(2) A person to whom this section applies must—
(a) keep and maintain a single account, as
approved by the Commission, at an
authorised deposit-taking institution in the
State for use for all transactions arising under
this Chapter in relation to all such permits or
activities held or conducted by that person or
any pooling scheme administered by that
person as a scheme administrator; and
(b) from time to time provide the Commission,
as required, and in a form approved by the
Commission, with a written authority
addressed to the authorised deposit-taking
institution referred to in paragraph (a)
authorising the authorised deposit-taking
institution to comply with any requirements
of an inspector exercising the powers
conferred by this section.
Penalty: 100 penalty units.
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(3) An inspector may, by notice in writing, require the
manager or other principal officer of an authorised
deposit-taking institution referred to in sub-
section (2) to provide the inspector with a
statement of an account referred to in that sub-
section and any other particulars relating to the
account that are specified in the notice.
(4) A person to whom a notice is given under sub-
section (3) must comply with the notice.
Penalty: 60 penalty units.
(5) An inspector may not exercise the powers
conferred by this section without the prior written
approval of the Commission.
8.6.2 Records
(1) This section applies to—
(a) the holder of a minor gaming permit;
(b) a bingo centre operator.
(2) Unless a contrary requirement is specified in this
Act, a person to whom this section applies must
keep records containing the prescribed
information in the form approved by the
Commission for a period of 3 years after the
completion of the transactions to which they
relate.
Penalty: 20 penalty units.
Division 2—Ongoing Notification Requirements
8.6.3 Change in situation of holder of licence or permit or
of associate
(1) This section applies to—
(a) the holder of a minor gaming permit;
(b) a bingo centre operator;
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(c) an associate of a bingo centre operator;
(d) a bingo centre employee.
(2) Whenever a change of a kind specified by the
Commission in writing given to a person to whom
this section applies takes place in the situation
existing in relation to that person, the person must
notify the Commission in writing of the change
within 14 days after it takes place.
Penalty: 60 penalty units.
(3) A function of the Commission under this section
may be performed by any Commissioner.
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PART 7—REVIEWS
8.7.1 Tribunal reviews
(1) A person whose interests are affected by a
decision of the Commission under this Chapter
may apply to the Tribunal for review of the
decision.
(2) In the case of a decision referred to in
section 8.3.18(1) or 8.5.25(1) made by a single
commissioner, a person who could appeal the
decision under section 8.3.18 or 8.5.25 (as the
case requires) cannot apply for review of the
decision under this section, but may apply for
review of the Commission's decision on an appeal
under section 8.3.18 or 8.5.25.
(3) An application for review must be made within
28 days after the later of—
(a) the day on which the decision is made;
(b) if, under the Victorian Civil and
Administrative Tribunal Act 1998, the
person requests a statement of reasons for the
decision, the day on which the statement of
reasons is given to the person or the person is
informed under section 46(5) of that Act that
a statement of reasons will not be given.
(4) This section does not apply to—
(a) a decision of the Commission under
Division 1 of Part 3; or
(b) the revocation of a declaration under
Division 1 of Part 3.
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s. 8.7.1
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PART 8—GENERAL
8.8.1 Refusal to issue licence or permit
(1) Without limiting the discretion of the Commission
to refuse an application for a licence or permit
under this Chapter, the Commission may refuse to
grant a licence or permit to a person who at any
time has contravened—
(a) this Chapter or regulations made for the
purpose of this Chapter or a previous Act
that corresponds to this Chapter or previous
regulations made for the purpose of that Act;
or
(b) a condition of a licence, permit or approval
under this Chapter or a previous Act that
corresponds to this Chapter.
(2) In determining whether to grant a licence or
permit to an organisation, the Commission may
consider whether—
(a) the organisation; or
(b) an associate of the organisation; or
(c) a person nominated by the organisation—
has contravened a provision of this Act or the
regulations or a previous corresponding Act or
regulations made under that Act or a condition of
a licence, permit, consent or approval under this
Act or a previous corresponding Act.
(3) In this section, "associate", in relation to an
organisation, means—
(a) a person, body or association having a
business association with the organisation; or
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(b) a director, partner, trustee, executive officer,
secretary or any other officer or person
determined by the Commission to be
associated or connected with the ownership,
administration or management of the
operation or business of the organisation.
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CHAPTER 9—ONBOARD GAMING
PART 1—INTRODUCTION
9.1.1 Purpose
The purpose of this Chapter is to allow gaming on
ships operated by a company formed and
incorporated pursuant to section 5 of the TT-Line
Arrangements Act 1993 of Tasmania as amended
and in force for the time being.
9.1.2 Definitions
(1) In this Chapter and the applied provisions—
"ship" means a ship operated by a company
formed and incorporated pursuant to
section 5 of the TT-Line Arrangements Act
1993 of Tasmania;
"the applied provisions" means the provisions
applying by reason of section 9.2.1;
"the Tasmanian Act" means the TT-Line
Gaming Act 1993 of Tasmania;
"the Tasmanian Minister" means the Minister
of Tasmania administering the Tasmanian
Act;
"the Victorian Minister" means the Minister
administering this Act;
"this Chapter" (except in this Part) includes the
applied provisions.
(2) Words and expressions used in this Chapter that
are defined in the applied provisions have the
same respective meaning as in the applied
provisions.
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9.1.3 Application of Chapter
This Chapter does not apply to ships on a voyage
other than an inter-state voyage or overseas
voyage within the meaning of the Navigation Act
1912 of the Commonwealth.
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PART 2—APPLICATION OF TASMANIAN ACT
9.2.1 Tasmanian Act applies as law of Victoria
(1) The Tasmanian Act applies as a law of Victoria
and so applies as if amended as set out in
Schedule 2.
(2) Regulations in force under the Tasmanian Act
(other than provisions providing for the citation or
commencement of the regulations) apply as laws
of Victoria and so apply as if amended as set out
in Schedule 3.
9.2.2 Amendment of Schedules
If—
(a) the Tasmanian Act is, or is to be, amended;
or
(b) regulations are made, or are proposed to be
made, under the Tasmanian Act (whether or
not amending other regulations made under
the Tasmanian Act)—
the Governor in Council may make regulations
amending Schedule 2 or 3, as the case requires.
_______________
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PART 3—FURTHER PROVISIONS REGULATING
ONBOARD GAMING
Division 1—Legality of Onboard Gaming
9.3.1 Legality of onboard gaming
(1) The conduct and playing of a game on a ship and
the use of gaming equipment is lawful when the
game is conducted, and the gaming equipment is
provided, in an approved gaming area or approved
keno outstation by or on behalf of the operator.
(2) The conduct of operations on a ship in an
approved gaming area or approved keno
outstation in accordance with this Chapter and the
conditions of the relevant gaming licence is not a
public or private nuisance.
9.3.2 Non-applicability of other laws
(1) Nothing in Chapter 3, Chapter 8 or the Casino
Control Act 1991 applies to gaming and gaming
operations conducted on ships to which this
Chapter applies.
(2) Except to the extent (if any) that the regulations
otherwise provide, nothing in Chapter 2 applies to
the conduct and playing of a game on a ship and
the use of gaming equipment when the game is
conducted, and the gaming equipment is provided,
in an approved gaming area or approved keno
outstation by or on behalf of the operator.
Division 2—Conduct of Onboard Gaming
9.3.3 Limit on number of gaming machines
This Chapter does not authorise or permit a
number of gaming machines to be placed on a
ship in approved gaming areas or approved keno
outstations that exceeds the maximum permissible
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number for the time being approved by the
Minister in writing given to the licensee and the
Tasmanian Minister.
9.3.4 Unlawful interference with gaming equipment
(1) A person must not on a ship—
(a) be in possession of any device made or
adapted, or intended by the person to be
used, for improperly interfering with gaming
equipment; or
(b) do any act or thing calculated, or likely, to
improperly interfere with gaming equipment;
or
(c) insert, or cause to be inserted, in a gaming
machine any thing other than a gaming token
of the denomination or type displayed on the
gaming machine as a gaming token to be
used in order to operate or gain credit on the
gaming machine.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) If a member of the police force believes on
reasonable grounds that a person has committed
an offence under sub-section (1), the member may
search the person for any device or thing that the
member suspects was used in the commission of
the offence.
9.3.5 Inducements, cheating etc.
(1) A person must not dishonestly—
(a) by a scheme or practice; or
(b) by the use of gaming equipment; or
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(c) by the use of an instrument or article of a
type used in connection with gaming, or
appearing to be of a type used in connection
with gaming, or of any other thing—
in relation to gaming or the conduct of gaming on
a ship, induce—
(d) a person licensed under the Tasmanian Act;
or
(e) an associate of a person so licensed; or
(f) a person acting on behalf of a person so
licensed—
to deliver, give or credit to the person or another
person, any money, gaming tokens, benefit,
advantage, valuable consideration or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(2) A person licensed under the Tasmanian Act or an
associate of a person so licensed must not
dishonestly—
(a) by a scheme or practice; or
(b) by the use of gaming equipment; or
(c) by the use of an instrument or article of a
type used in connection with gaming, or
appearing to be of a type used in connection
with gaming, or of any other thing—
in relation to gaming or the conduct of gaming on
a ship, induce a person to deliver, give or credit to
the person so licensed or listed or another person,
any money, gaming tokens, benefit, advantage,
valuable consideration or security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
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(3) A person must not dishonestly cause gaming
equipment on a ship to deliver, give or credit to
the person or another person any gaming tokens,
benefit, advantage, valuable consideration or
security.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
(4) A person must not, for the purpose of cheating or
stealing in relation to gaming or the conduct of
gaming on a ship, use or be in possession of—
(a) any gaming tokens that the person knows are
bogus or counterfeit; or
(b) any thing that permits or facilitates cheating
or stealing.
Penalty: 1000 penalty units or imprisonment for
2 years or both.
Division 3—Taxes
9.3.6 Revenue-sharing agreement
(1) The Treasurer or Minister, for and on behalf of the
State, may enter into an agreement with the
Tasmanian Minister that provides for the payment
to Victoria of a proportion of the taxes that are
received by the Tasmanian Minister under the
Tasmanian Act.
(2) An agreement referred to in sub-section (1) may
include such provisions relating to the conduct of
gaming on ships as the parties determine.
__________________
s. 9.3.6
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PART 4—SUSPENSION OF CHAPTER
9.4.1 Suspension of Chapter
(1) If—
(a) the Minister believes on reasonable grounds
that the provisions of this Chapter or an
agreement under section 9.3.6 are not being
complied with in a material respect; or
(b) there is no agreement in force under
section 9.3.6—
the Minister may, by writing given to the
Tasmanian Minister, give notice of his or her
intention to suspend the operation of this Chapter
as from a specified date being not less than
14 days after the giving of the notice.
(2) Unless the Minister is satisfied within the period
specified in a notice under sub-section (1) that the
operation of this Chapter ought not to be
suspended, the Minister may suspend the
operation of this Chapter for not more than
3 months by notice published in the Government
Gazette within 7 days after the expiration of that
period.
(3) The Minister—
(a) may extend, or further extend, the period of
suspension of this Chapter by notice
published in the Government Gazette;
(b) may terminate the suspension by notice so
published.
(4) The Minister must give notice in writing to the
Tasmanian Minister of his or her decision to
suspend, or not to suspend, the operation of this
Chapter and of any decision under sub-section (3).
__________________
s. 9.4.1
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CHAPTER 10—ADMINISTRATION AND
ENFORCEMENT
PART 1—VICTORIAN COMMISSION FOR GAMBLING
REGULATION
Division 1—Establishment
10.1.1 Establishment of Commission
(1) The Victorian Commission for Gambling
Regulation is established.
(2) The Commission—
(a) is a body corporate with perpetual
succession;
(b) must have an official seal;
(c) may sue and be sued;
(d) may acquire, hold and dispose of real and
personal property;
(e) may do and suffer all acts and things that a
body corporate may by law do and suffer.
(3) The official seal of the Commission must be kept
as directed by the Commission and may only be
used as authorised by the Commission.
(4) All courts must take judicial notice of the official
seal on a document and, until the contrary is
proved, must presume that the document was
properly sealed.
10.1.2 Relationship to the Crown
The Commission is a public authority that
represents the Crown.
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10.1.3 Objectives of Commission
The objectives of the Commission are—
(a) to ensure that gaming on gaming machines is
conducted honestly;
(b) to ensure that the management of gaming
machines and gaming equipment is free from
criminal influence and exploitation;
(c) to ensure that other forms of gambling
permitted under this or any other Act are
conducted honestly and that their
management is free from criminal influence
and exploitation;
(d) to act as a source of advice to the Minister on
gambling issues and to ensure that the
Government's policy on gambling is
implemented;
(e) to foster responsible gambling in order to—
(i) minimise harm caused by problem
gambling; and
(ii) accommodate those who gamble
without harming themselves or others;
(f) any objectives set out in the Casino Control
Act 1991 or any other Act.
10.1.4 Functions of Commission
(1) The Commission has the functions conferred on it
by or under this or any other Act.
(2) The functions of the Commission include—
(a) regulating the use of gaming machines in
casinos and approved venues;
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(b) regulating the activities of key operatives in
the gaming machine industry, including
those who manufacture, supply, repair or
own, or provide venues for and operate,
gaming machines;
(c) ensuring that the conduct of gaming at
approved venues is supervised;
(d) detecting offences committed in or in
relation to approved venues;
(e) receiving and investigating complaints from
gaming patrons concerning the conduct of
gaming in approved venues;
(f) regulating the activities of key operatives in
the wagering, club keno, interactive gaming
community and charitable gaming, bingo,
onboard gaming and public lottery
industries;
(g) advising the Minister on community
concerns about the economic and social
impact of gambling on the well-being of the
community.
(3) The Commission also has the functions of—
(a) informing itself, in the manner it sees fit, of
current and emerging issues and practices in
Victoria and elsewhere with respect to
gambling, including—
(i) responsible gambling;
(ii) probity;
(iii) game security and integrity;
(iv) facility development; and
(b) informing and educating the public as to the
Commission's regulatory practices and
requirements.
s. 10.1.4
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10.1.5 Powers of Commission
The Commission has all the powers necessary to
perform its functions and achieve its objectives,
including the powers conferred on it by or under
this or any other Act.
Division 2—Membership of Commission
10.1.6 Constitution of Commission
(1) The Commission consists of—
(a) a commissioner appointed as Chairperson;
(b) a commissioner appointed as Deputy
Chairperson;
(c) a commissioner appointed as Executive
Commissioner;
(d) as many sessional commissioners as the
Minister considers necessary to enable the
Commission to perform its functions.
(2) Commissioners are appointed by the Governor in
Council on the recommendation of the Minister.
(3) The Public Sector Management and
Employment Act 1998 (except in accordance
with Part 7 of that Act) does not apply to a
commissioner in respect of the office of
commissioner.
10.1.7 Qualifications and eligibility for appointment
(1) A person is qualified to be appointed as a
commissioner if the Minister is satisfied that he or
she has appropriate knowledge, experience and
expertise to perform a commissioner's functions.
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(2) However, a person is not eligible to be appointed
as a commissioner if he or she—
(a) is not ordinarily resident in Victoria; or
(b) at any time in the preceding 4 years, has
been employed by or significantly associated
with a key operative.
10.1.8 Chairperson and Deputy Chairperson
(1) The Governor in Council, on the recommendation
of the Minister, may appoint a qualified and
eligible person as Chairperson and a qualified and
eligible person as Deputy Chairperson.
(2) The appointments are to be on a part-time basis,
on the terms and conditions determined by the
Governor in Council.
(3) The Deputy Chairperson has and may perform all
the functions of the Chairperson—
(a) during a vacancy in the office of
Chairperson; or
(b) if the Chairperson is absent or, for any other
reason, is unable to perform the duties of
office.
10.1.9 Executive Commissioner
(1) The Governor in Council, on the recommendation
of the Minister, may appoint a qualified and
eligible person as Executive Commissioner.
(2) The appointment is to be on a full-time basis, on
the terms and conditions determined by the
Governor in Council.
s. 10.1.8
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10.1.10 Sessional commissioners
(1) The Governor in Council, on the recommendation
of the Minister, may appoint qualified and eligible
persons as sessional commissioners.
(2) Without limiting sub-section (1), a qualified and
eligible person nominated by the Chief
Commissioner of Police may be appointed as a
sessional commissioner.
(3) The appointment of a sessional commissioner is to
be on a part-time basis, on the terms and
conditions determined by the Governor in
Council.
(4) A sessional commissioner may be appointed—
(a) for a specific period; or
(b) for a specific matter.
(5) If the instrument of appointment of a sessional
commissioner specifies that the commissioner is
appointed for the purposes of a specific matter, the
commissioner—
(a) must be allocated to that matter; and
(b) may perform the functions of a
commissioner only in relation to that matter.
10.1.11 Term of appointment
Subject to this Act, a commissioner—
(a) holds office for the period, not exceeding
5 years, specified in his or her instrument of
appointment; and
(b) is eligible for re-appointment.
10.1.12 Remuneration
A commissioner is entitled to the remuneration
specified in his or her instrument of appointment.
s. 10.1.10
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10.1.13 Vacancies and resignation
(1) A commissioner's office becomes vacant if he or
she—
(a) becomes an insolvent under administration;
or
(b) is convicted in Victoria of an offence
punishable by imprisonment for 12 months
or more or elsewhere of an offence that, if
committed in Victoria, would be so
punishable; or
(c) is removed from office under sub-
section (2); or
(d) resigns by notice in writing delivered to the
Minister.
(2) The Governor in Council, on the recommendation
of the Minister, may remove a commissioner from
office if the commissioner has—
(a) refused, neglected or failed to carry out the
duties of office; or
(b) demonstrated inefficiency or misbehaviour
in carrying out the duties; or
(c) ceased to reside ordinarily in Victoria.
(3) If a commissioner is removed from office under
sub-section (2), the Minister must cause to be laid
before each House of the Parliament a full
statement of the grounds of the removal within
10 sitting days of that House after the removal.
10.1.14 Acting appointments
(1) The Minister may appoint a qualified and eligible
person to act as commissioner (other than as a
sessional commissioner)—
(a) during a vacancy in the office of
commissioner; or
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(b) if the commissioner is absent or, for any
other reason, is unable to perform the duties
of office.
(2) The Minister—
(a) may determine the terms and conditions of
appointment of an acting commissioner; and
(b) may terminate the appointment at any time.
(3) While acting in a commissioner's place, the acting
commissioner—
(a) has and may perform all the functions of the
commissioner; and
(b) is entitled to be paid the remuneration to
which the commissioner would have been
entitled.
(4) An acting commissioner is eligible for re-
appointment.
10.1.15 Validity of decisions
An act or decision of the Commission is not
invalid only because—
(a) of a vacancy in its membership; or
(b) of a defect or irregularity in the appointment
of any of the commissioners; or
(c) in the case of an acting commissioner, the
occasion for him or her to act had not arisen
or had ceased.
Division 3—Performance of Commission's Functions
10.1.16 Basic requirement
(1) The Commission must perform its functions with
as little formality and technicality, and as much
speed, as the requirements of this or any other Act
and the proper consideration of the subject-matter
permit.
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(2) Without limiting sub-section (1), the Commission
is required to inform applicants and other parties
to matters before the Commission of its decisions
in those matters, and the reasons for them, as soon
as practicable after making them.
10.1.17 How may Commission's functions be performed?
(1) A function of the Commission is to be performed
by the Commission at a meeting, or on an inquiry,
in accordance with this Division, other than a
function that an Act or subordinate instrument
provides may be performed—
(a) by the Executive Commissioner; or
(b) by any commissioner.
(2) A function of the Commission that an Act or
subordinate instrument provides may be
performed by the Executive Commissioner or by
any commissioner may also be performed by the
Commission at a meeting in accordance with
section 10.1.18 or on an inquiry in accordance
with section 10.1.20.
(3) The Commission may determine which
commissioner may perform a function of the
Commission that an Act or subordinate instrument
provides may be performed by any commissioner.
10.1.18 Meetings
(1) The quorum for a meeting of the Commission is
2 commissioners, at least one of whom must be
the Chairperson or Deputy Chairperson.
(2) If a sessional commissioner has been appointed
for a specific matter, the quorum of a meeting of
the Commission that is to perform any function in
relation to that matter must include that sessional
commissioner.
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(3) The Chairperson, or in his or her absence, the
Deputy Chairperson, is to preside at a meeting of
the Commission.
(4) A question arising at a meeting is determined by a
majority of votes of the commissioners present
and voting on the question and the person
presiding has a deliberative vote and, if voting is
equal, a second or casting vote.
(5) The Commission may perform any of its functions
at a meeting at which the commissioners or any of
them participate by telephone, closed-circuit
television or in any other similar way.
(6) Subject to this Act, the Commission may regulate
its own procedure.
10.1.19 Disclosure of pecuniary interest
(1) A commissioner who has a pecuniary interest in a
matter being considered or about to be considered
by the Commission must, as soon as practicable
after the relevant facts have come to his or her
knowledge, declare the nature of the interest at a
meeting.
(2) The person presiding at the meeting must cause a
record of the declaration to be made in the
minutes of the meeting.
(3) After the declaration is made—
(a) unless the Commission otherwise
determines, the commissioner must not be
present during any deliberations in relation
to the matter; and
(b) the commissioner is not entitled to vote on
the matter; and
(c) if the commissioner does vote on the matter,
the vote must be disallowed.
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(4) The commissioner must not be present during any
deliberations leading to a determination, or take
part in making a determination, under sub-
section (3)(a).
10.1.20 Commission may hold inquiries
(1) For the purpose of the exercise of its functions
under a gaming Act or gaming regulations, the
Commission may hold inquiries, being inquiries
presided over by one or more commissioners.
(2) For the purposes of holding an inquiry, the
Commission is deemed to be a board appointed by
the Governor in Council and Division 5 of Part I
(including section 21A) of the Evidence Act 1958
applies accordingly.
(3) If a sessional commissioner has been appointed
for a specific matter, that sessional commissioner
must sit on any inquiry under this section in
relation to that matter.
10.1.21 Representation
A person may appear at an inquiry personally or
by a duly qualified legal practitioner.
10.1.22 Are Commission proceedings open to the public?
(1) The Commission may hold its meetings and
inquiries in public or private.
(2) A meeting or inquiry for the purposes of making a
finding or a determination relating to any of the
following matters must be conducted in public
unless the Commission determines that there are
special circumstances requiring that the meeting
or inquiry or part of it should be held in private—
(a) an application for approval of premises for
gaming;
(b) an application for a venue operator's licence;
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(c) a proposed amendment to a venue operator's
licence to—
(i) vary the days or dates on which 24 hour
gaming is permitted;
(ii) add a new condition to specify days or
dates on which 24 hour gaming is
permitted;
(iii) increase the number of gaming
machines permitted in an approved
venue;
(d) approval of gaming machine types and
games under section 3.5.4;
(e) withdrawal of approval of gaming machine
types and games under section 3.5.5;
(f) approval to install a linked jackpot
arrangement referred to in section 3.5.6;
(g) the making of rules under section 3.5.22;
(h) any matters in relation to an application
under Chapter 4;
(i) any of the following under the Casino
Control Act 1991—
(i) the granting of a casino licence under
section 13 of that Act;
(ii) the amendment of the conditions of a
casino licence under section 16 of that
Act;
(iii) the definition or redefinition of
boundaries of a casino under section 17
of that Act;
(iv) the giving or varying of a direction
about the days and times of operation
of a casino under section 65 of that Act.
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(3) The Commission may direct that a meeting or
inquiry or part of it be held in private if the
Commission considers—
(a) it necessary to do so to prevent the
unreasonable divulgence of information
relating to the personal affairs of any person
(including a deceased person); or
(b) it is otherwise in the interests of justice or the
public interest to do so.
Division 4—Reasons for Decisions
10.1.23 Commission to give written statement after public
hearing or on request
(1) The Commission must give a written statement of
its decision and the reasons for a decision made in
relation to any matter required by
section 10.1.22(2) to be held in public, within
14 days after the decision.
(2) The Commission must give a written statement of
reasons for a decision to a person who requested it
in accordance with section 10.1.24 within 28 days
after receiving the request.
(3) A statement under this section must set out—
(a) the reasons for the decision; and
(b) the findings on material questions of fact that
led to the decision, referring to the evidence
or other material on which those findings
were based.
(4) A statement need not be given to a person under
sub-section (2) if the Commission has already
given a written statement containing the matters
referred to in sub-section (3) to the person
(whether as part of the decision or separately).
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(5) A statement of reasons to be given to a person
referred to in sub-section (2) who was not an
applicant or an associate or nominee of an
applicant must not include any information or
matter about a person who was, or was referred to
in an application as, an associate or nominee
except as to the actual decision.
(6) If a statement of reasons would be substantially
incomplete or misleading if it did not include
information or matter referred to in sub-section
(5), the Commission must inform the person who
requested the statement of that fact and must not
give the statement to the person.
10.1.24 Request for statement of reasons for decision
(1) A person whose interests are affected by a
decision of the Commission may request the
Commission to give the person a written statement
of reasons for the decision.
(2) A request under sub-section (1) must be made in
writing within 28 days after the day on which the
decision was made.
Division 5—Staffing and Delegation
10.1.25 Staff
(1) Any employees that are necessary for the purposes
of this Act may be employed under Part 3 of the
Public Sector Management and Employment
Act 1998.
(2) The Commission may enter into agreements or
arrangements for the use of the services of any
staff of a government department, statutory
authority or other public body.
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10.1.26 Delegation
The Commission, by instrument, may delegate to
an employee or member of staff referred to in
section 10.1.25 any function of the Commission
that any Act or subordinate instrument provides
may be performed by any commissioner.
10.1.27 Protection of Commissioners
(1) A commissioner or a delegate of the Commission
under section 10.1.26 is not personally liable for
anything done or omitted to be done in good
faith—
(a) in the performance of a function of the
Commission or of a commissioner under a
gaming Act or gaming regulations; or
(b) in the reasonable belief that the act or
omission was in the performance of a
function of the Commission or of a
commissioner under a gaming Act or gaming
regulations.
(2) Any liability resulting from an act or omission
that would, but for sub-section (1), attach to a
commissioner or delegate attaches instead to the
Commission.
10.1.28 Conflict of interest and duty
(1) An authorised person must not be an employee, in
any capacity, of a key operative.
Penalty: 60 penalty units.
(2) An authorised person who knowingly has, directly
or indirectly, any business or financial association
with, or any business or financial interest in any
matter in conjunction with, a key operative must
forthwith—
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(a) notify the Commission of the association or
interest; and
(b) if directed to do so by the Commission,
within a time specified by the Commission
terminate the association or relinquish the
interest.
Penalty: 60 penalty units.
(3) A person who ceases to be a commissioner must
not, at any time during the next 4 years, be
employed by, or significantly associated with, a
key operative.
Penalty: 60 penalty units.
(4) A person who ceases to be an employee or
member of staff referred to in section 10.1.25
must not, at any time during the next 4 years, be
employed by or significantly associated with, a
key operative, unless the Commission otherwise
approves.
Penalty: 60 penalty units.
(5) A key operative must not employ, or be
significantly associated with, a person prohibited
by sub-section (3) or (4) or by section 10.5.6
(former inspectors) from being so employed or
associated.
Penalty: 60 penalty units.
(6) In this section—
"key operative" does not include a public lottery
licensee.
s. 10.1.28
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Division 6—Confidentiality
10.1.29 What is protected information?
In this Division, "protected information"
means—
(a) information with respect to the affairs of any
person; or
(b) information with respect to the establishment
or development of a casino.
10.1.30 General duty of confidentiality
(1) A person must not, directly or indirectly, make a
record of, or disclose to someone else, any
protected information acquired by the person—
(a) in the performance of functions under a
gaming Act or gaming regulations; or
(b) from an enforcement agency in accordance
with a memorandum of understanding under
section 10.1.37.
Penalty: 60 penalty units.
(2) Sub-section (1) does not apply to—
(a) a record or disclosure made in the
performance of functions under a gaming
Act or gaming regulations; or
(b) a record or disclosure permitted or required
to be made by another provision of this
Division.
10.1.31 Disclosure in legal proceedings
(1) Subject to sub-section (2), a person other than a
casino operator is not, except for the purposes of a
gaming Act or gaming regulations, required—
(a) to produce in a court a document that has
come into his or her possession or under his
or her control; or
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(b) to disclose to a court any protected
information that has come to his or her
notice—
in the performance of functions under a gaming
Act or gaming regulations.
(2) A person may be required to disclose protected
information to a court or produce in court any
document containing information if—
(a) the Minister certifies that it is necessary in
the public interest that the information
should be disclosed to a court; or
(b) a person to whom the information relates has
expressly authorised it to be disclosed to a
court.
(3) In this section—
"court" includes any tribunal, authority or person
having power to require the production of
documents or the answering of questions;
"produce" includes permit access to.
10.1.32 Disclosure by casino operator
A casino operator is not, except for the purposes
of the Casino Control Act 1991, required to
produce or disclose documents or protected
information that the casino operator acquires
from—
(a) the Minister; or
(b) the Commission; or
(c) a person performing functions under a
gaming Act or gaming regulations.
s. 10.1.32
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10.1.33 Public interest disclosures
(1) A person may disclose protected information in
accordance with a direction under sub-section (2).
(2) The Minister may direct the disclosure of
specified information to a person or class of
person if the Minister certifies that it is necessary
in the public interest that the information should
be disclosed to the person or class of person.
(3) A person may disclose any protected information
if, in the opinion of the Commission, the
information is information, or information of a
class, the disclosure of which—
(a) would not constitute an unreasonable
disclosure of information relating to the
affairs of a person; or
(b) would otherwise be in the public interest.
10.1.34 Other permitted disclosures
(1) A person may—
(a) disclose protected information to a
prescribed authority or prescribed person; or
(b) disclose protected information to a person
who is expressly or impliedly authorised by
the person to whom the information relates
to obtain it; or
(c) disclose protected information to an
enforcement agency in accordance with a
memorandum of understanding under
section 10.1.37; or
(d) disclose any protected information that was
considered at a meeting or inquiry, or part of
a meeting or inquiry, of the Commission that
was held in public; or
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(e) disclose any of the following protected
information—
(i) the name of an applicant for a licence
under a gaming Act (except a special
employee's licence or a technician's
licence), for declaration as a
community or charitable organisation
or for a minor gaming permit, the date
of the application and the date and
result of the determination of the
application;
(ii) the name of an applicant for listing on
the Roll, the date of the application, the
date and result of the determination of
the application and any information
listed on the Roll;
(iii) the name of the holder of any licence,
permit, approval or other authorisation
under a gaming Act and the expiry date
of the licence, permit, approval or
authorisation;
(iv) the name of an associate of the holder
of a licence or of a person listed on the
Roll;
(v) particulars of an application by the
holder of a licence to add or change any
condition of the licence and of any
amendment to the conditions of a
licence;
(vi) particulars of disciplinary action taken
against a licensee or action taken by the
Commission in relation to an associate
of the licensee under a gaming Act;
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(vii) the name of a person who has applied
for or otherwise made a written request
to the Commission to consider a matter
referred to in section 10.1.22(2), the
date of the application or request, the
date the Commission determined the
application or request and details of the
Commission's determination;
(viii) details of any matter that is in the
public domain for any reason including
a requirement under a gaming Act to
record the information on the Register
or Roll or to publish the information or
because the matter was considered at a
meeting or inquiry or part of a meeting
or inquiry of the Commission that was
held in public.
(2) An authority or person to whom information is
disclosed under sub-section (1) or under
section 10.1.33 or 10.1.35, and a person or
employee under the control of that authority or
person, is subject, in respect of that information,
to the same rights, privileges, obligations and
liabilities under this Division as if that authority,
person or employee were a person performing
functions under a gaming Act or gaming
regulations and had acquired the information in
the performance of those functions.
10.1.35 Disclosure of statistical information
(1) Subject to sub-section (2), nothing in this or any
other Act applies to prohibit or restrict the giving
by the Commission to the Minister or the Panel, or
the publication, of—
(a) statistical information with respect to
gambling in Victoria; or
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(b) the names of all venue operators and persons
listed on the Roll; or
(c) the addresses of all approved venues and the
number of gaming machines in each
approved venue.
(2) Any statistical information published under sub-
section (1) about gambling expenditure in relation
to gaming venues must be aggregated—
(a) to give the total gambling expenditure for all
approved venues in a municipal district; and
(b) if a municipal district has less than
3 approved gaming venues, to give the total
gambling expenditure for all approved
venues in the municipal district together with
an adjoining municipal district or districts so
that the statistical information indicates
gambling expenditure for at least 3 approved
venues.
10.1.36 Disclosure for anti-smoking purposes
Nothing in this Division applies to prohibit or
restrict the provision of—
(a) a plan or revised plan of; or
(b) details of the cancellation, revocation or
surrender of the approval of a gaming
machine area in; or
(c) details of the approval of a modification of a
gaming machine area in—
an approved venue of a kind referred to in
section 5L(1) of the Tobacco Act 1987 in
accordance with section 42AA of that Act.
s. 10.1.36
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10.1.37 Memorandum of understanding
(1) The Commission and an enforcement agency may
enter a memorandum of understanding that
provides for—
(a) the disclosure to the enforcement agency of
information with respect to the affairs of a
person acquired by the Commission in the
performance of functions under a gaming
Act; and
(b) the disclosure to the Commission of
information with respect to the affairs of a
person acquired by the enforcement agency.
(2) A memorandum of understanding must—
(a) specify the kind of information to be
disclosed and the purposes for which it may
be used; and
(b) contain an undertaking that each party to the
memorandum—
(i) will use information disclosed to it only
for the purposes specified in the
memorandum; and
(ii) consents to the taking of injunctive
action to restrain the unauthorised use
of the information; and
(c) contain a provision that applies the law of
Victoria to the disclosure of information to
the enforcement agency under the
memorandum and an acknowledgment that
the parties submit to the non-exclusive
jurisdiction of the courts of Victoria.
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(3) The Commission may enter a memorandum of
understanding with an enforcement agency only if
the Commission is satisfied that the enforcement
agency is capable of entering, and is authorised to
enter, the memorandum of understanding as a
legally-binding agreement.
(4) In this section—
"enforcement agency" means a person or body
in Victoria or another jurisdiction (whether
in or outside Australia)—
(a) that is responsible for, or engages in—
(i) the administration of a law with
respect to gaming or gambling; or
(ii) law enforcement generally; or
(b) that is approved by the Minister under
sub-section (5).
(5) For the purposes of sub-section (4), the Minister
may, by written notice given to the Commission,
approve a person or body that is responsible for,
or engages in, the administration of a licensing or
other regulatory scheme that requires licensees or
other persons regulated to be suitable, or fit and
proper, persons.
__________________
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PART 2—GAMBLING RESEARCH PANEL
10.2.1 Continuation of Panel
(1) There continues to be a Gambling Research Panel.
(2) The Panel—
(a) is a body corporate with perpetual
succession;
(b) has an official seal;
(c) may sue and be sued;
(d) may do and suffer all acts and things that a
body corporate may by law do and suffer.
(3) The official seal of the Panel must be kept as
directed by the Panel and must not be used except
as authorised by the Panel.
(4) All courts must take judicial notice of the official
seal affixed to a document and, until the contrary
is proved, must presume that the document was
properly sealed.
(5) The Panel is the same body as that established by
section 138A of the Gaming Machine Control
Act 1991.
10.2.2 Relationship to the Crown
The Panel is a public authority that represents the
Crown.
10.2.3 Functions and powers
(1) The functions of the Panel are—
(a) to commission and monitor research relating
to—
(i) the social and economic impact of
gambling; and
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(ii) the causes of problem gambling and
strategies to minimise harm from
gambling; and
(b) to publish the results of the research.
(2) In the performance of its functions, the Panel
may—
(a) enter into contracts; and
(b) do all things necessary or convenient to be
done for or in connection with the
performance of its functions.
10.2.4 Members of the Panel
(1) The Panel consists of a chairperson and 2 other
members appointed by the Governor in Council
on the recommendation of the Minister.
(2) The Minister must not recommend a person for
appointment as a member of the Panel unless
satisfied that the person has appropriate
knowledge, experience and expertise to act as a
member.
(3) A person is not eligible to be appointed as a
member if, any time within the preceding 4 years,
he or she has been employed by or significantly
associated with a key operative.
(4) A member may be appointed on a full-time or
part-time basis.
(5) The Public Sector Management and
Employment Act 1998 (except in accordance
with Part 7 of that Act) does not apply to a
member in respect of the office of member.
10.2.5 Remuneration
A member of the Panel is entitled to the
remuneration that is specified in the member's
instrument of appointment.
s. 10.2.4
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10.2.6 Term of office
Subject to this Act, a member holds office for the
period, not exceeding 3 years, that is specified in
the member's instrument of appointment but is
eligible for re-appointment if otherwise qualified.
10.2.7 Acting appointments
(1) The Governor in Council may, on the
recommendation of the Minister, appoint a person,
who is qualified to be appointed chairperson, to
act as chairperson during any period or all periods
when the chairperson is absent from duty or the
office is vacant.
(2) While so acting, that member has all the powers
and may perform all the functions and duties
conferred by this Act or any other Act on the
chairperson.
(3) The Minister may appoint a person to act as a
member during any period or all periods when a
member (other than the chairperson) is absent
from duty.
(4) While so acting, the person has all the powers and
may perform all the functions and duties conferred
by this Act or any other Act on the member.
(5) An appointment under sub-section (3) is on the
terms and conditions determined by the Minister.
(6) The Minister may at any time terminate an
appointment under sub-section (3).
(7) In the case of an appointment under sub-section
(3), if the member ceases to hold office without
resuming duty, the appointment of the acting
member continues until—
(a) the appointment is terminated by the
Minister; or
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(b) the expiry of 12 months after the date on
which the member ceased to hold office—
whichever occurs first.
10.2.8 Vacancies, resignations
(1) A member ceases to be a member if he or she—
(a) without leave first granted by the Panel, fails
to attend 3 consecutive meetings of which
reasonable notice has been given to the
member personally or by post; or
(b) becomes bankrupt; or
(c) is convicted in Victoria of an offence
punishable by imprisonment for 12 months
or more or is convicted of an offence which,
if committed in Victoria, would be an
offence so punishable.
(2) A member may resign by notice in writing
delivered to the Minister.
10.2.9 Disclosure of pecuniary interests
(1) A member who has a pecuniary interest in a
matter being considered or about to be considered
by the Panel must, as soon as practicable after the
relevant facts have come to his or her knowledge,
declare the nature of the interest at a meeting.
(2) A person presiding at a meeting at which a
declaration is made must cause a record of the
declaration to be made in the minutes of the
meeting.
(3) After a declaration is made by a member—
(a) unless the Panel otherwise determines, the
member must not be present during any
deliberation in relation to the matter; and
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(b) the member is not entitled to vote on the
matter; and
(c) if the member does vote on the matter, the
vote must be disallowed.
(4) The member must not be present during any
deliberations leading to a determination, or take
part in making a determination, under sub-
section (3)(a).
10.2.10 Chairperson to preside
The chairperson or, in his or her absence, a
member appointed by the Panel, is to preside at a
meeting of the Panel.
10.2.11 Proceedings of the Panel
(1) The quorum for a meeting of the Panel is
2 members.
(2) A question arising at a meeting is determined by a
majority of votes of members present and voting
on that question and the person presiding has a
deliberative vote and, if voting is equal, a second
or casting vote.
(3) Subject to this Act, the Panel may regulate its own
proceedings.
10.2.12 Validity of decisions
An act or decision of the Panel is not invalid
merely because of—
(a) a defect or irregularity in, or in connection
with, the appointment of a member; or
(b) a vacancy in the membership of the Panel,
including a vacancy arising from the failure
to appoint an original member.
s. 10.2.10
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10.2.13 Research plan
(1) The Panel must prepare a research plan each year.
(2) The Panel must give a copy of the research plan to
the Minister—
(a) on or before the date in the year specified by
the Minister; or
(b) if no date is specified, at least 2 months
before it intends to implement the plan or
any part of it.
(3) The research plan must be in or to the effect of a
form approved by the Minister and must
include—
(a) a statement of the activities and undertakings
of the Panel for the next year; and
(b) a proposed budget; and
(c) financial statements containing information
requested by the Minister; and
(d) any other matters that the Minister directs.
(4) The Panel must consider any comments about the
research plan that are made to it by the Minister
within 2 months after the plan was given to the
Minister.
(5) The Panel must—
(a) consult in good faith with the Minister
following communication to it of the
comments; and
(b) make any changes to the research plan that
are agreed between the Minister and the
Panel; and
(c) deliver the completed plan to the Minister
within 3 months after the plan was given to
the Minister under sub-section (2).
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(6) The research plan may be modified at any time by
the Panel with the agreement of the Minister.
(7) If the Panel, by written notice to the Minister,
proposes a modification of the research plan, the
Panel may, within 14 days, make the modification
unless the Minister, by written notice to the Panel,
directs the Panel not to make it.
__________________
s. 10.2.13
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PART 3—FUNDS
Division 1—Community Support Fund
10.3.1 Community Support Fund
(1) There shall continue to be an account in the Public
Account as part of the Trust Fund known as the
Community Support Fund.
(2) The Community Support Fund is the same fund as
that established under section 138 of the Gaming
Machine Control Act 1991.
10.3.2 Payments into Community Support Fund
(1) There is to be credited to the Community Support
Fund all money required or authorised to be paid
into the Fund by this or any other Act.
(2) In addition to the money referred to in sub-
section (1), there is also to be paid into the Fund
interest derived from investment of money in the
Fund.
10.3.3 Payments from the Community Support Fund
The Minister may apply money in the Fund—
(a) first, for payment of such amounts as are
determined by the Minister for the
performance by the Panel of its functions
under section 10.2.3;
(b) secondly, for payment for or towards the
provision of any one or more of the
following—
(i) programs for or purposes relating to the
prevention of excessive gambling or for
the treatment or rehabilitation of
persons who gamble to problem levels;
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(ii) programs for the treatment or
rehabilitation of persons who are
addicted to or abuse drugs;
(iii) educational programs relating to drug
addiction or drug abuse;
(iv) programs for financial counselling
services or support and assistance for
families in crisis;
(v) programs for the benefit of youth;
(vi) research or pilot programs relating to
community advancement programs;
(vii) programs for the benefit of sport or
recreation;
(viii) programs for the promotion or benefit
of the arts;
(ix) programs establishing or developing
tourist destinations or facilities or
services or for the purposes of
promoting tourism;
(x) any other programs or purposes relating
to the support or advancement of the
community as determined by the
Minister;
(c) thirdly, for payment of costs incurred in
administering and managing the Fund and
monitoring and reporting on the application
of money from the Fund and for payment to
members of the Panel of their remuneration
as members.
s. 10.3.3
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Division 2—Mental Health Fund
10.3.4 Mental Health Fund
(1) There continues to be an account in the Public
Account as part of the Trust Fund known as the
Mental Health Fund.
(2) The fund is the same as that established under
section 58 of the Public Lotteries Act 2000.
10.3.5 Payments into the Mental Health Fund
There is to be credited to the Mental Health Fund
all money required or authorised to be paid into
the Fund by this or any other Act.
10.3.6 Payments from the Mental Health Fund
Money standing to the credit of the Fund may be
applied, at the determination of the Treasurer, for
or towards—
(a) the establishment and maintenance of
approved mental health services within the
meaning of the Mental Health Act 1986;
(b) the establishment and maintenance of
residential institutions within the meaning of
the Intellectually Disabled Persons'
Services Act 1986;
(c) the administration of the Mental Health Act
1986;
(d) the administration of the Intellectually
Disabled Persons' Services Act 1986.
__________________
s. 10.3.4
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PART 4—INVESTIGATIONS AND INFORMATION
GATHERING BY THE COMMISSION
Division 1—Investigation of applications
10.4.1 Application of Division
Except where otherwise stated in this Division,
this Division applies to any of the following
applications—
(a) an application for a licence under this Act;
(b) an application for an on-course wagering
permit;
(c) an application for approval—
(i) as a nominee of a venue operator under
section 3.4.14;
(ii) of a wholly-owned subsidiary of the
holder of a gaming operator's licence
under Division 1 of Part 9 of Chapter 3;
(iii) of a wholly-owned subsidiary of the
licensee under Division 4 of Part 3 of
Chapter 4;
(iv) of a wholly-owned subsidiary of a
public lottery licensee under Division 3
of Part 3 of Chapter 5;
(v) of a wholly-owned subsidiary of the
Trustees under Part 5 of Chapter 6;
(vi) as a nominee of a bingo centre operator
under section 8.5.9;
s. 10.4.1
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(d) an application for listing on the Roll;
(e) an application for approval of premises
under Part 3 of Chapter 3.
10.4.2 Investigation of application
(1) On receiving an application, the Commission must
cause to be carried out all investigations and
inquiries that it considers necessary to enable it to
consider the application properly.
(2) A function of the Commission under this section
may be performed by—
(a) the Executive Commissioner, in relation to
an application for—
(i) a venue operator's licence;
(ii) a gaming operator's licence;
(iii) listing on the Roll;
(iv) approval of a wholly-owned subsidiary
of the Trustees under Part 5 of
Chapter 6;
(b) any commissioner, in relation to an
application for—
(i) a special employee's licence;
(ii) a technician's licence;
(iii) a bingo centre employee's licence;
(iv) approval of premises under Part 3 of
Chapter 3.
s. 10.4.2
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10.4.3 Photographs, finger prints and palm prints
(1) The Commission may require a natural person—
(a) who has made an application; or
(b) who is being investigated by the
Commission in relation to the person's
suitability to be concerned in or associated
with the management or operation of any
activity in respect of which an application
has been made—
to consent to having his or her photograph, finger
prints and palm prints taken by the Commission.
(2) The Commission may refuse to consider an
application if any person from whom it requires a
photograph, finger prints or palm prints under this
section refuses to allow his or her photograph,
finger prints or palm prints to be taken.
(3) A function of the Commission under this section
may be performed by—
(a) the Executive Commissioner, in relation to
an application for—
(i) a venue operator's licence;
(ii) a gaming operator's licence;
(iii) listing on the Roll;
(iv) approval of a wholly-owned subsidiary
of the Trustees under Part 5 of
Chapter 6;
(b) any commissioner, in relation to an
application for—
(i) a special employee's licence;
(ii) a technician's licence;
(iii) a bingo centre employee's licence.
s. 10.4.3
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(4) This section does not apply to an application for—
(a) approval of a wholly-owned subsidiary of a
public lottery licensee under Division 3 of
Part 3 of Chapter 5;
(b) an application for approval of premises
under Part 3 of Chapter 3.
10.4.4 Police inquiry and report
(1) The Commission must refer to the Chief
Commissioner of Police a copy of—
(a) an application; and
(b) any photograph, finger prints and palm prints
obtained under section 10.4.3; and
(c) any supporting documentation.
(2) The Chief Commissioner of Police must inquire
into and report to the Commission on any matters
concerning the application that the Commission
requests.
(3) A function of the Commission under this section
may be performed by—
(a) the Executive Commissioner, in relation to
an application for—
(i) a venue operator's licence;
(ii) a gaming operator's licence;
(iii) listing on the Roll;
(iv) approval of a wholly-owned subsidiary
of the Trustees under Part 5 of
Chapter 6;
s. 10.4.4
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(b) any commissioner, in relation to an
application for—
(i) a special employee's licence;
(ii) a technician's licence;
(iii) a bingo centre employee's licence.
(4) This section does not apply to an application for—
(a) approval of a wholly-owned subsidiary of a
public lottery licensee under Division 3 of
Part 3 of Chapter 5;
(b) an application for approval of premises
under Part 3 of Chapter 3.
10.4.5 Commission may require further information etc.
(1) The Commission may, by notice in writing,
require an applicant or a person whose association
with the applicant is, in the opinion of the
Commission, relevant to the application to do any
one or more of the following—
(a) to provide, in accordance with directions in
the notice, any information that is relevant to
the investigation of the application and is
specified in the notice;
(b) to produce, in accordance with directions in
the notice, any records relevant to the
investigation of the application that are
specified in the notice and to permit
examination of the records, the taking of
extracts from them and the making of copies
of them;
(c) to authorise a person described in the notice
to comply with a specified requirement of
the kind referred to in paragraph (a) or (b);
s. 10.4.5
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(d) to provide the Commission with any
authorities and consents the Commission
requires for the purpose of enabling the
Commission to obtain information (including
financial and other confidential information)
concerning the person and his or her
associates from other persons.
(2) If a requirement made under this section is not
complied with, the Commission may refuse to
consider the application concerned.
(3) A function of the Commission under this section
may be performed by—
(a) the Executive Commissioner, in relation to
an application for approval of a wholly-
owned subsidiary of the Trustees under
Part 5 of Chapter 6;
(b) any commissioner, in relation to an
application for—
(i) a special employee's licence;
(ii) a technician's licence;
(iii) a bingo centre employee's licence;
(iv) approval of premises under Part 3 of
Chapter 3.
(4) This section does not apply to an application for—
(a) an interactive gaming licence;
(b) approval of a wholly-owned subsidiary of a
public lottery licensee under Division 3 of
Part 3 of Chapter 5;
(c) listing on the Roll.
(5) Sub-section (1)(d) does not apply to an application
for approval of premises under Part 3 of
Chapter 3.
s. 10.4.5
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10.4.6 Updating of application
(1) If a change occurs in the information provided in
or in connection with an application (including in
any documents lodged with the application),
before the application is granted or refused, the
applicant must forthwith give the Commission
written particulars of the change.
Penalty: 60 penalty units.
(2) If—
(a) the Commission requires information
(including information in any records) from
a person referred to in section 10.4.5 whose
association with the applicant is in the
opinion of the Commission relevant to the
application; and
(b) a change occurs in that information before
the application is granted or refused—
that person must forthwith give the Commission
written particulars of the change.
Penalty: 60 penalty units.
(3) When particulars of the change are given, those
particulars must then be considered to have
formed part of the original application, for the
purposes of the application of sub-section (1) or
(2) to any further change in the information
provided.
(4) This section does not apply to an application for—
(a) approval of a wholly-owned subsidiary of a
public lottery licensee under Division 3 of
Part 3 of Chapter 5;
(b) listing on the Roll.
s. 10.4.6
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(5) Sub-section (2) does not apply to an application
for—
(a) the wagering licence and the gaming licence;
(b) a public lottery licence;
(c) an interactive gaming licence;
(d) a special employee's licence;
(e) a technician's licence;
(f) a bingo centre employee's licence;
(g) an on-course wagering permit;
(h) approval of a wholly-owned subsidiary of
the holder of a gaming operator's licence
under Division 1 of Part 9 of Chapter 3;
(i) approval of a wholly-owned subsidiary of
the licensee under Division 4 of Part 3 of
Chapter 4;
(j) approval of a wholly-owned subsidiary of
the Trustees under Part 5 of Chapter 6;
(k) approval of premises under Part 3 of
Chapter 3.
10.4.7 Costs of investigating applications
(1) The Commission may, by written notice, require a
person who is an applicant for any licence or
permit under this Act, for approval for
appointment as an operator or for approval of a
proposed manager referred to in an application for
a permit, to pay to the Commission the amount
determined by the Commission being an amount
not exceeding the reasonable costs of
investigation of the application.
(2) The Commission may require costs payable under
sub-section (1) to be paid by instalments or at any
time before, during or after the investigation,
whether or not the application is granted.
s. 10.4.7
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Division 2—General Investigatory Powers of Commission
10.4.8 Definitions
In this Division—
"gambling authorisation" means a licence or
permit issued under this Act;
"regulated person" means—
(a) the holder of a gambling authorisation;
or
(b) an operator or nominee under a
gambling authorisation; or
(c) an associate of a person referred to in
paragraph (a) or (b).
10.4.9 General investigations
(1) The Commission may investigate the conduct of
operations under a gambling authorisation from
time to time and at any time that the Commission
thinks it desirable to do so and, if it is directed to
do so by the Minister, must investigate that
conduct.
(2) The investigation may include (but is not limited
to) an investigation of any or all of the
following—
(a) a person who, in the opinion of the
Commission, is a regulated person; or
(b) a person who, in the opinion of the
Commission, could affect the exercise of
functions in or in relation to the conduct of
the operations of a regulated person under
the gambling authority; or
(c) a person who, in the opinion of the
Commission, could be in a position to
exercise direct or indirect control over a
regulated person, in relation to functions in
s. 10.4.8
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or in relation to the conduct of operations
under the gambling authority.
(3) The Commission may make a report to the
Minister on the results of such an investigation if
it thinks it desirable to do so and must make such
a report if the investigation was made at the
direction of the Minister.
10.4.10 Provision of information
(1) The Commission may, by notice in writing,
require a person who, in the opinion of the
Commission, is a regulated person—
(a) to provide the Commission or an authorised
person, in accordance with directions in the
notice, with any information as is specified
in the notice that is—
(i) relevant to the regulated person; or
(ii) relevant to the conduct of operations
under the gambling authorisation; or
(iii) otherwise required by the Commission;
or
(b) to produce to the Commission or an
authorised person, in accordance with the
directions in the notice, any records specified
in the notice that are—
(i) relevant to the regulated person; or
(ii) relevant to the conduct of operations
under the gambling authorisation; or
(iii) otherwise required by the
Commission—
and to permit examination of those records,
the taking of extracts from them and the
making of copies of them; or
s. 10.4.10
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(c) to attend before the Commission or an
authorised person for examination, and to
answer questions, in relation to any
matters—
(i) relevant to the regulated person; or
(ii) relevant to the conduct of operations
under the gambling authorisation; or
(iii) otherwise specified by the Commission.
(2) If records are produced under this section, the
Commission or authorised person to whom they
are produced may retain possession of the records
for such period as may reasonably be necessary to
permit examination of the records, the taking of
extracts from them and the making of copies of
them.
(3) At any reasonable times during the period for
which records are retained, the Commission or
authorised person must permit inspection of the
records by a person who would be entitled to
inspect them if they were not in the possession of
the Commission or an authorised person.
(4) A person who complies with a requirement of a
notice under this section does not on that account
incur a liability to another person.
Division 3—Information Gathering for Law Enforcement
Purposes
10.4.11 Information gathering for law enforcement
purposes
(1) For the purpose of obtaining information that may
be of assistance to a law enforcement agency, the
Commission may direct a regulated person in
writing to provide the Commission with
information obtained by the person concerning
their operations.
s. 10.4.11
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(2) A direction under sub-section (1) may relate to
particular information or to information generally
and may relate to particular or general information
concerning a specified person.
(3) The direction must specify—
(a) the kind of information that the regulated
person is required to provide; and
(b) the manner in which and time within which
the information is to be provided.
(4) It is a condition of a regulated person's licence,
permit or listing under this Act that the provider
must comply with such a direction.
(5) The Commission may make information obtained
by the Commission under this section available to
any law enforcement agency.
(6) This section applies despite anything to the
contrary in Division 6 of Part 1.
(7) In this section—
"law enforcement agency" means—
(a) the police force of this or any other
State or of a Territory; or
(b) the Australian Federal Police; or
(c) the Australian Crime Commission; or
(d) the New South Wales Crime
Commission; or
(e) any other Commission or person
responsible for the enforcement of the
laws of the Commonwealth or of this or
any other State or of a Territory;
"operations" of a regulated person, means their
operations in respect of any activity
regulated by this Act;
s. 10.4.11
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"regulated person" means—
(a) the holder of a venue operator's licence;
(b) the holder of a gaming operator's
licence and an operator under that
licence;
(c) a person listed on the Roll;
(d) the licensee under Chapter 4 and an
operator of the licensee;
(e) the holder of an on-course wagering
permit;
(f) a licensed provider.
(8) A function of the Commission under this section
may be performed by any commissioner.
__________________
s. 10.4.11
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PART 5—COMPLIANCE AND ENFORCEMENT
Division 1—Inspectors
10.5.1 Appointment
(1) The Executive Commissioner may, by instrument,
appoint as an inspector for the purposes of a
gaming Act a person employed under Part 3 of the
Public Sector Management and Employment
Act 1998 who, in the Executive Commissioner's
opinion—
(a) is competent to perform the functions of an
inspector; and
(b) is of good reputation, having regard to
character, honesty and integrity.
(2) Unless the Executive Commissioner considers that
there are special circumstances, the Executive
Commissioner cannot appoint as an inspector a
person who is, or at any time during the previous
4 years has been—
(a) employed by or significantly associated
with—
(i) the holder of the gaming licence and
the wagering licence or a former
holder; or
(ii) the holder of an on-course wagering
permit; or
(iii) the holder of a gaming operator's
licence; or
(iv) a venue operator; or
(v) a casino operator; or
s. 10.5.1
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(b) entitled to 2% or more of the voting shares in
the holder of the gaming licence and the
wagering licence or a former holder.
10.5.2 Criminal record checks
(1) The Executive Commissioner may require a
person under consideration for appointment as an
inspector to consent to having his or her
photograph, finger prints and palm prints taken.
(2) The Executive Commissioner must refer a copy of
any photograph, finger prints and palm prints and
any supporting documentation to the Chief
Commissioner of Police.
(3) The Chief Commissioner of Police must inquire
into and report to the Executive Commissioner on
any matters that the Executive Commissioner
requests.
10.5.3 Identity cards
(1) An inspector is not authorised to perform the
functions of an inspector unless he or she is in
possession of an identity card in the form
approved by the Executive Commissioner.
(2) The identity card must bear a photograph and the
signature of the inspector.
(3) If a person proposing to perform the functions of
an inspector fails to produce on demand his or her
identity card, the person is not authorised to
exercise those functions in relation to the person
making the demand.
10.5.4 Police may perform functions of inspectors
A member of the police force may perform the
functions of an inspector under this Act.
s. 10.5.2
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10.5.5 Responsibilities of inspectors while on duty
An inspector must not participate in any of the
following while on duty other than as required in
the course of his or her employment—
(a) gaming (within the meaning of Chapter 3);
(b) interactive gaming;
(c) club keno games.
Penalty: 10 penalty units.
10.5.6 Former inspectors
(1) Unless the Executive Commissioner otherwise
approves, a person who ceases to be an inspector
must not, at any time during the next 4 years, be
employed by or significantly associated with a key
operative.
Penalty: 60 penalty units.
(2) In this section—
"key operative" does not include a public lottery
licensee.
Division 2—Functions of Inspectors
10.5.7 Functions of inspectors
(1) The functions of inspectors are as follows—
(a) for the purpose of determining compliance
with any gaming Act and gaming
regulations—
(i) to inspect premises used in connection
with any activity regulated by a gaming
Act;
(ii) to monitor the operation and
management of any such activity;
s. 10.5.5
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(iii) to examine machinery and equipment
used and records kept in premises
referred to in sub-paragraph (i);
(b) to assist in any other manner, where
necessary, in the detection of offences
committed against a gaming Act or gaming
regulations;
(c) to report to the Commission as required;
(d) any other functions conferred on inspectors
by a gaming Act or gaming regulations.
10.5.8 Right of entry
(1) An inspector may enter and remain on any
premises used in connection with any activity
regulated by a gaming Act for the purposes of
exercising his or her functions as an inspector.
(2) The power of entry may be exercised—
(a) at any time when the premises are open to
the public; or
(b) with the written consent of the occupier, at
any other time.
(3) An inspector who enters premises under this
section is not authorised to remain on the premises
if, on the request of the occupier of the premises,
the inspector does not show his or her identity
card to the occupier.
(4) If an occupier consents to the entry of premises
under this section, the inspector must give the
occupier a copy of the consent immediately.
(5) If, in any proceeding, a written consent is not
produced to the court, it must be presumed, until
the contrary is proved, that the occupier did not
consent to the entry.
s. 10.5.8
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10.5.9 Powers of inspectors
(1) An inspector may do any one or more of the
following—
(a) require any person in possession of, or
having control of, any machinery, equipment
or records relating to an activity regulated by
a gaming Act to produce the machinery,
equipment or records for inspection and to
answer questions or provide information
relating to the machinery, equipment or
records;
(b) inspect any machinery, equipment or records
referred to in paragraph (a) and take copies
of, extracts from, or notes relating to, those
records;
(c) if the inspector considers it necessary to do
so for the purpose of obtaining evidence of
the commission of an offence, seize any
machinery, equipment or records;
(d) by written notice require—
(i) the holder of a licence, permit, approval
or other authorisation under a gaming
Act or a person listed on the Roll; or
(ii) an employee of a person referred to in
sub-paragraph (i); or
(iii) any other person associated with
operations or their management in
premises the inspector is authorised to
enter—
to attend before the inspector at a specified
time or place and answer questions, or to
provide information within a reasonable
period specified in the notice, with respect to
any activity regulated by a gaming Act;
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(e) examine and test any machinery or
equipment referred to in paragraph (a) and
order the person in charge of the machinery
or equipment to withdraw it from use if it is
unsatisfactory for use;
(f) call to the inspector's assistance a member of
the police force if the inspector is obstructed,
or believes on reasonable grounds that he or
she will be obstructed, in the performance of
his or her functions;
(g) any other thing authorised by a gaming Act
or gaming regulations to be done by an
inspector.
(2) If an inspector seizes anything under this section,
it may be retained by the inspector until the
completion of any proceedings (including
proceedings on appeal) in which it may be
evidence but only if, in the case of records, the
person from whom the records were seized is
provided, within a reasonable time after the
seizure, with a copy of the records certified by an
inspector as a true copy.
(3) Sub-section (2) ceases to have effect in relation to
things seized if, on the application of a person
aggrieved by the seizure, the court in which
proceedings referred to in that sub-section are
instituted so orders.
(4) A copy of records provided under sub-section (2)
is, as evidence, of equal validity to the records of
which it is certified to be a copy.
10.5.10 Power to require names and addresses
(1) An inspector who exercises a right of entry to
premises under section 10.5.8 or under a search
warrant may require a person on the premises to
state the person's full name and residential
address.
s. 10.5.10
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(2) An inspector is not authorised to require a person
to state his or her name or address unless the
inspector—
(a) suspects on reasonable grounds that the
person has committed an offence; and
(b) has informed the person, at the time of
stating the requirement, that it is an offence
to fail to comply with the requirement.
(3) A person must comply with a requirement made
in accordance with this section.
Penalty: 20 penalty units.
10.5.11 Inspector to investigate complaints
(1) On receiving a complaint from a patron relating to
the conduct of any activity regulated by a gaming
Act, an inspector must forthwith investigate the
complaint.
(2) If, as a result of the investigation, the inspector is
satisfied that there has been a contravention of a
gaming Act or gaming regulations, the
inspector—
(a) must report the matter to the Commission in
writing; and
(b) subsequently must notify the person
conducting the activity of the substance of
the complaint and give them an opportunity
to respond to the complaint within a
reasonable period to be specified in the
notice.
(3) Sub-section (2)(b) does not apply to a complaint
in respect of which the Commission decides to
take no further action.
(4) The inspector must inform the complainant of the
results of the investigation of the complaint and of
any action taken as a consequence of it.
s. 10.5.11
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(5) A function of the Commission under this section
may be performed by any commissioner.
10.5.12 Search warrants
(1) An inspector, with the consent of the Executive
Commissioner, may apply to a magistrate for the
issue of a search warrant in relation to particular
premises if the inspector believes on reasonable
grounds that there are on the premises any
machinery, equipment or records—
(a) in relation to which an offence against a
gaming Act or gaming regulations has been,
is being, or is likely to be, committed; or
(b) that may be evidence of the commission of
an offence against a gaming Act or gaming
regulations.
(2) If a magistrate is satisfied by the evidence on oath,
whether oral or by affidavit, that there are
reasonable grounds for suspecting any of the
matters referred to in sub-section (1)(a) or (b), the
magistrate may issue a search warrant authorising
an inspector or member of the police force named
in the warrant and any assistants the inspector or
member considers necessary—
(a) to enter the premises, or the part of premises,
named or described in the warrant; and
(b) to search for and seize any machinery,
equipment or records named or described in
the warrant.
(3) In addition to any other requirement, a search
warrant issued under this section must state—
(a) the offence suspected; and
(b) the premises to be searched; and
(c) a description of the thing for which the
search is to be made; and
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(d) any conditions to which the warrant is
subject; and
(e) whether entry is authorised to be made at any
time or during stated hours; and
(f) a day, not later than 7 days after the issue of
the warrant, on which the warrant ceases to
have effect.
(4) A search warrant must be issued in accordance
with the Magistrates' Court Act 1989 and in the
form prescribed under that Act.
(5) The rules to be observed with respect to search
warrants mentioned in the Magistrates' Court
Act 1989 extend and apply to warrants under this
section.
(6) Despite sub-section (1), a member of the police
force does not require the consent of the
Executive Commissioner to exercise the power of
an inspector to apply for a search warrant under
this section.
10.5.13 Announcement before entry
(1) Before executing a search warrant, the person
named in the warrant or a person assisting him or
her must—
(a) announce that he or she is authorised by the
warrant to enter the premises; and
(b) give any person at the premises an
opportunity to allow entry to the premises.
(2) The person named in the warrant or a person
assisting him or her need not comply with sub-
section (1) if he or she believes on reasonable
grounds that immediate entry to the premises is
required to ensure—
s. 10.5.13
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(a) the safety of any person; or
(b) that the effective execution of the search
warrant is not frustrated.
10.5.14 Copy of warrant to be given to occupier
If the occupier or another person who apparently
represents the occupier is present at the premises
when a search warrant is being executed, the
inspector must—
(a) identify himself or herself to that person by
producing his or her identity card for
inspection by that person; and
(b) give to that person a copy of the execution
copy of the warrant.
Division 3—Offences
10.5.15 Offences relating to obstruction of inspectors
A person must not—
(a) assault, obstruct, hinder, threaten, abuse,
insult or intimidate an inspector or a member
of the police force when the inspector or
member is performing or attempting to
perform functions under a gaming Act or
gaming regulations; or
(b) fail, without reasonable excuse, to produce
for inspection any machinery, equipment or
records in the possession or under the control
of the person when required so to do by an
inspector or member of the police force in
the performance of his or her functions under
a gaming Act or gaming regulations; or
(c) fail, without reasonable excuse, to attend
before an inspector or member of the police
force and answer questions or supply
information when required so to do by the
s. 10.5.14
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inspector or member in the performance of
his or her functions under a gaming Act or
gaming regulations; or
(d) except with the permission of an inspector or
member of the police force, take any
machinery, equipment or records seized,
impounded or retained under the authority of
a gaming Act or gaming regulations; or
(e) fail to comply with a direction of an
inspector or member of the police force
under a gaming Act or gaming regulations to
cease to have available for use any
machinery or equipment considered by the
inspector or member to be unsatisfactory for
use; or
(f) prevent, directly or indirectly, a person from
attending before an inspector or member of
the police force, producing to an inspector or
member any machinery, equipment or
records or answering any question of, or
supplying any information to, an inspector or
member when that person is required to do
so under a gaming Act or gaming
regulations.
Penalty: 60 penalty units.
10.5.16 False or misleading information
(1) A person must not—
(a) in, or in relation to, an application for a
licence, permit, approval or other
authorisation under a gaming Act, or an
application for listing on the Roll; or
(b) in purported compliance with the
requirements of a notice under a gaming Act
or gaming regulations; or
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(c) in answer to a question asked by an inspector
in the exercise of the functions of an
inspector; or
(d) in purporting to provide information that the
person has been authorised to provide—
give information that is false or misleading in a
material particular.
Penalty: 60 penalty units.
(2) It is a defence to a prosecution of a person for an
offence under sub-section (1) if it is proved that,
at the time the information was given, the person
believed, on reasonable grounds—
(a) in the case of false information—that the
information was true; or
(b) in the case of misleading information—that
the information was not misleading.
10.5.17 Impersonation of inspectors or commissioners
A person must not impersonate an inspector or a
commissioner.
Penalty: 120 penalty units or imprisonment for
2 years or both.
10.5.18 Bribery of authorised person
(1) An authorised person must not corruptly ask for,
receive or obtain, or agree to receive or obtain,
any money, property or benefit of any kind for the
authorised person or any other person—
(a) so that the authorised person will forego or
neglect to perform his or her functions under
a gaming Act or in order to influence him or
her in the performance of those functions; or
s. 10.5.17
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(b) on account of any thing already done or
omitted to be done or to be afterwards done
or omitted to be done by the authorised
person in the performance of his or her
functions under a gaming Act; or
(c) for the authorised person to use or take
advantage of his or her position improperly
to gain any benefit or advantage for or
facilitate the commission of an offence by
another person.
Penalty: 600 penalty units or imprisonment for
2 years or both.
(2) A person must not corruptly give to, confer on or
procure for, or promise or offer to give to, confer
on or procure for, an authorised person or any
other person any money, property or benefit of
any kind—
(a) so that the authorised person will forego or
neglect to perform his or her functions under
a gaming Act or in order to influence him or
her in the performance of those functions; or
(b) on account of any thing already done or
omitted to be done or to be afterwards done
or omitted to be done by the authorised
person in the performance of his or her
functions under a gaming Act; or
(c) for the authorised person to use or take
advantage of his or her position improperly
to gain any benefit or advantage for or
facilitate the commission of an offence by
the first-mentioned person or any other
person.
Penalty: 600 penalty units or imprisonment for
2 years or both.
s. 10.5.18
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10.5.19 Protection against self-incrimination
(1) It is a reasonable excuse for a person to refuse or
fail to answer questions or provide information
that the person is required to answer or provide by
or under a gaming Act if the answering of the
question or provision of the information would
tend to incriminate the person.
(2) It is not a reasonable excuse for a person to refuse
or fail to produce any machinery, equipment or
records that a person is required to produce by or
under a gaming Act on the ground that the
production of the machinery, equipment or
records would tend to incriminate the person.
(3) If the person claims, before producing the
machinery, equipment or records, that production
of the machinery, equipment or records would
tend to incriminate them, the equipment or records
are not admissible in evidence against the person
in criminal proceedings.
(4) This section is subject to sections 2.5.40(2)(f),
5.6.4(2) and 7.7.3(4).
Division 4—Infringement Notices
10.5.20 Power to serve a notice
(1) An inspector may serve an infringement notice on
any person that he or she has reason to believe has
committed an offence against a gaming Act or
gaming regulations that is prescribed by the
regulations as an offence in respect of which an
infringement notice may be issued.
s. 10.5.19
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(2) An infringement notice may be served on a
person—
(a) by delivering it personally to the person; or
(b) by sending it by post addressed to the person
at the person's last known place of residence
or business.
10.5.21 Form of notice
An infringement notice must be in the form
approved by the Commission and must set out—
(a) the date of the notice; and
(b) the provision that creates the offence; and
(c) the date, time and place of the alleged
offence; and
(d) the nature and a brief description of the
alleged offence; and
(e) the infringement penalty for the alleged
offence set out in the regulations; and
(f) the manner in which the infringement
penalty may be paid; and
(g) the time (not being less than 28 days after the
date on which the notice is served) within
which the infringement penalty must be paid;
and
(h) that, if the amount of the infringement
penalty is paid before the end of the time
specified in the notice, the matter will not be
brought before the Magistrates' Court unless
the notice is withdrawn within 28 days after
the date on which it was served; and
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(i) that the person is entitled to disregard the
notice and defend any proceedings in respect
of the alleged offence in the Magistrates'
Court; and
(j) any other prescribed particulars.
10.5.22 Late payment of penalty
An inspector may accept payment of the
infringement penalty even after the expiration of
the time for payment stated in the infringement
notice if—
(a) a charge has not been filed in respect of the
offence to which the infringement penalty
relates; and
(b) the infringement notice has not been
withdrawn.
10.5.23 Withdrawal of notice
(1) An inspector may withdraw an infringement
notice issued under this Division within 28 days
after it was served.
(2) The withdrawal of an infringement notice is to be
effected by serving a withdrawal notice on the
person on whom the infringement notice was
served.
(3) If the penalty sought in the infringement notice
has been paid before the notice is withdrawn, the
amount of the penalty must be refunded on the
notice being withdrawn, and the Consolidated
Fund is appropriated to the necessary extent for
the refund to be made.
(4) Proceedings for the offence in respect of which
the infringement notice has been served may still
be taken or continued despite the withdrawal of
the notice.
s. 10.5.22
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10.5.24 Payment expiates offence
If an infringement notice is not withdrawn and the
infringement penalty is paid within the time
specified in the notice or payment is accepted in
accordance with section 10.5.22, then—
(a) the person on whom the notice was served
has expiated the offence by that payment;
and
(b) no proceedings may be taken against that
person in respect of that offence; and
(c) no conviction is to be taken to have been
recorded against that person for the offence.
10.5.25 Application of penalty
(1) An infringement penalty paid under this Division
must be applied in the same way as a fine paid
under an order of a court made on an offender
being convicted or found guilty of the offence to
which the infringement penalty relates.
(2) The payment of an infringement penalty under
this Division is not and must not be taken to be—
(a) an admission of guilt in relation to the
offence; or
(b) an admission of liability for the purpose of
any civil claim or proceeding arising out of
the same occurrence, and the payment does
not in any way affect or prejudice any such
claim or proceeding.
(3) The payment of an infringement penalty under
this Division must not be referred to in any report
provided to a court for the purpose of determining
sentence for any offence.
s. 10.5.24
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10.5.26 Prosecution after service of infringement notice
A charge may be filed in respect of an offence to
which an infringement notice relates if—
(a) the infringement penalty has not been paid
within the time for payment specified in the
notice or in accordance with section 10.5.22;
or
(b) the notice is withdrawn.
10.5.27 Proof of prior convictions
(1) If a person is served with a summons for an
infringement and it is alleged that the person has
been previously convicted of any infringement or
infringements, there may be served with the
summons a separate document in the prescribed
form signed by the informant setting out
particulars of the alleged prior convictions.
(2) The document setting out the alleged prior
convictions—
(a) must be endorsed with a notice in the
prescribed form; and
(b) may be served in any manner in which the
summons for the infringement may be
served.
(3) If the court by which any person has been
convicted is satisfied that a copy of any such
document was served on that person at least
14 days before the hearing of the charge, the
document is admissible in evidence and, in the
absence of evidence to the contrary, is proof—
(a) that the person was convicted of the offences
alleged in the document; and
(b) of the particulars relating to the convictions
set out in the document.
s. 10.5.26
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(4) Any such document may not be tendered in
evidence without the consent of the defendant if
the defendant is present at the hearing of the
charge.
(5) If any evidence of prior convictions is tendered
under this section, the court may set aside, on any
terms as to costs or otherwise that the court
decides, any conviction or order if it has
reasonable grounds to believe that the document
tendered in evidence was not in fact brought to the
notice of the defendant or that the defendant was
not in fact convicted of the offences as alleged in
the document.
(6) Sub-section (5) does not limit the generality of
Division 5 of Part 4 of the Magistrates' Court
Act 1989.
(7) In this section—
"infringement" means an offence in respect of
which an infringement notice may be issued.
Note: Section 10.5.20(1) provides that infringement notices
may be issued in respect of certain offences
prescribed by the regulations.
Division 5—Forfeiture
10.5.28 Forfeiture
(1) If instruments of gaming or money or securities
for money—
(a) are lawfully seized under a gaming Act; or
(b) are found in the possession or control of a
person found committing an offence against
a gaming Act or gaming regulations—
the Magistrates' Court may order that the
instruments of gaming or money or securities for
money are forfeited to the State.
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(2) An appeal lies to the County Court against an
order of forfeiture under sub-section (1).
(3) Any property forfeited under this section must be
sold or otherwise disposed of in accordance with
the directions of the Magistrates' Court.
(4) The proceeds, if any, of the sale or disposal must
be paid into the Consolidated Fund.
Penalty: 60 penalty units.
10.5.29 Seizure and forfeiture of equipment
(1) An inspector may seize without a warrant any
equipment that the inspector reasonably suspects
is gaming equipment that is not authorised under a
gaming Act to be in the premises.
(2) A member of the police force or inspector may
apply to a court not less than 28 days after seizure
of equipment for an order that the equipment
seized under sub-section (1) be forfeited to the
State.
(3) On an application under sub-section (2), the court
must order that the equipment be forfeited to the
State if the court is satisfied that the equipment is
gaming equipment that is not authorised under a
gaming Act to be in the premises, regardless of
whether a charge has been filed in relation to the
equipment or whether a person has been convicted
of an offence in relation to the equipment.
(4) The owner of equipment seized under sub-section
(1) may apply within 28 days of the seizure to a
court for the return of the equipment.
(5) On an application under sub-section (4), the court
must order that the equipment be returned to its
owner if the court is satisfied that the
equipment—
s. 10.5.29
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(a) is not gaming equipment; or
(b) is gaming equipment authorised under a
gaming Act to be on the premises.
(6) If the owner of equipment seized under sub-
section (1) does not apply for the return of the
equipment within 28 days of the seizure, the
equipment is forfeited to the State.
(7) Any equipment forfeited under this section must
be sold or otherwise disposed of in accordance
with the directions of the court.
(8) The proceeds (if any) of the sale or disposal must
be applied as if they were penalties.
Division 6—Prosecutions and Evidentiary Provisions
10.5.30 Offences by bodies
(1) If a body (whether incorporated or not)
contravenes any provision of a gaming Act or
gaming regulations, each executive officer of the
body is to be taken to have contravened the same
provision if the executive officer knowingly
authorised or permitted the contravention.
(2) A person may be proceeded against and convicted
under a provision in accordance with sub-
section (1) whether or not the body has been
proceeded against or convicted under that
provision.
(3) Nothing in this section affects any liability
imposed on a body for an offence committed by
the body against a gaming Act or gaming
regulations.
s. 10.5.30
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10.5.31 Proceedings
(1) A proceeding for an offence against a gaming Act
or gaming regulations may only be brought by—
(a) a member of the police force; or
(b) the Commission; or
(c) a person authorised to do so, either generally
or in a particular case, by the Commission.
(2) In a proceeding for an offence against a gaming
Act or gaming regulations it must be presumed, in
the absence of evidence to the contrary, that the
person bringing the proceeding was authorised to
bring it.
(3) A function of the Commission under this section
may be performed by any commissioner.
10.5.32 Evidence
(1) In proceedings under a gaming Act, an
assertion—
(a) that, at a specified time or during a specified
period, a specified person was the Minister
administering any Act; or
(b) that, at a specified time or during a specified
period, a specified person held, or is acting
in, a specified office; or
(c) that a signature purporting to be the signature
of a Minister, a commissioner, an inspector,
a member of the police force or an
authorised person is the signature it purports
to be; or
(d) that, at a specified time or during a specified
period, a specified person was, or was not,
the holder of a specified licence, permit,
approval or other authorisation under a
gaming Act; or
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(e) that, at a specified time, a person attained a
specified age or that, at a specified time or
during a specified period, a specified person
was under or over a specified age—
is evidence of the fact or facts asserted.
(2) In proceedings under a gaming Act—
(a) a document purporting to be a copy of a
direction, notice, order, requirement or
decision given or made under a gaming Act
is evidence of a direction, notice, order,
requirement or decision of which it purports
to be a copy; and
(b) a document purporting to be a copy of a
licence, permit, approval or other
authorisation under a gaming Act is evidence
of the licence, permit, approval or
authorisation of which it purports to be a
copy; and
(c) evidence that a person accepted service of a
document is evidence of the authority of the
person to accept service of the document.
__________________
s. 10.5.32
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CHAPTER 11—GENERAL
PART 1—ADMINISTRATIVE PROVISIONS
Division 1—Service of Documents
11.1.1 Service of documents on Commission
(1) A document may be served on the Commission by
sending it by post to the principal office of the
Commission or leaving it at the office with a
person authorised in writing by the Commission to
accept service of documents on behalf of the
Commission.
(2) Nothing in this section affects the operation of any
provision of a law or of the rules of a court
authorising a document to be served on the
Commission in any other manner.
11.1.2 Service of documents on other persons
If, by or under a gaming Act or gaming
regulations, a document is required or permitted to
be served on a person other than the Commission,
the document may be served—
(a) in the case of a natural person—
(i) by delivering it personally to the
person; or
(ii) by leaving it at the person's usual or last
known place of residence with a person
apparently over the age of 16 years and
apparently residing there; or
(iii) by sending it by post addressed to the
person the person's usual or last known
place of employment or business; or
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(b) in the case of a company or other body—by
leaving it at, or sending it by post to—
(i) the registered office of the company or
business; or
(ii) a place of business of the company or
body—
whether in Victoria or elsewhere; or
(c) in any case—in a manner of service
prescribed by any other Act or law in
relation to the person or persons of a class
that include the person.
Division 2—Records and Forms
11.1.3 Records not kept in writing
(1) This section applies to a record that—
(a) is not in writing; or
(b) is not written in the English language; or
(c) is not decipherable on sight.
(2) A requirement under a gaming Act to produce
such a record is to be considered to be a
requirement to produce (in addition to the record
if it is in writing or instead of the record if it is not
in writing) a statement written in the English
language and decipherable on sight containing the
whole of the information in the record.
11.1.4 Sufficient compliance with approved forms
If a gaming Act or gaming regulations require
anything to be in the form approved by the
Commission, any form in or to the like effect as
the approved form is sufficient compliance with
the requirement.
s. 11.1.3
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Division 3—General
11.1.5 Destruction of finger prints and palm prints
(1) Any finger prints or palm prints obtained by the
Commission under a gaming Act and any copies
of them must be destroyed by the Commission as
soon as the Commission has no further use for
them.
(2) The Commission is to be considered to have no
further use for them if—
(a) they were obtained in connection with an
application for a licence, permit, approval or
other authorisation under a gaming Act or
gaming regulations and the application is
refused; or
(b) the licence, permit, approval or authorisation
in connection with which they were obtained
is cancelled, revoked, surrendered or no
longer in force; or
(c) they were obtained in connection with a
person's application for listing on the Roll
and—
(i) the application is refused; or
(ii) the person's name is removed from the
Roll; or
(d) they were obtained in connection with the
appointment or employment of a person as—
(i) a commissioner; or
(ii) an inspector; or
(iii) an employee or member of staff
referred to in section 10.1.25—
and the person is not so appointed or
employed or is no longer so appointed or
employed.
s. 11.1.5
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(3) A person who has possession of finger prints or
palm prints obtained by the Commission under a
gaming Act, or copies of them, must deliver them
to the Commission, in accordance with the
directions of the Commission, so as to enable the
Commission to comply with sub-section (1).
Penalty: 20 penalty units.
11.1.6 Refund of fees
If an application under this Act is refused or is
withdrawn by the applicant, the Commission at its
discretion may refund the whole or part of the
application fee, if any, and the Consolidated Fund
is appropriated to the necessary extent for the
payment to be made.
11.1.7 Supreme Court—limitation of jurisdiction
It is the intention of sections 3.2.5 and 4.3.26(7) to
alter or vary section 85 of the Constitution Act
1975.
__________________
s. 11.1.6
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PART 2—REGULATIONS
11.2.1 Regulations
(1) The Governor in Council may make regulations
for or with respect to any matter or thing required
or permitted by this Act to be prescribed or
necessary to be prescribed to give effect to this
Act including, but not limited to, the matters and
things specified in Schedule 1.
(2) Regulations made under this Act—
(a) may be of general or specially limited
application; and
(b) may differ according to differences in time,
place or circumstances; and
(c) may apply, adopt or incorporate any matter
contained in any document, code, standard,
rule, specification or method formulated,
issued, prescribed or published by any
person whether—
(i) wholly or partially or as amended by
the regulations; or
(ii) as formulated, issued, prescribed or
published at the time the regulations are
made or at any time before then; or
(iii) as formulated, issued, prescribed or
published from time to time; and
(d) may leave any matter or thing to be from
time to time determined, applied, dispensed
with or regulated by the Commission or a
person belonging to a class of persons
specified in the regulations; and
(e) may impose penalties not exceeding
20 penalty units for a contravention of the
regulations.
s. 11.2.1
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(3) A power conferred by this Act to make
regulations providing for the imposition of fees
may be exercised by providing for all or any of
the following matters—
(a) specific fees;
(b) maximum fees;
(c) minimum fees;
(d) fees that vary according to class of premises
or venue or special employee;
(e) the manner of payment of fees;
(f) the time or times at which fees are to be paid.
(4) The regulations are subject to disallowance by a
House of the Parliament.
(5) If a regulation made under this Act is disallowed
by the Parliament or a House of the Parliament, no
regulation which is the same in substance as the
disallowed regulation may be made within
6 months after the date of the disallowance,
unless—
(a) if the regulation was disallowed by one
House of the Parliament, that House
approves the making of a regulation the same
in substance as the disallowed regulation; or
(b) if the regulation was disallowed by both
Houses of the Parliament, each House
approves the making of a regulation the same
in substance as the disallowed regulation.
(6) Any regulation made in contravention of sub-
section (5) is void and of no effect.
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CHAPTER 12—AMENDMENTS, REPEALS AND
TRANSITIONAL PROVISIONS
PART 1—AMENDMENTS AND REPEALS
12.1.1 Repeals
The following Acts are repealed—
(a) the Club Keno Act 1993;
(b) the Gaming and Betting Act 1994;
(c) the Gaming Machine Control Act 1991;
(d) the Gaming No. 2 Act 1997;
(e) the Interactive Gaming (Player
Protection) Act 1999;
(f) the Lotteries Gaming and Betting Act
1966;
(g) the Public Lotteries Act 2000;
(h) the TT-Line Gaming Act 1993.
12.1.2 Casino Control Act 1991
The Casino Control Act 1991 is amended as set
out in Schedule 5.
12.1.3 Further consequential amendments
An Act specified in the heading to an item in
Schedule 6 is amended as set out in that item.
12.1.4 Gaming and Betting Act 1994—unclaimed refunds
and dividends
(1) For section 49(1) of the Gaming and Betting Act
1994 substitute—
'(1) On or before the last day of each month (the
"payment month"), a permit holder must
pay to the Treasurer an amount equal to the
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sum of all refunds and dividends that have
remained unclaimed for—
(a) in the case of a payment month before
June 2004—not less than 12 months on
the first day of that payment month;
(b) in the case of the payment month of
June 2004 and each subsequent
payment month—not less than
6 months on the first day of that
payment month—
less the expenses of the permit holder
reasonably incurred in searching for the
persons entitled to those refunds or
dividends.'.
(2) For section 81(1) of the Gaming and Betting Act
1994 substitute—
'(1) On or before the last day of each month (the
"payment month"), the licensee must pay
to the Treasurer an amount equal to the sum
of all refunds, dividends and prizes that have
remained unclaimed for—
(a) in the case of a payment month before
June 2004—not less than 12 months on
the first day of that payment month;
(b) in the case of the payment month of
June 2004 and each subsequent
payment month—not less than
6 months on the first day of that
payment month—
less the expenses of the licensee or an
operator reasonably incurred in searching for
the persons entitled to those refunds,
dividends or prizes.'.
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12.1.5 Abolition of special tax arrangements for tabarets
For section 3.1.6 of this Act substitute—
"3.1.6. Application of Chapter to tabaret
premises
(1) Division 2 of Part 6 applies to tabaret
premises as if they were premises in respect
of which a pub licence were in force.
(2) The remainder of this Chapter applies to
tabaret premises as if they were premises in
respect of which a club licence were in
force.".
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PART 2—TRANSITIONAL PROVISIONS
12.2.1 Transitional provisions
Schedule 7 has effect.
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SCHEDULES
SCHEDULE 1
Section 11.2.1
SUBJECT MATTER FOR REGULATIONS
PART 1—CLUB KENO
1.1 The accrediting of representatives of the participants to conduct club
keno games on behalf of the participants and prescribing conditions
governing the sale of tickets by those representatives.
1.2 Prescribing requirements for the purposes of the definition of club
keno game, including requirements as to the conduct, monitoring
and promotion of club keno games.
PART 2—COMMUNITY AND CHARITABLE GAMING
2.1 Conditions of bingo centre operator's licences and minor gaming
permits.
2.2 Rules for the conduct of raffles, bingo (including rolling jackpots),
fundraising events and the sale of lucky envelopes.
2.3 Standards and conditions for the sale or disposal of property or the
allotment of prizes of money under section 2.2.8.
2.4 Standards for lucky envelopes and for bingo tickets and random
number generators for use in the playing of bingo.
2.5 The amount to be paid for expenses in relation to the sale of lucky
envelopes, including but not limited to site fees or maximum
amounts.
2.6 The disposal of unclaimed prizes.
2.7 The maximum amount a holder of a minor gaming permit may be
required to pay as expenses of bingo, whether prescribed by all or
any of the following—
(a) a percentage of gross receipts;
(b) a percentage of gross proceeds;
(c) a fixed amount per session of bingo games;
(d) a fixed amount per week.
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2.8 Requiring periodic returns to be made to the Commission by the
holder of a minor gaming permit or a person who was the holder of
such a permit at any time in the preceding 12 months, in the form
approved by the Commission, including—
(a) the information, manner, frequency, return dates and length of
period to which the return relates to be included in those
returns;
(b) requiring the verification of information in the returns by
specified persons by means of signed certificate or other
authentication.
PART 3—GAMING MACHINES
3.1 The activities of persons licensed under Chapter 3 and any company
declared under section 3.9.1 to be an operator in relation to a gaming
operator's licence.
3.2 The activities of the holder of the gaming licence under Chapter 4
and the operator under the gaming licence.
3.3 The activities of persons listed on the Roll.
3.4 Classes of approved venue and the restrictions and entitlements
applying to each class.
3.5 Facilities and amenities in approved venues or classes of approved
venue.
3.6 Security arrangements to be taken by persons licensed under
Chapter 3 or by persons listed on the Roll.
3.7 Transportation of gaming equipment.
3.8 The keeping of accounts by venue operators with financial
institutions.
3.9 Technical standards to which the electronic monitoring systems of
gaming operators must conform.
3.10 Production, registration, security and confidentiality of gaming
tokens.
3.11 Access to gaming machines.
3.12 Duties of special employees.
3.13 Requirements with respect to reporting information about special
employees.
3.14 Administration and accounting procedures of gaming operators and
venue operators.
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3.15 The collection and security of money in approved venues and
between approved venues and financial institutions.
3.16 Procedures for the counting of revenue in approved venues.
3.17 Procedures and standards for the maintenance, security and storage
of gaming equipment.
3.18 Monitoring and testing of gaming equipment and the giving of
directions by authorised persons to venue operators or gaming
operators.
3.19 The acquisition of gaming equipment including tendering and the
calling of expressions of interest.
3.20 Conditions under which linked jackpot arrangements are permitted.
3.21 The calculation and fixing of levies.
3.22 Any matter relevant to the proper conduct of gaming on gaming
machines.
3.23 Advertising relating to gaming or gaming machines or that is
generally associated with gaming or gaming machines.
3.24 Gaming-related signs.
3.25 The provision to players of gaming machines of information
relevant to gaming on gaming machines.
3.26 In relation to loyalty schemes—
(a) information to be given to persons before joining the scheme;
(b) the provision to participants of player activity statements,
including the details to be included in those statements.
3.27 Prescribing areas in which premises may be approved for 24 hour
gaming and in which 24 hour gaming may be permitted in approved
venues.
PART 4—LOTTERIES
4.1 Conditions applying to permits to conduct trade promotion lotteries.
4.2 Conditions on which trade promotion lotteries may be conducted
without a permit.
4.3 Rules for the conduct of trade promotion lotteries.
4.4 Calcutta Sweepstakes.
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PART 5—GENERAL
5.1 Fees.
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SCHEDULE 2
Section 9.2.1(1)
MODIFICATIONS OF TASMANIAN ACT
The Tasmanian Act applies as if—
(1) sections 1 and 2 were repealed;
(2) in section 3—
(a) in the definition of "approved", in paragraph (b), after
"Act 1993" there were inserted "of Tasmania and the
Victorian Commission for Gambling Regulation";
(b) in the definition of "Commission", after "Act 1993"
there were inserted "of Tasmania";
(c) the definition of "Director" were repealed;
(d) in the definition of "exclusion order" and "gaming"
after "Act 1993" there were inserted "of Tasmania";
(e) in the definition of "gaming licence" after "section 4"
there were inserted "of the Tasmanian Act";
(f) in the definition of "gaming management agreement"
after "section 5" there were inserted "of the
Tasmanian Act";
(g) in the definition of "inspector" and "keno game" after
"Act 1993" there were inserted "of Tasmania";
(h) in the definition of "police officer" after "1898" there
were inserted "of Tasmania and includes a member of
the Victoria Police";
(i) after the definition of "police officer" there were
inserted—
' "section" in the applied provisions means section of
the applied provisions;';
(j) in the definition of "special employee" after "Act
1993" there were inserted "of Tasmania";
(k) in the definition of "State shipping company" after
"1993" there were inserted "of Tasmania";
(l) after the definition of "terms" there were inserted—
' "this Act" means Chapter 9 of the Victorian Act;';
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(3) sections 4, 5 and 6 were repealed;
(4) in section 7 for sub-section (3) there were substituted—
"(3) For the purposes of this section, a ship is taken to be
providing a standard interstate ferry service—
(a) when it is in port embarking passengers for that
service during the period of 3 hours
immediately before the scheduled departure
time; or
(b) during any time when it is at sea on that
service.";
(5) sections 9, 11, 12, 13, 14 and 15 were repealed;
(6) in section 16—
(a) after "Act 1993" (wherever occurring) there were
inserted "of Tasmania";
(b) in sub-section (1)(f), (g) and (j) after "section 4" there
were inserted "of the Tasmanian Act";
(7) in section 17 for "Commission" there were substituted
"Victorian Commission for Gambling Regulation";
(8) in sections 18 and 19 after "Act 1993" (wherever occurring)
there were inserted "of Tasmania";
(9) in section 19A—
(a) for "Director" (wherever occurring) there were
substituted "Victorian Commission for Gambling
Regulation";
(b) after "Act 1993" there were inserted "of Tasmania";
(10) sections 24, 25, 28, 29, 30, 30A and 31 and Schedule 1 were
repealed.
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SCHEDULE 3
Section 9.2.1(2)
MODIFICATIONS OF TASMANIAN REGULATIONS
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SCHEDULE 4
FORMS FOR CHAPTER 2
FORM 1
Section 2.5.21(2)
SPECIAL WARRANT
Gambling Regulation Act 2003
To , a member of Victoria Police and to all other
members of Victoria Police.
WHEREAS it appears to me , a magistrate, by the evidence on
oath or by affidavit of [insert name, address and occupation of informant]
that there is reason to suspect that the house or place known as [insert a
description of the house or place by which it may be readily known and
found] [is kept or used as a common gaming house or place/contains
instruments of gaming], this warrant authorises and directs you—
(a) to enter and re-enter the house or place as often as and with any
assistants that may be found necessary, and if necessary to use force
for making the entry or re-entry, whether by breaking open doors or
otherwise; and
(b) to arrest, search and bring before a bail justice or the Magistrates'
Court to be dealt with according to law all persons found in the house
or place or entering or leaving it; and
(c) to diligently search all parts of the house or place where you suspect
that instruments of gaming are concealed; and
(d) to seize and bring before a bail justice or the Magistrates' Court to be
dealt with according to law all instruments of gaming and all money
and securities for money found in the house or place or on any such
person.
Given under my hand at on .
Signature of Magistrate
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FORM 2
Section 2.5.39(3)
SPECIAL WARRANT
Gambling Regulation Act 2003
To , a member of Victoria Police and all other
members of Victoria Police.
WHEREAS it appears to me , a magistrate, by the evidence
on oath or by affidavit of [insert name, address and occupation of informant]
that there is reason to suspect that the owner [or occupier] of a house or place
known as [insert a description of the house or place by which it may be
readily known and found] ("accessory house or place") permits, allows or
suffers it to be used as a means of access to or of exit or escape from another
house or place known as [insert a description of the house or place by which
it may be readily known and found] that is a common gaming house or place,
this warrant authorises and directs you—
(a) to enter and re-enter as often as and with any assistants that may be
found necessary the accessory house or place and if necessary to use
force for making the entry or re-entry, whether by breaking open doors
or otherwise; and
(b) to pass through, from, over and along the accessory house or place;
and
(c) to arrest, search and bring before a bail justice or the Magistrates'
Court to be dealt with according to law all persons found in the
accessory house or place or entering or leaving it; and
(d) to diligently search all parts of the accessory house or place where you
suspect that instruments of gaming are concealed; and
(e) to seize and bring before a bail justice or the Magistrates' Court to be
dealt with according to law all instruments of gaming and all money
and securities for money found in the accessory house or place or on
any such person.
Given under my hand at on .
Signature of Magistrate
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FORM 3
Section 2.5.40
WARRANT TO IMPRISON
Gambling Regulation Act 2003
To , a member of Victoria Police and to the
Governor of [insert name and address of prison].
WHEREAS on , [insert name(s) and address(es) of
person(s) to be imprisoned] was/were brought before
by a member of Victoria Police and was/were so brought
as a person/persons found in/entering/leaving a house or place entered by
virtue of a warrant under the Gambling Regulation Act 2003 [or as a
person/persons arrested under the Gambling Regulation Act 2003, as a
person (persons) found in (or on or entering or leaving) a house (or place)].
This warrant commands [insert name of police member] to take [insert
name(s) of prisoner(s)] to [insert name of prison] and there to deliver
him/her/them to the Governor of that prison together with this warrant.
This warrant commands the Governor of the prison to receive [insert name(s)
of prisoner(s)] into custody and to keep him/her/them until the hearing of any
charge or charges filed or to be filed against him/her/them for an offence or
offences against the Gambling Regulation Act 2003 or until he/she/they
is/are discharged by due course of law.
If, within 24 hours after the Governor has received a person into custody
under this warrant, a document purporting to be a copy of the charge is not
served on or delivered to the Governor, the person must be discharged from
custody.
Dated at on .
Signature of Magistrate
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SCHEDULE 5
Section 12.1.2
AMENDMENTS TO CASINO CONTROL ACT 1991
1. In section 3(1)—
(a) for the definition of "authorised person" substitute—
' "authorised person" has the same meaning as in the
Gambling Regulation Act 2003;';
(b) for the definition of "decision" substitute—
' "decision" has the same meaning as in the Gambling
Regulation Act 2003;';
(c) for the definition of "gaming machine" substitute—
' "gaming machine" has the same meaning as in the
Gambling Regulation Act 2003;';
(d) for the definition of "gaming operator" substitute—
' "gaming operator" has the same meaning as in the
Gambling Regulation Act 2003;';
(e) for the definition of "inspector" substitute—
' "inspector" has the same meaning as in the Gambling
Regulation Act 2003;';
(f) for the definition of "spin" substitute—
' "spin" has the same meaning as in the Gambling
Regulation Act 2003;';
(g) for the definition of "spin rate" substitute—
' "spin rate" has the same meaning as in the Gambling
Regulation Act 2003;';
(h) for the definition of "totalisator" substitute—
' "totalisator" has the same meaning as in the Gambling
Regulation Act 2003;';
(i) for the definition of "venue operator" substitute—
' "venue operator" has the same meaning as in the
Gambling Regulation Act 2003.';
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(j) the definitions of "Director" and "operator" are repealed;
(k) insert the following definitions—
' "bingo centre operator" has the same meaning as in the
Gambling Regulation Act 2003;
"Commission" means Victorian Commission for Gambling
Regulation established by the Gambling Regulation
Act 2003;
"commissioner" has the same meaning as in the Gambling
Regulation Act 2003;
"Executive Commissioner" has the same meaning as in the
Gambling Regulation Act 2003;'.
2. Section 5 is repealed.
3. In section 6—
(a) in sub-section (1), for "Gaming Machine Control Act
1991" substitute "Gambling Regulation Act 2003";
(b) in sub-section (2), for "Except to the extent (if any) that the
regulations otherwise provide, the Lotteries Gaming and
Betting Act 1966 and the Gaming No. 2 Act 1997 do"
substitute "Except to the extent (if any) that the regulations
otherwise provide, and except to the extent that Chapter 3 of
the Gambling Regulation Act 2003 otherwise provides,
that Act does".
4. In sections 7(2), 8 and 9 for "Authority" (wherever occurring)
substitute "Commission";
5. In section 10—
(a) for "Authority" (wherever occurring) substitute
"Commission".
(b) in sub-section (3) omit "and the Director".
6. Insert the following heading to section 11—
"Commission may require further information etc.".
7. In sections 11, 12 and 13, for "Authority" (wherever occurring)
substitute "Commission".
8. In section 14(3), after "Authority" insert "or the Commission".
9. In sections 15 and 16, for "Authority" (wherever occurring)
substitute "Commission".
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10. Insert the following heading to section 17—
"Commission to define casino premises".
11. In section 17, for "Authority" (wherever occurring) substitute
"Commission".
12. In sections 19, 20, 21 and 22, for "Authority" (wherever occurring)
substitute "Commission".
13. In sections 23 and 24, for "Authority" (wherever occurring)
substitute "Commission".
14. After section 24(3) insert—
"(4) A function of the Commission under this section may be
performed by the Executive Commissioner.".
15. In sections 25 and 26, for "Authority" (wherever occurring)
substitute "Commission".
16. After section 26(5) insert—
"(6) A function of the Commission under this section may be
performed by any commissioner.".
17. In sections 27 and 28 for "Authority" (wherever occurring)
substitute "Commission".
18. In section 28AA, for "Director" (where twice occurring)
substitute "Commission".
19. At the end of section 28AA insert—
"(2) A function of the Commission under this section may be
performed by any commissioner.".
20. In section 28A—
(a) for "Authority" (wherever occurring) substitute
"Commission";
(b) in sub-section (4A), for "Authority's" substitute
"Commission's".
21. After section 28A(6) insert—
"(7) A function of the Commission under this section may be
performed by the Executive Commissioner.".
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22. In section 29—
(a) for "Authority" (wherever occurring) substitute
"Commission";
(b) in sub-section (1), in the definition of "controlled contract",
in paragraph (ba), for "Roll of Suppliers under the Gaming
Machine Control Act 1991" substitute "Roll under the
Gambling Regulation Act 2003".
23. In section 30 for "Authority" (wherever occurring) substitute
"Commission".
24. After section 30(1) insert—
"(1A) A function of the Commission under sub-section (1) may be
performed by any commissioner.".
25. In sections 31, 32 and 33(c) for "Authority" (wherever occurring)
substitute "Commission".
26. In section 36, for "Authority" substitute "Commission".
27. In section 37—
(a) in the definition of "licence", for "Director" substitute
"Commission".
(b) in the definition of "special employee", in paragraph (b)(vii),
for "Authority" substitute "Commission";
28. In section 39, for "Director" (wherever occurring) substitute
"Commission".
29. After section 39(5) insert—
"(6) A function of the Commission under this section may be
performed by any commissioner.".
30. In section 40—
(a) in sub-sections (1) and (2) for "Director or the Authority"
substitute "Commission";
(b) in sub-section (4)(a) and (b) for "Authority" substitute
"Commission".
31. After section 40(5) insert—
"(6) A function of the Commission under this section may be
performed by any commissioner.".
32. In section 41 for "Director" substitute "Commission".
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33. After section 41(2) insert—
"(3) A function of the Commission under this section may be
performed by any commissioner.".
34. Insert the following heading to section 42—
"Commission may require further information".
35. In section 42—
(a) for "Director" (wherever occurring) substitute
"Commission";
(b) for "Authority" (wherever occurring) substitute
"Commission".
36. After section 42(2) insert—
"(3) A function of the Commission under this section may be
performed by any commissioner.".
37. In section 43—
(a) for "Director" (wherever occurring) substitute
"Commission";
(b) sub-sections (3), (4), (5) and (6) are repealed.
38. In section 44—
(a) for "Director" (wherever occurring) substitute
"Commission";
(b) in sub-section (3), for "he or she" substitute "it";
(c) after sub-section (3) insert—
"(4) A function of the Commission under this section may
be performed by any commissioner.".
39. In section 45, for "Director" (wherever occurring) substitute
"Commission".
40. After section 45(2) insert—
"(3) A function of the Commission under this section may be
performed by any commissioner.".
41. For section 45A substitute—
"45A. Person licensed under Gambling Regulation Act 2003
(1) A person who holds a special employee's licence, a
bingo centre employee's licence or a technician's
licence issued under the Gambling Regulation Act
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2003 may apply to the Commission under this section
for a special employee's licence under this Act.
(2) An application under sub-section (1) must be
accompanied by—
(a) the prescribed fee; and
(b) a certificate by the venue operator, gaming
operator or bingo centre operator who employs
or employed the applicant as to the competence
of the applicant to exercise the functions
specified in the certificate.
(3) The Commission, if satisfied that the authority given
to the applicant by a special employee's licence, a
bingo centre employee's licence or a technician's
licence issued under the Gambling Regulation Act
2003 is comparable to the authority conferred by a
special employee's licence under this Part, may issue
such a licence to the applicant.
(4) A function of the Commission under this section may
be performed by any commissioner.
45B. Appeals
(1) If a decision to refuse to grant an application for a
licence, or a decision to grant a licence subject to
conditions, is made by a single commissioner, the
applicant may appeal against the decision to the
Commission within 28 days of notification of the
decision.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
(3) After consideration of an appeal, the Commission
may—
(a) confirm the decision; or
(b) in the case of a decision to refuse an
application—grant the application, either
unconditionally or subject to conditions; or
(c) in the case of a decision to grant an application
subject to conditions—vary or remove the
conditions.
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(4) The decision of the Commission on an appeal—
(a) must be notified in writing to—
(i) the applicant; and
(ii) the casino operator who employs or
proposes to employ the applicant, if the
Commission knows who this is; and
(b) may include the reasons for the decision.
(5) The Commission as constituted for the purposes of
the appeal must not include the commissioner who
made the decision appealed against.".
42. In section 46, for "Director" (where twice occurring) substitute
"Commission".
43. After section 46(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
44. In section 47, for "Director" (wherever occurring) substitute
"Commission".
45. After section 47(4) insert—
"(5) A function of the Commission under this section may be
performed by any commissioner.".
46. In section 48, for "Director" substitute "Commission".
47. In section 49, for "Director" (where twice occurring) substitute
"Commission".
48. After section 49(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
49. In sections 50 and 51, for "Director" (wherever occurring)
substitute "Commission".
50. At the end of section 51 insert—
"(2) A function of the Commission under this section may be
performed by any commissioner.".
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51. For section 52 substitute—
'52. Cancellation etc. of licence
(1) In this section—
"disciplinary action" in relation to a licensee, means
any of the following—
(a) the service of a written notice on the
licensee censuring him or her for any
action specified in the notice;
(b) variation of the licence;
(c) suspension of the licence for a specified
period;
(d) cancellation of the licence;
(e) cancellation of the licence and
disqualification from obtaining or
applying for a licence or permit under
this Act or the Gambling Regulation
Act 2003 for a specified period not
exceeding 4 years;
"grounds for disciplinary action" means any of the
following grounds in respect of a licence—
(a) that the licence was improperly obtained
in that, when it was granted there were
grounds for refusing it;
(b) that the licensee has been convicted or
found guilty of—
(i) an offence against this Act, the
Gambling Regulation Act 2003
or an offence against regulations
made under either Act; or
(ii) an offence arising out of or in
connection with the employment
of the licensee under either Act; or
(iii) whether or not in Victoria, an
offence involving fraud or
dishonesty punishable on
conviction by imprisonment for
3 months or more (whether or not
in addition to a fine);
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(c) that the licensee has contravened a
condition of the licence;
(d) that the licensee has failed to provide
information that he or she is required by
this Act to provide or has provided
information knowing it to be false or
misleading;
(e) that the licensee has become bankrupt,
applied to take the benefit of any law
relating to bankrupt or insolvent debtors,
has compounded with his or her creditors
or made an assignment of his or her
remuneration for their benefit;
(f) that for any reason, the licensee is not a
suitable person to be the holder of the
licence.
(2) The Commission may inquire into whether
there are grounds for disciplinary action against
a licensee.
(3) If the Commission decides that disciplinary
action be taken against the licensee, the
Commission must give the licensee notice of
the recommendation and at least 14 days to
make submissions to the Commission on the
matter.
(4) The Commission must consider any
submissions made by the licensee within the
time allowed and is to decide whether to take
disciplinary action against the licensee.
(5) If the Commission decides that there are
grounds for disciplinary action against a
licensee, the Commission may take the action
and does so by giving notice in writing of the
action to the licensee.
(6) The disciplinary action takes effect when the
notice is given or on a later date specified in the
notice.'.
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52. In section 53—
(a) for "Director" (where twice occurring) substitute
"Commission";
(b) for paragraph (a) substitute—
"(a) an offence against this Act, the Gambling
Regulation Act 2003 or an offence against
regulations made under either of these Acts; or".
53. At the end of section 53 insert—
"(2) A function of the Commission under this section may be
performed by any commissioner.".
54. For section 54(2) substitute—
"(2) The Commission may, at any time, terminate or reduce a
period of suspension of a licence.
(3) A function of the Commission under this section may be
performed by any commissioner.".
55. In section 54A for "Director" substitute "Commission".
56. In section 55 for "Authority" substitute "Commission".
57. In section 56 for "Director" (wherever occurring) substitute
"Commission".
58. After section 56(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
59. In section 57 for "Director" (where twice occurring) substitute
"Commission".
60. At the end of section 57 insert—
"(2) A function of the Commission under this section may be
performed by any commissioner.".
61. In section 58 for "Director" (wherever occurring) substitute
"Commission".
62. After section 58(4) insert—
"(5) A function of the Commission under this section may be
performed by any commissioner.".
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63. After section 58 insert—
'58A. Compulsory training for special employees in relation to
gaming machines
(1) A licensee who performs any of the functions of a
special employee in relation to gaming machines must
complete—
(a) an approved training course within the first
6 months after starting his or her employment
as a special employee; and
(b) an approved refresher course at least once every
3 years following completion of the approved
training course.
(2) A casino operator must ensure that a person employed
by the casino operator as a special employee does not
perform any of the functions of a special employee in
relation to gaming machines if the person has not
complied with sub-section (1).
Penalty: 20 penalty units.
(3) The courses required by this section are in addition to
those required by section 58.
(4) In this section—
"approved refresher course" has the same meaning
as in section 3.4.54 of the Gambling
Regulation Act 2003;
"approved training course" has the same meaning
as in section 3.4.54 of the Gambling
Regulation Act 2003.'.
64. Insert the following heading to section 59—
"Casino layout to be as approved by Commission".
65. In section 59 for "Director" (wherever occurring) substitute
"Commission".
66. After section 59(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
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67. For section 60(1) substitute—
"(1) The Commission may, by notice published in the
Government Gazette, approve the games that may be played
in a casino (other than games to be played on a gaming
machine) and the rules for those games.
Note: Games to be played on gaming machines in a casino
are approved under section 3.5.4 of the Gambling
Regulation Act 2003.".
68. In section 60(1A) and (1B) for "Authority" substitute
"Commission".
69. In section 61 for "Authority" (wherever occurring) substitute
"Commission".
70. In section 62—
(a) for "Director" (wherever occurring) substitute
"Commission";
(b) in sub-section (4)(b), for "Authority" substitute
"Commission".
71. In section 62(2A) for "Roll of Suppliers under the Gaming
Machine Control Act 1991, being a person referred to in
section 63(1A) of that Act" substitute "Roll under the Gambling
Regulation Act 2003, being a person referred to in
section 3.4.61(1)(c) of that Act".
72. After section 62(5) insert—
"(6) A function of the Commission under this section may be
performed by any commissioner.".
73. In section 62A(1) for "Gaming Machine Control Act 1991"
substitute "Gambling Regulation Act 2003".
74. In sections 62AB(4), 62AC and 62B for "Authority" substitute
"Commission".
75. In section 63(1) for "Director" (where twice occurring) substitute
"Commission".
76. After section 63(2) insert—
"(3) A function of the Commission under this section may be
performed by any commissioner.".
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77. In section 64—
(a) for "Director" (where twice occurring) substitute
"Commission";
(b) for "Authority" (wherever occurring) substitute
"Commission".
78. After section 64(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
79. In section 65 for "Authority" (wherever occurring) substitute
"Commission".
80. After section 65(3) insert—
"(4) A function of the Commission under this section may be
performed by any commissioner.".
81. For section 66(1) substitute—
"(1) A casino operator must—
(a) display a notice in accordance with sub-section (1A)
informing patrons where a copy of rules under
section 60 may be inspected; and
(b) display prominently in the casino—
(i) the advice or information concerning those
rules, the mode of payment of winning wagers
and the odds of winning each wager; and
(ii) any other advice or information to the player—
as the Commission directs; and
(c) display prominently at each gaming table or location
related to the playing of a game, a sign indicating the
permissible minimum and maximum wagers
pertaining to the game played there.
Penalty: 25 penalty units.
(1A) The notice must—
(a) be in the form approved by the Commission; and
(b) contain the information determined by the
Commission; and
(c) be displayed in the manner or location determined by
the Commission.
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(1B) A casino operator must allow a patron to inspect a copy of
the rules on request.
Penalty: 25 penalty units.".
82. After section 66(2) insert—
"(3) A function of the Commission under this section may be
performed by any commissioner.".
83. In section 68 for "Authority" (wherever occurring) substitute
"Commission".
84. Section 69 is repealed.
85. In section 70(2) after "this Act" insert "or the Gambling
Regulation Act 2003".
86. In section 71, for "Authority, the Director" (where twice
occurring) substitute "Commission".
87. After section 71(5) insert—
"(6) A function of the Commission under this section may be
performed by any commissioner.".
88. In section 72—
(a) in sub-section (1) and (2A) for "Director" substitute
"Commission";
(b) in sub-section (2B) for "Authority" substitute
"Commission";
(c) in sub-section (3) for "Authority and the Director"
substitute "Commission".
89. After section 72(4) insert—
"(5) A function of the Commission under this section may be
performed by any commissioner.".
90. For section 73 substitute—
"73. Appeal to Commission
(1) If a written order under section 72 prohibiting the
person from entering or remaining in a casino is made
by—
(a) a single commissioner; or
(b) a casino operator; or
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(c) a person for the time being in charge of a
casino—
the person receiving the order may appeal against the
order to the Commission within 28 days of receipt of
the written order.
(2) An appeal must—
(a) be in writing; and
(b) specify the grounds on which it is made.
(3) After consideration of an appeal, the Commission
may, by order—
(a) reject the appeal and confirm the order; or
(b) allow the appeal (in whole or part) and
substitute a new order or vary the order.
(4) An order of the Commission on an appeal—
(a) must be notified in writing to the person; and
(b) must include the reasons for its decision to
make the order.
(5) Nothing in this section prejudices the right of the
Commission, a casino operator or a person in charge
of a casino to make a further order in respect of that
person for a reason considered sufficient by the
Commission, casino operator or person in charge.
(6) An appeal against an order does not affect the
operation of the decision or prevent the taking of
action to implement the order.
(7) In the case of an appeal against an order made by a
single commissioner, the Commission as constituted
for the purposes of the appeal must not include that
commissioner.".
91. In sections 74 and 75, for "Director" (wherever occurring)
substitute "Commission".
92. For section 76(3) substitute—
"(3) A person must not provide any part of a list prepared under
sub-section (1) to any person except—
(a) the casino operator; or
(b) a casino employee; or
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(c) the Commission; or
(d) an inspector; or
(e) a person approved by the Commission for the
purpose.
Penalty: 10 penalty units.".
93. In section 76(4), for "Director" substitute "Commission".
94. After section 78A insert—
"78B. Forfeiture of winnings
(1) This section applies to a person who is—
(a) subject to an exclusion order; or
(b) subject to an interstate exclusion order; or
(c) a minor.
(2) If a person to whom this section applies enters or
remains in a casino in contravention of this Act, all
winnings (including linked jackpots) paid or payable
to the person in respect of gaming on gaming
machines or playing any game approved under
section 60 in the casino—
(a) are forfeited to the State; and
(b) must be paid to the Commission for payment
into the Community Support Fund under the
Gambling Regulation Act 2003.
(3) If winnings referred to in sub-section (2) comprise or
include a non-monetary prize, the casino operator
must pay the value of that prize to the Commission for
payment into the Community Support Fund under the
Gambling Regulation Act 2003.
(4) In determining the value of a non-monetary prize for
the purposes of sub-section (3), any amount of GST
payable in respect of the supply to which the prize
relates is to be taken into account.
(5) Any dispute between a person to whom this section
applies and a casino operator as to the amount of
winnings forfeited under this section must be
investigated and determined by an inspector.".
95. In sections 79A(2) and 81AAB(2) for "Authority" substitute
"Commission".
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96. In section 81A—
(a) in sub-section (1) for "Gaming and Betting Act 1994"
substitute "Gambling Regulation Act 2003";
(b) in sub-section (3)(a) for "licensee or operator under the
Gaming and Betting Act 1994" substitute "holder of the
wagering licence or the wagering operator under the
Gambling Regulation Act 2003".
97. In section 81D for "Gaming and Betting Act 1994" substitute
"Gambling Regulation Act 2003".
98. In section 81F for "Director" (wherever occurring) substitute
"Commission".
99. In section 81H for "Authority" (wherever occurring) substitute
"Commission".
100. In sections 81J(7) and 81L(2) for "Authority" substitute
"Commission".
101. In sections 82 and 89 for "Authority" substitute "Commission".
102. Division 2 of Part 7 is repealed.
103. Sections 102, 103 and 104 are repealed.
104. In section 105(1) after "this Act" (where twice occurring) insert
"or the Gambling Regulation Act 2003".
105. In section 106—
(a) after "follows" insert "(in addition to any functions under
the Gambling Regulation Act 2003)";
(b) in paragraph (a), for "Authority or the Director" substitute
"Commission";
(c) in paragraph (d), for "section 107" substitute
"section 10.5.11 of the Gambling Regulation Act 2003";
(d) in paragraph (e), for "Director" substitute "Commission";
(e) in paragraph (f), for "such" substitute "any".
106. Sections 107, 108, 109 and 110 are repealed.
107. In section 112A(1) for "Director" substitute "Commission".
108. Section 112B is repealed.
109. In sections 113 and 114 for "Director" substitute "Commission".
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110. In section 114A—
(a) for "Director" substitute "Commission";
(b) for "Authority" substitute "Commission".
111. In section 115 for "Authority" substitute "Commission".
112. In section 116 for "Authority" (where twice occurring) substitute
"Commission".
113. In section 120 for "Authority" substitute "Commission".
114. In section 121—
(a) in sub-sections (1) and (2), for "Authority" substitute
"Commission";
(b) sub-section (2A) is repealed.
115. In section 122—
(a) in sub-section (1)(v), for "services." substitute "services;";
(b) after sub-section (1)(v) insert—
"(w) procedures for the promotion and conduct of junkets
or premium player arrangements.".
116. In section 123, for "Authority" (wherever occurring) substitute
"Commission".
117. After section 123(4) insert—
"(5) A function of the Commission under this section may be
performed by any commissioner.".
118. In sections 125, 126, 127 and 128 for "Authority" (wherever
occurring) substitute "Commission".
119. In the heading to Part 10 for "AUTHORITY" substitute
"COMMISSION".
120. Insert the following heading to section 140—
"Object of the Commission".
121. In section 140 for "Authority" substitute "Commission".
122. Insert the following heading to section 141—
"Functions of the Commission".
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123. In section 141—
(a) sub-section (1) is repealed;
(b) in sub-section (2)—
(i) for "Authority" substitute "Commission";
(ii) for "proposed by the Director" substitute "of the
Commission".
(c) for sub-section (2)(c) substitute—
"(c) must do all things it is authorised or required to do
under this Act, including but not limited to—
(i) supervising directly the operation of casinos
and the conduct of gaming and betting within
them;
(ii) ensuring that the handling and counting of
money in casinos is supervised;
(iii) detecting offences committed in or in relation
to casinos;
(iv) receiving and investigating complaints from
casino customers concerning the conduct of
gaming or betting in the casino;
(v) investigating the antecedents of applicants for
licences;
(vi) checking casino records as required;
(vii) inspecting, testing and approving gaming
equipment and chips used in casinos;
(viii) ensuring that the taxes, charges and levies
payable under this Act are paid;
(ix) preparing and giving to the Minister such
reports concerning the operation of casinos and
the conduct of gaming and betting in them as
the Commission thinks fit or as the Minister
may request.".
124. In section 142(3), after "Authority" insert "or the Commission".
125. Sections 143, 144, 145 and 146 are repealed.
126. In section 150A(1) for "Authority" substitute "Commission".
127. Sections 151, 151A, 152, 153 and 153A are repealed.
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128. For section 153B substitute—
"153B. Forgery and impersonation
A person must not—
(a) forge or counterfeit chips, a chip purchase
voucher, a licence under this Act or a special
employee's form of identification; or
(b) knowingly utter counterfeit chips or knowingly
utter a forged or counterfeit chip purchase
voucher, a licence under this Act or a special
employee's form of identification; or
(c) impersonate the holder of such a licence or
form of identification.
Penalty: 100 penalty units or imprisonment for
2 years or both.".
129. Section 154 is repealed.
130. In section 155—
(a) for "Director" substitute "Commission";
(b) for "Authority" (wherever occurring) substitute
"Commission".
131. Sections 157, 158, 159, 160, 161, 162, 163 and 164 are repealed.
132. In section 166 for "Authority" (wherever occurring) substitute
"Commission".
133. In section 167—
(a) in sub-section (1)(1) for "Authority" (where twice
occurring) substitute "Commission";
(b) in sub-section (2) for "Director" substitute "Commission".
134. For section 168 substitute—
"168. Transitional provisions for the Gambling Regulation Act
2003
Schedule 3 has effect.".
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135. After Schedule 2 insert—
'SCHEDULE 3
Section 168
TRANSITIONALS—GAMBLING REGULATION
ACT 2003
1. Definition
In this Schedule, "commencement day" means the
day on which section 12.1.2 of the Gambling
Regulation Act 2003 comes into operation.
2. Licensing of casinos
(1) A notice given by the Authority under section 11(1)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 11(1).
(2) Written particulars verified by statutory declaration
given by an applicant to the Authority under section
12(1) prior to the commencement day are taken, on
and after that day, to be written particulars given to
the Commission under section 12(1).
(3) Information required by the Authority under section
12(1A) prior to the commencement day is taken, on
and after that day, to be information required by the
Commission under section 12(1A).
(4) A determination made or notification given by the
Authority under section 13(1) immediately before the
commencement day is taken, on and after that day, to
be a determination made or notification given by the
Commission under section 13(1).
(5) A request made to or an amendment proposed by the
Authority under section 16(2) before the
commencement day is taken, on and after that day, to
be a request made to or an amendment proposed by
the Commission under section 16(2).
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(6) A notice given by the Authority under section 17(4)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 17(4).
(7) A notice given by the Authority under section 20(2)
or (4) that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 20(2) or (4).
3. Supervision and control of casino operators
(1) A direction given by the Authority under section
23(1) immediately before the commencement day is
taken, on and after that day, to be a direction given by
the Commission under section 23(1).
(2) A notice given by the Authority under section 26(1)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 26(1).
(3) A notice given by the Authority under section 28A(3)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 28A(3).
(4) A notice given by the Authority under section
28A(4A)(a) or (b) that was in force immediately
before the commencement day is taken, on and after
that day, to be a notice given by the Commission
under section 28A(4A)(a) or (b).
(5) A notice given by the Authority under section
28A(4B) that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 28A(4B).
(6) A notice given by the Authority under section 28A(5)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 28A(5).
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4. Controlled contracts
(1) A notice given by the Authority under section
29(1)(c) or (d) that was in force immediately before
the commencement day is taken, on and after that day,
to be a notice given by the Commission under
section 29(1)(c) or (d) (as the case requires).
(2) A notice given by the Authority under section 29(1A)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 29(1A).
(3) A notice given by the Authority under section 29(1B)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 29(1B).
(4) A notice given by an operator to the Authority under
section 30(1)(a) or (b) that was in force immediately
before the commencement day is taken, on and after
that day, to be a notice given by that operator to the
Commission under section 30(1)(a) or (b) (as the case
requires).
(5) Notification given by the Authority under section
30(2) or (3) that was in force immediately before the
commencement day is taken, on and after that day, to
be notification given by the Commission under
section 30(2) or (3).
(6) A notice given by an operator to the Authority under
section 31 that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by that operator to the Commission
under section 31.
(7) A notice served by the Authority under section 32(1)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice served by the Commission under
section 32(1).
5. Licensing of casino employees
(1) An application made to the Director under section 39
immediately before the commencement day is taken
to be an application made to the Commission under
section 39.
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(2) A notice given by the Director or the Authority under
section 40(2) that was in force immediately before the
commencement day is taken to be a notice given by
the Commission under section 40(2).
(3) A notice or direction given by the Director or the
Authority under section 42 that was in force
immediately before the commencement day is taken
to be a notice given by the Commission under
section 42.
(4) In deciding an application under section 44, the
Commission may take into account any investigation
into that application by the Director before the
commencement day.
(5) An application made to the Director under
section 45A immediately before the commencement
day is taken to be an application made to the
Commission under section 45A.
(6) A provisional licence under section 47 (as in force
immediately before the commencement day) that was
in force immediately before the commencement day is
taken, on and after that day, to be a provisional
licence under section 47 as amended by the
Gambling Regulation Act 2003 subject to any
conditions to which the licence was subject
immediately before that commencement.
(7) An exemption given by the Director under
section 46(2) that was in force immediately before the
commencement day is taken on and after that day to
be an exemption given by the Commission under
section 46(2).
(8) An application for a new licence made to the Director
under section 49 that was made before the
commencement date is taken, on and after that day, to
be an application for a new licence made to the
Commission under section 49.
(9) An application for variation of a licence made to the
Director under section 50 that was made before the
commencement date is taken, on and after that day, to
be an application for variation made to the
Commission under section 50.
(10) In determining whether to take any disciplinary action
under section 52, the Commission may have regard to
any inquiry undertaken by the Director, or any
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recommendation made by the Director, under that
section before the commencement day.
(11) Suspension of a licence of a licensee by the Director
by notice under section 53 that was made before the
commencement date is taken, on and after that day, to
be an application for suspension of a licence by the
Commission under section 53.
(12) A notification, approval of a form or specification of
dates by the Authority or the Director under
section 56 that was in force immediately before the
commencement day is taken, on and after that day, to
be a notification, approval or specification by the
Commission under section 56.
(13) A specification of the Director under section 57 that
was in force immediately before the commencement
day is taken, on and after that day, to be a
specification by the Commission under section 57.
(14) An approval of the Director under section 58 that was
in force immediately before the commencement day is
taken, on and after that day, to be an approval of the
Commission under section 58.
(15) Section 58A does not operate so as to impose an
obligation on a licensee, or to make a casino operator
guilty of an offence, before the first anniversary of the
day on which the Commission first approves a
training course under section 3.4.54(3) of the
Gambling Regulation Act 2003.
6. Casino Operations
(1) An approval of the Director under section 59 that was
in force immediately before the commencement day is
taken, on and after that day, to be an approval of the
Commission under section 59.
(2) An approval of the Authority under section 60 that
was in force immediately before the commencement
day is taken, on and after that day, to be an approval
of the Commission under section 60.
(3) A direction given by the Authority under
section 61(1) immediately before the commencement
day is taken, on and after that day, to be a direction
given by the Commission under section 61(1).
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(4) An approval of the Director under section 62 that was
in force immediately before the commencement day is
taken, on and after that day, to be an approval of the
Commission under section 62.
(5) A notice of the Authority published in the
Government Gazette under section 62AB(4) before
the commencement day is taken, on and after that day,
to be a notice given by the Commission under
section 62AB(4).
(6) A notice of the Authority published in the
Government Gazette under section 62AC(2) before
the commencement day is taken, on and after that day,
to be a notice given by the Commission under
section 62AC(2).
(7) An approval of the Authority under section 62B that
was in force immediately before the commencement
day is taken, on and after that day, to be an approval
of the Commission under section 62B.
(8) A direction of the Director under section 63(1) that
was in force immediately before the commencement
day is taken, on and after that day, to be a direction
given by the Commission under section 63(1).
(9) An approval of the Director or Authority under
section 64 that was in force immediately before the
commencement day is taken, on and after that day, to
be an approval of the Commission under section 64.
(10) A direction of the Authority under section 65 that was
in force immediately before the commencement day is
taken, on and after that day, to be a direction of the
Commission under section 65.
(11) A direction of the Director under section 66(1)(b) that
was in force immediately before the commencement
day is taken, on and after that day, to be a direction of
the Commission under section 66(1)(b).
(12) An approval of the Authority under section 68(2)(e)
that was in force immediately before the
commencement day is taken, on and after that day, to
be an approval of the Commission under
section 68(2)(e).
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(13) A notice given by the Authority under section 68(7)
that was in force immediately before the
commencement day is taken to be a notice given by
the Commission under section 68(7).
(14) An authorisation given by the Authority or Director
under section 71(2) that was in force immediately
before the commencement day is taken, on and after
that day, to be an authorisation given by the
Commission under section 71(2).
(15) An order given by the Director under section 72 that
was in force immediately before the commencement
day is taken, on and after that day, to be an order
given by the Commission under section 72.
(16) An appeal to the Authority under section 73(1) that
was made before the commencement day, but not yet
decided under section 73(5), is taken to be an appeal
to the Commission under section 73(1).
(17) An authorisation given by the Authority under
section 79A(2) that was in force immediately before
the commencement day is taken, on and after that day,
to be an authorisation given by the Commission under
section 79A(2).
(18) A notice of the Authority published in the
Government Gazette under section 81AAB(2) before
the commencement day is taken, on and after that day,
to be a notice given by the Commission under
section 81AAB(2).
7. Minors
(1) A notice of acceptable evidence given by the
Authority under section 82 that was in force
immediately before the commencement day is taken,
on and after that day, to be a notice of acceptable
evidence given by the Commission under section 82.
(2) A direction of the Authority under section 89(1) that
was in force immediately before the commencement
day is taken, on and after that day, to be a direction of
the Commission under section 89(1).
8. Casino internal controls
(1) An approval of the Authority under section 121 that
was in force immediately before the commencement
day is taken, on and after that day, to be an approval
of the Commission under section 121.
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(2) An approval or requirement of the Authority under
section 123(1) that was in force immediately before
the commencement day is taken, on and after that day,
to be an approval or requirement (as the case requires)
of the Commission under section 123(1).
(3) A determination of a financial year by the Authority
under section 125 or 127 that was in force
immediately before the commencement day is taken,
on and after that day, to be a determination of a
financial year by the Commission under section 125
or 127 (as the case requires).
(4) An exemption granted by the Authority under
section 126(2) that was in force immediately before
the commencement day is taken, on and after that day,
to be an exemption granted by the Commission under
section 126(2).
(5) An approval of a person by the Authority under
section 127 that was in force immediately before the
commencement day is taken, on and after that day, to
be an approval of the person by the Commission
under section 127.
(6) A notice given by the Authority under section 128(2)
that was in force immediately before the
commencement day is taken, on and after that day, to
be a notice given by the Commission under
section 128(2).
9. General
(1) Consent of the Authority under section 150A before
the commencement day is taken, on and after that day,
to be consent of the Commission under section 150A.
(2) A direction of the Authority under section 166(1) that
was in force immediately before the commencement
day is taken, on and after that day, to be a direction of
the Commission under section 166(1).'.
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SCHEDULE 6
Section 12.1.3
FURTHER CONSEQUENTIAL AMENDMENTS
1. Audit Act 1994
For section 20B(2)(c) substitute—
"(c) a function of an agency that is, has been or is to be
carried out under the Gambling Regulation Act
2003.".
2. Casino (Management Agreement) Act 1993
2.1 In section 4, for the definition of "Authority" substitute—
' "Commission" means Victorian Commission for
Gambling Regulation established by the Gambling
Regulation Act 2003;'.
2.2 In section 6(2), for "Authority" substitute "Commission".
2.3 For section 6(3) substitute—
"(3) A reference in clause 24.1 of the Agreement to the
Gaming Machine Control Act 1991, the Lotteries
Gaming and Betting Act 1966, the Tattersall
Consultations Act 1958 or the Club Keno Act 1993
must, so far as it relates to any period on or after the
commencement of section 12.2.1 of the Gambling
Regulation Act 2003, be construed as a reference to
the Gambling Regulation Act 2003.".
2.4 In sections 8, 9 and 10, for "Authority" (wherever occurring)
substitute "Commission".
2.5 In section 11(2), for "Director of Casino Surveillance
appointed under the Casino Control Act 1991" substitute
"Commission".
2.6 In section 12, for "Authority" substitute "Commission".
3. Confiscation Act 1997
In Schedule 1, for items 10, 11, 12 and 13 substitute—
"10. An offence against any of the following provisions of
the Gambling Regulation Act 2003—
(a) section 2.2.1(2) (lotteries prohibited);
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(b) section 2.5.2(1) (owning or occupying betting
house);
(c) section 2.5.5 (exhibiting placards or advertising
betting houses);
(d) section 2.5.6 (advertising as to betting);
(e) section 2.5.8(1) (betting in street etc.);
(f) section 2.5.12 (making bet with or inviting
minor to bet an offence);
(g) section 2.5.14 (offences in respect of
totalisators);
(h) section 2.5.15(1) (publication etc. of
information concerning betting etc.);
(i) section 2.5.17(1) (posting up betting placards
and notices);
(j) section 2.5.18(1) (communicating certain racing
information while race meeting is being held);
(k) section 2.6.1(1) (possession of instrument of
betting);
(l) section 3.4.68(1) or (2) (payments to venue
operator by manufacturer or supplier of gaming
equipment);
(m) section 3.5.28(1), (2), (3) or (4) (inducements,
cheating etc.);
(n) section 3.5.31 (extending credit for playing
gaming machine);
(o) section 4.7.5(1) or (2) (inducements, cheating
etc.);
(p) section 4.7.6 (extending credit etc.);
(q) section 8.2.2(b) (conducting session of bingo
games otherwise than in accordance with Act
and minor gaming permit);
(r) section 10.5.17 (impersonation of inspector or
commissioner);
(s) section 10.5.18(1) or (2) (bribery of authorised
person).".
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4. Electoral Act 2002
In section 206(1), in the definition of "relevant licence", for
paragraphs (b) and (c) substitute—
"(b) section 3.4.29 or 4.3.8 of the Gambling Regulation
Act 2003;".
5. Fundraising Appeals Act 1998
In section 5(3)(a)(ii), for "Gaming No. 2 Act 1997"
substitute "Gambling Regulation Act 2003".
6. Health Services Act 1988
In section 136(2)(c), for "Public Lotteries Act 2000"
substitute "Gambling Regulation Act 2003".
7. Judicial Proceedings Reports Act 1958
In section 3(2), for "section 3 of the Lotteries Gaming and
Betting Act 1966" substitute "section 1.3 of the Gambling
Regulation Act 2003".
8. Legal Practice Act 1996
In section 258, for "section 67 of the Lotteries Gaming and
Betting Act 1966" substitute "section 2.6.3 of the
Gambling Regulation Act 2003".
9. Liquor Control Reform Act 1998
9.1 In section 3(1), for the definition of "venue operator's
licence" substitute—
' "venue operator's licence" has the same meaning as in
the Gambling Regulation Act 2003;'.
9.2 In section 108(3)—
(a) in paragraph (b), for "section 11A(1)(b) of the
Lotteries Gaming and Betting Act 1966" substitute
"section 2.3.2(1)(b) of the Gambling Regulation Act
2003";
(b) in paragraph (c), for "section 11A(3) of the Lotteries
Gaming and Betting Act 1966" substitute
"section 2.3.2(1)(b) of the Gambling Regulation Act
2003".
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9.3 In section 115(2)—
(a) for paragraph (b)(i) and (ii) substitute—
"(i) a betting facility of the holder of the wagering
licence or the wagering operator under
Chapter 4 of the Gambling Regulation Act
2003 is established in the premises; and
(ii) the betting takes place through that licence
holder or wagering operator; or";
(b) in paragraph (c)(i), for "section 11A(1)(b) of the
Lotteries Gaming and Betting Act 1966" substitute
"section 2.3.2(1)(b) of the Gambling Regulation Act
2003";
(c) in paragraph (d)(ii), for "section 11A(3) of the
Lotteries Gaming and Betting Act 1966" substitute
"section 2.3.2(3) of the Gambling Regulation Act
2003".
9.4 In section 175(1), for "sections 48 to 59 of the Lotteries
Gaming and Betting Act 1966" substitute "Sections 2.5.24
to 2.5.38 of the Gambling Regulation Act 2003".
9.5 In Schedule 3, in clause 9, for "Gaming Machine Control
Act 1991" (where secondly occurring) substitute
"Gambling Regulation Act 2003".
10. Racing Act 1958
10.1 In section 3(1)—
(a) the definition of "Authority" is repealed;
(b) insert the following definition—
' "Commission" means Victorian Commission for
Gambling Regulation established by the
Gambling Regulation Act 2003;'.
10.2 In section 4—
(a) in sub-section (1), for "Lotteries Gaming and
Betting Act 1966" (where first occurring) substitute
"Gambling Regulation Act 2003";
(b) in sub-section (1), for "section 40 of the Lotteries
Gaming and Betting Act 1966" substitute
"section 2.5.16(1)(b) of the Gambling Regulation
Act 2003".
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10.3 In section 5A, for "Lotteries Gaming and Betting Act
1966" substitute "Gambling Regulation Act 2003".
10.4 In section 22—
(a) for "Lotteries Gaming and Betting Act 1966"
(where first occurring) substitute "Gambling
Regulation Act 2003";
(b) in paragraph (b)(i), for "Lotteries Gaming and
Betting Act 1966" substitute "Gambling
Regulation Act 2003";
(c) paragraph (b)(ii) is repealed.
10.5 In section 44AA(1), for "Gaming Machine Control Act
1991" substitute "Gambling Regulation Act 2003".
10.6 In section 52A(7), for "Division 4 of Part IV of the
Lotteries Gaming and Betting Act 1966" substitute
"section 84".
10.7 In section 84—
(a) in the definition of "bookmaker's betting turnover", in
paragraph (b), for "Part 2 of the Gaming and Betting
Act 1994" substitute "Part 3 of Chapter 4 of the
Gambling Regulation Act 2003";
(b) for the definition of "promoter" substitute—
' "promoter" means the person or body that has the
control, direction, conduct or management of
any sports and occupying or having authority to
occupy the sports ground on which the sports
are played;';
(c) for the definition of "race-course" substitute—
' "race-course" has the same meaning as
"racecourse" has in section 2.1.2 of the
Gambling Regulation Act 2003;';
(d) for the definition of "sports" substitute—
' "sports" means bicycle races, foot races, coursing
matches, dog races (other than greyhound
races), cricket matches, football matches or any
other game, exercise, pastime or contest (other
than a horse race) to which persons commonly
resort as spectators;';
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(e) for the definition of "sports ground" substitute—
' "sports ground" means any land to which persons
are admitted, either at all times or only at
certain times and whether on payment of an
entrance fee or otherwise, for the purpose of
taking part in or watching any sports;'.
10.8 In section 94A—
(a) for "section 38 of the Lotteries Gaming and Betting
Act 1966" (wherever occurring) substitute
"section 2.5.10 of the Gambling Regulation Act
2003";
(b) in sub-section (11), in the definition of "relevant
authority", in paragraph (d), for "section 38(2) of that
Act" substitute "that section".
11. Retail Leases Act 2003
In section 33(4)(k), for "Public Lotteries Act 2000"
substitute "Gambling Regulation Act 2003".
12. State Sport Centres Act 1994
In section 3, for the definition of "gaming" substitute—
' "gaming" means gaming on a gaming machine within the
meaning of the Gambling Regulation Act 2003;'.
13. Tobacco Act 1987
13.1 In section 3—
(a) in the definitions of "approved venue", "gaming
machine" and "gaming machine area", for "Gaming
Machine Control Act 1991" substitute "Gambling
Regulation Act 2003";
(b) in the definitions of "bingo", "bingo centre" and
"retail shopping centre", for "Gaming No. 2 Act
1997" substitute "Gambling Regulation Act 2003";
(c) in the definition of "minor gaming permit", for
"section 15 of the Gaming No. 2 Act 1997"
substitute "Division 2 of Part 3 of Chapter 8 of the
Gambling Regulation Act 2003";
(d) in the definition of "TAB area"—
(i) for "Gaming and Betting Act 1994"
substitute "Gambling Regulation Act 2003";
(ii) for "Part 2" substitute "Part 3 of Chapter 4".
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13.2 In section 13(1)(b), for "Gaming No. 2 Act 1997"
substitute "Gambling Regulation Act 2003".
13.3 In section 42AA—
(a) in sub-section (1), the definitions of "Authority" and
"Director" are repealed;
(b) insert the following definition in sub-section (1)—
' "Commission" means Victorian Commission for
Gambling Regulation established by the
Gambling Regulation Act 2003;';
(c) sub-section (2) is repealed;
(d) in sub-section (3)—
(i) for "Authority" (where twice occurring)
substitute "Commission";
(ii) for "Part 2A of the Gaming Machine Control
Act 1991" substitute "Part 3 of Chapter 3 of
the Gambling Regulation Act 2003";
(e) in sub-section (4)—
(i) for "Director" (where twice occurring)
substitute "Commission";
(ii) for "section 29 of the Gaming Machine
Control Act 1991" substitute "section 3.3.17
of the Gambling Regulation Act 2003";
(f) in sub-section (5)—
(i) for "Authority" (where twice occurring)
substitute "Commission";
(ii) for "Part 2A of the Gaming Machine Control
Act 1991" substitute "Part 3 of Chapter 3 of
the Gambling Regulation Act 2003";
(g) in sub-section (6)—
(i) for "Part 2A of the Gaming Machine Control
Act 1991" substitute "Part 3 of Chapter 3 of
the Gambling Regulation Act 2003";
(ii) for "Authority" substitute "Commission";
(h) in sub-section (7), for "Gaming Machine Control
Act 1991" substitute "Gambling Regulation Act
2003".
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SCHEDULE 7
Section 12.2.1
TRANSITIONAL PROVISIONS
PART 1—INTRODUCTION
1.1 Definitions
In this Schedule—
"Authority" means the Victorian Casino and Gaming
Authority established by section 82 of the Gaming
and Betting Act 1994;
"commencement day" means the day on which
section 12.2.1 comes into operation;
"Director" means Director of Gaming and Betting under
Part 9 of the Gaming and Betting Act 1994;
"Director of Casino Surveillance" means Director of
Casino Surveillance under section 94 of the Casino
Control Act 1991;
"superseded Act" means—
(a) the Club Keno Act 1993;
(b) the Gaming and Betting Act 1994;
(c) the Gaming Machine Control Act 1991;
(d) the Gaming No. 2 Act 1997;
(e) the Interactive Gaming (Player Protection)
Act 1999;
(f) the Lotteries Gaming and Betting Act 1966;
(g) the Public Lotteries Act 2000;
(h) the TT-Line Gaming Act 1993.
1.2 General transitional provisions
(1) Except where the contrary intention appears, this Schedule
does not affect or take away from the Interpretation of
Legislation Act 1984.
(2) If a provision of a superseded Act continues to apply by
force of this Schedule, the following provisions also
continue to apply in relation to that provision—
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(a) any other provisions of the superseded Act necessary
to give effect to that continued provision; and
(b) any regulations made under the superseded Act for the
purposes of that continued provision.
1.3 Savings and transitional regulations
The regulations may contain provisions of a savings and
transitional nature consequent on the repeal of a superseded
Act.
PART 2—GENERAL PROHIBITION ON GAMBLING
2.1 Unlawful lotteries and games
(1) An approval by the Minister of the conduct of Calcutta
Sweepstakes under section 6 of the Gaming No. 2 Act 1997
that was in force immediately before the commencement
day is taken, on and after that day, to be an approval of the
Minister under section 2.2.9 subject to any conditions to
which the approval was subject immediately before that day.
(2) An approval by the Minister under section 11A(1)(b) or
(3)(c) of the Lotteries Gaming and Betting Act 1966 that
was in force immediately before the commencement day is
taken, on and after that day, to be an approval of the
Minister under section 2.3.2(1)(b) or (3)(c) (as the case
requires).
2.2 Betting offences
(1) An approval by the authorized officer under section 38(2) of
the Lotteries Gaming and Betting Act 1966 that was in
force immediately before the commencement day is taken,
on and after that day, to be an approval by a prescribed
person under section 2.5.10(1)(b).
(2) An approval by the Minister of a group of races under the
further proviso to section 40(1) of the Lotteries Gaming
and Betting Act 1966 that was in force immediately before
the commencement day is taken, on and after that day, to be
an approval of the Minister under section 2.5.16(1)(b).
(3) An approval by the Minister under section 42A(2) of the
Lotteries Gaming and Betting Act 1966 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the Minister under
section 2.5.19(2) subject to any conditions to which the
approval was subject immediately before that day.
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2.3 Common gaming houses
(1) A special warrant issued under section 45 of the Lotteries
Gaming and Betting Act 1966 that was in force
immediately before the commencement day is taken, on and
after that day, to be a special warrant issued under
section 2.5.21(2).
(2) A notice to quit served under section 49(1) of the Lotteries
Gaming and Betting Act 1966 that was in force
immediately before the commencement day is taken, on and
after that day, to be a notice to quit served under
section 2.5.25(1).
(3) A declaration by the Magistrates' Court under section 51(4)
of the Lotteries Gaming and Betting Act 1966 that was in
force immediately before the commencement day is taken,
on and after that day, to be a declaration by the Magistrates'
Court under section 2.5.27(1).
(4) A special warrant issued under section 61 of the Lotteries
Gaming and Betting Act 1966 that was in force
immediately before the commencement day is taken, on and
after that day, to be a special warrant issued under
section 2.5.39(3).
(5) A warrant to imprison issued under section 62 of the
Lotteries Gaming and Betting Act 1966 that was in force
immediately before the commencement day is taken, on and
after that day, to be a warrant to imprison issued under
section 2.5.40.
PART 3—GAMING MACHINES
3.1 Declaration of gaming machines and types
An Order of the Governor in Council under section 6 of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be an Order of the Governor in Council
under section 3.1.3.
3.2 Ministerial directions and regional limits
(1) A direction given to the Authority by the Minister under
section 12 of the Gaming Machine Control Act 1991 that
was in force immediately before the commencement day is
taken, on and after that day, to be a direction given to the
Commission by the Minister under section 3.2.3.
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(2) An order published by the Minister under section 12AA of
the Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be an order published by the Minister under
section 3.2.4.
(3) A determination of the Authority under section 12AA(2) or
a direction of the Authority under section 12AA(3) of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a determination of the Commission
under section 3.2.4(2) or a direction of the Commission
under section 3.2.4(3) (as the case requires).
3.3 Premises approvals
(1) An approval of premises under Part 2A of the Gaming
Machine Control Act 1991 that was in force immediately
before the commencement day is taken, on and after that
day, to be an approval of premises under Part 3 of Chapter 3
subject to any conditions to which the approval was subject
immediately before that day.
(2) An approval of premises referred to in sub-section (1)
remains in force until the approval is revoked or surrendered
under this Act.
(3) However, if the approval allows the premises to be open for
24 hour gaming on any day, the approval does not have
force so as to allow 24 hour gaming at any time after the
approval would have expired under section 12I of the
Gaming Machine Control Act 1991.
3.4 Venue operator's licences
(1) A venue operator's licence under Division 2 of Part 3 of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a venue operator's licence under
Division 2 of Part 4 of Chapter 3 subject to any conditions
to which the licence was subject immediately before that
day.
(2) A provisional venue operator's licence under Division 2 of
Part 3 of the Gaming Machine Control Act 1991 that was
in force immediately before the commencement day is
taken, on and after that day, to be a provisional venue
operator's licence under Division 2 of Part 4 of Chapter 3
subject to any conditions to which the licence was subject
immediately before that day.
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(3) The holder of a provisional operator's licence referred to in
sub-clause (2) that was in force immediately before the
commencement of section 5 of the Gambling Legislation
(Miscellaneous Amendments) Act 2000, must notify the
Commission of the expiry of that provisional licence at least
45 days before the provisional licence is due to expire.
(4) A nomination and approval of a person as the nominee of a
venue operator under section 25A of the Gaming Machine
Control Act 1991 that was in force immediately before the
commencement day is taken, on and after that day, to be the
nomination and approval of the person under section 3.4.14.
(5) Section 30 of the Gaming Machine Control Act 1991
continues to apply to any disciplinary action commenced but
not completed against a venue operator under that section
before the commencement day as if a reference in that
section—
(a) to the Authority were a reference to the Commission;
and
(b) to a venue operator's licence were a reference to the
venue operator's licence under this Act.
(6) For the purposes of sub-clause (5), disciplinary action is
taken to have commenced against a venue operator if the
Authority has served a notice on the venue operator under
section 30(2) of the Gaming Machine Control Act 1991.
(7) If a suspension of a venue operator's licence under
section 30(7A) of the Gaming Machine Control Act 1991
is in force immediately before the commencement day, the
suspension is taken, on and after that day, to be a suspension
of the licence under section 3.4.27.
3.5 Gaming operator's licences
(1) A gaming operator's licence under Division 3 of Part 3 of
the Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a gaming operator's licence under
Division 3 of Part 4 of Chapter 3 for the balance of the term
of the licence subject to any conditions to which the licence
was subject immediately before that day.
(2) A gaming operator's licence granted under section 3.4.29 on
or after the commencement day must not commence before
the expiry, or earlier termination, of the gaming operator's
licence held by the Trustees immediately before the
commencement day.
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(3) A declaration of a wholly-owned subsidiary of the Trustees
as operator under section 3A of the Gaming Machine
Control Act 1991 that was in force immediately before the
commencement day is taken, on and after that day, to be a
declaration of the subsidiary as operator under section 3.9.1.
(4) Section 38 of the Gaming Machine Control Act 1991
continues to apply to any disciplinary action commenced but
not completed against a gaming operator under that section
before the commencement day as if a reference in that
section—
(a) to the Authority were a reference to the Commission;
and
(b) to a gaming operator's licence were a reference to the
gaming operator's licence under this Act.
(5) For the purposes of sub-clause (4), disciplinary action is
taken to have commenced against a gaming operator if the
Authority has served a notice on the gaming operator under
section 38(1) of the Gaming Machine Control Act 1991.
(6) Section 38A of the Gaming Machine Control Act 1991
continues to apply to any application made to the Supreme
Court under that section before the commencement day that
had not been determined by the Court before that day as if a
reference in that section—
(a) to the Authority were a reference to the Commission;
and
(b) to a gaming operator's licence were a reference to the
gaming operator's licence under this Act.
3.6 Special employee's licences
(1) A special employee's licence under Division 4 of Part 3 of
the Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a special employee's licence under
Division 4 of Part 4 of Chapter 3 subject to any conditions
to which the licence was subject immediately before that
day.
(2) A provisional licence under section 48 of the Gaming
Machine Control Act 1991 that was in force immediately
before the commencement day is taken, on and after that
day, to be a provisional special employee's licence under
section 3.4.45 subject to any conditions to which the licence
was subject immediately before that day.
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(3) Sub-sections (6) to (10) of section 45 of the Gaming
Machine Control Act 1991 continue to apply in respect of
a decision of the Director under section 45 of that Act made
before the commencement day (unless an appeal has already
been determined in respect of that decision) as if—
(a) a reference in that section to the Authority were a
reference to the Commission; and
(b) a reference in sub-section (8) of that section to a
licence were a reference to a special employee's
licence.
(4) Section 51 of the Gaming Machine Control Act 1991
continues to apply to any disciplinary action commenced but
not completed against a licensee (within the meaning of that
section) under that section before the commencement day as
if a reference in that section—
(a) to the Authority or the Director were a reference to
the Commission; and
(b) to a licence were a reference to the special employee's
licence under this Act.
(5) For the purposes of sub-clause (4), disciplinary action is
taken to have commenced against a licensee if the Director
has commenced an inquiry in respect of the licensee under
section 51(2) of the Gaming Machine Control Act 1991.
(6) If a suspension of a special employee's licence by the
Director under section 52 of the Gaming Machine Control
Act 1991 is in force immediately before the commencement
day, the suspension is taken, on and after that day, to be a
suspension of the licence by the Commission under
section 3.4.49.
(7) Section 3.4.54 does not operate so as to impose an
obligation on a special employee, or to make a venue
operator guilty of an offence, before the first anniversary of
the day on which the Commission first approves a training
course under section 3.4.54(3).
3.7 Technician's licences
(1) A technician's licence under Division 5 of Part 3 of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a technician's licence under Division 5
of Part 4 of Chapter 3 subject to any conditions to which the
approval was subject immediately before that day.
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(2) Clause 3.6 (other than sub-clause (1)) applies with any
necessary modifications to applications for technician's
licences and technician's licences under the Gaming
Machine Control Act 1991.
3.8 Roll of Manufacturers, Suppliers and Technicians
(1) A person who was listed on the Roll of Suppliers under
Division 6 of Part 3 of the Gaming Machine Control Act
1991 immediately before the commencement day is taken,
on and after that day, to be listed on the Roll under
Division 7 of Part 4 of Chapter 3 subject to any conditions
to which the listing was subject immediately before that day.
(2) Section 66 of the Gaming Machine Control Act 1991
continues to apply to any disciplinary action commenced
under that section before the commencement day but not
completed before that day against a person listed on the Roll
of Suppliers under that Act as if a reference in that section—
(a) to the Authority were a reference to the Commission;
and
(b) to the Roll of Suppliers were a reference to the Roll
under this Act.
(3) For the purposes of sub-clause (2), disciplinary action is
taken to have commenced against a person listed on the Roll
if the Authority has served a notice on the person under
section 66(2) of the Gaming Machine Control Act 1991.
3.9 Manufacture, supply and possession of gaming machines
(1) Any authority of the Authority or the Director under
section 7(2) of the Gaming Machine Control Act 1991 that
was in force immediately before the commencement day is
taken, on and after that day, to be an authority of the
Commission under section 3.5.1(4) subject to any conditions
to which the authority was subject immediately before that
day.
(2) Any authorisation by the Authority or the Director under
section 8(1) or (2) of the Gaming Machine Control Act
1991 that was in force immediately before the
commencement day is taken, on and after that day, to be an
authorisation by the Commission under section 3.2.2(1) or
(2) (as the case requires) subject to any conditions to which
the authorisation was subject immediately before that day.
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3.10 Controls over gaming machines and games
(1) Any standards of the Director under section 68A of the
Gaming Machine Control Act 1991 that were in force
immediately before the commencement day are taken, on
and after that day, to be standards made by the Commission
under section 3.5.3.
(2) Any approval or deemed approval of a gaming machine type
or game under section 69 of the Gaming Machine Control
Act 1991 that was in force immediately before the
commencement day is taken, on and after that day, to be an
approval of the gaming machine type or game under
section 3.5.4 subject to any conditions to which the approval
was subject immediately before that day.
(3) Despite anything to the contrary in sub-clause (2), the holder
of the gaming licence under Chapter 4 may not use more
than 460 gaming machines of the type deemed under
section 69(6) of the Gaming Machine Control Act 1991 to
be approved.
(4) Sub-clause (3) does not apply if the Commission approves
the gaming machine type in accordance with
section 3.5.4(3).
(5) The Commission must not, under section 3.5.6, withdraw
the approval of a gaming machine type or game to which
section 69(6) of the Gaming Machine Control Act 1991
applied immediately before the commencement day, unless
the Commission is satisfied that the machine or game has
been altered.
(6) An identification number issued for a gaming machine by
the Director under section 72(1) or (2) of the Gaming
Machine Control Act 1991 before the commencement day
is taken, on and after that day, to be an identification number
issued by the Commission under section 3.5.8(1) or (2) (as
the case requires).
(7) A label affixed to a gaming machine in accordance with
section 72(3) of the Gaming Machine Control Act 1991
before the commencement day is taken, on and after that
day, to be a label affixed to the machine in accordance with
section 3.5.8(3).
(8) A gaming machine that, immediately before the
commencement day, is sealed in accordance with section 73
of the Gaming Machine Control Act 1991 is taken, on and
after that commencement, to be sealed in accordance with
section 3.5.9.
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(9) Any authorisation of a person by the Director under
section 75(1) of the Gaming Machine Control Act 1991
that was in force immediately before the commencement
day is taken, on and after that day, to be an authorisation of
the person by the Commission under section 3.5.11.
(10) Any approval or deemed approval of an electronic
monitoring system or a variation of an electronic monitoring
system under section 75B of the Gaming Machine Control
Act 1991 that was in force immediately before the
commencement day is taken, on and after that day, to be an
approval of the system or variation (as the case requires)
under section 3.5.13 subject to any conditions to which the
approval was subject immediately before that day.
(11) Any approval of the Authority under section 77 of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the Commission under
section 3.5.15 or 3.5.16 (as the case requires).
(12) Any rules of the Authority under section 78 of the Gaming
Machine Control Act 1991 that were in force immediately
before the commencement day are taken, on and after that
day, to be rules made by the Commission under
section 3.5.23.
(13) Any direction given to a gaming operator or venue operator
by the Authority under section 80 of the Gaming Machine
Control Act 1991 that was in force immediately before the
commencement day is taken, on and after that day, to be a
direction given to the gaming operator or venue operator by
the Commission under section 3.5.27.
(14) Section 3.5.29(1) and (2) do not apply, before 1 January
2008, to a game that was approved by the Authority under
the Gaming Machine Control Act 1991 before 1 January
2003.
(15) A notice published by the Authority under section 77B(4) or
77C(2) of the Gaming Machine Control Act 1991 that was
in force immediately before the commencement day is
taken, on and after that day, to be a notice published by the
Commission under section 3.5.29(3) or 3.5.30(2) (as the
case requires).
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(16) Any procedures approved by the Authority for resolving
disputes under section 83(3) of the Gaming Machine
Control Act 1991 that were in force immediately before the
commencement day are taken, on and after that day, to be
procedures approved by the Commission under
section 3.5.20(3).
3.11 Gaming machine advertising and signs
(1) Section 3.5.34(1) does not apply to any gaming machine
advertising published or caused to be published at any time
during the period of 6 months after the commencement of
that section.
(2) Any contract or arrangement for the publication of gaming
machine advertising that was entered into before the
commencement of section 3.5.34 ceases to have effect
6 months after that commencement.
(3) Section 3.5.35(1) does not apply to any gaming machine
related sign displayed or caused to be displayed at any time
during the period of 12 months after the commencement of
that section.
(4) Any contract or arrangement for displaying a gaming
machine related sign (being a sign that is displayed in
contravention of section 3.5.35(1)) that was entered into
before the commencement of section 3.5.35 ceases to have
effect 12 months after that commencement.
3.12 Loyalty schemes
(1) A written statement given to a person by a loyalty scheme
provider under section 82A of the Gaming Machine
Control Act 1991 before the commencement day is taken,
on and after that day, to be a statement given to the person
under section 3.5.36.
(2) A limit set by a participant in a loyalty scheme under section
82A(2) of the Gaming Machine Control Act 1991 that was
in force immediately before the commencement day is
taken, on and after that day, to be a limit set by the
participant under section 3.5.36(2).
3.13 Notices regarding minors
A direction given to a venue operator by the Authority under
section 96 of the Gaming Machine Control Act 1991 that
was in force immediately before the commencement day is
taken, on and after that day, to be a direction given to the
venue operator by the Commission under section 3.5.52.
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3.14 Taxation, etc.
(1) A determination of the Treasurer under section 135A(3) of
the Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be a determination of the Treasurer under
section 3.6.3(3).
(2) An amount paid in respect of a financial year in accordance
with section 135B of the Gaming Machine Control Act
1991 before the commencement day is taken, on and after
that day, to be an amount paid in respect of that year under
section 3.6.11.
(3) A determination of the Treasurer under section 135D(1) or
(2) of the Gaming Machine Control Act 1991 that was in
force immediately before the commencement day is taken,
on and after that day, to be a determination of the Treasurer
under section 3.6.5(1) or (2) (as the case requires).
(4) A community benefit statement lodged with the Authority
under section 136AB of the Gaming Machine Control Act
1991 before the commencement day is taken, on and after
that day, to be a community benefit statement lodged with
the Commission under section 3.6.9.
(5) A form of community benefit statement approved by the
Minister under section 136AB(2)(a) of the Gaming
Machine Control Act 1991 before the commencement day
is taken, on and after that day, to be a form approved by the
Minister under section 3.6.9(2)(a).
(6) An order of the Minister under section 136AB(3) of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be an order of the Minister under
section 3.6.9(3).
(7) Despite section 3.6.12, the total amount paid into the
Community Support Fund under section 3.6.12 in respect of
the financial year commencing on 1 July 2003 is to be the
amount paid to the Consolidated Fund under
section 3.6.6(2)(c) in respect of that financial year less
$25 000 000.
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3.15 Compliance requirements
(1) An approval of the Authority under section 131 of the
Gaming Machine Control Act 1991 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the Commission under
section 3.7.3.
(2) An exemption granted by the Authority under section 133(2)
of the Gaming Machine Control Act 1991 that was in
force immediately before the commencement day is taken,
on and after that day, to be an exemption granted by the
Commission under section 3.7.5(2).
(3) A notice given to a venue operator by the Authority under
section 134(6) of the Gaming Machine Control Act 1991
that was in force immediately before the commencement
day is taken, on and after that day, to be a notice given to the
venue operator by the Commission under section 3.7.6(6).
(4) A specification in writing given to a person by the Director
under section 142 of the Gaming Machine Control Act
1991 that was in force immediately before the
commencement day is taken, on and after that day, to be a
specification in writing given to the person by the
Commission under section 3.8.1.
(5) An investigation by the Authority under section 142A(1) of
the Gaming Machine Control Act 1991 that was begun but
not completed before the commencement day may be
completed on or after that day by the Commission as an
investigation under section 3.8.3.
(6) A notice given to a person by the Authority under section
142A(3), (4A), (4B) or (5) of the Gaming Machine
Control Act 1991 before the commencement day is taken
on and after that day, for the purposes of section 3.8.4, to be
a notice given to the person by the Commission under
section 3.8.4(1), (3), (4) or (5) (as the case requires).
PART 4—WAGERING AND BETTING
4.1 Approval of totalisator equipment
(1) Any approval or deemed approval of equipment in
connection with a totalisator or approved betting
competition or a change in equipment under section 70 of
the Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the equipment or change
(as the case requires) under section 4.2.3 subject to any
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conditions to which the approval was subject immediately
before that day.
(2) Any rules of the licensee under section 72 of the Gaming
and Betting Act 1994 that were in force immediately before
the commencement day are taken, on and after that day, to
be rules made by the licensee under section 4.2.5.
4.2 Wagering licence and gaming licence
(1) The wagering licence granted under section 12(1)(a) of the
Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be the wagering licence under Part 3 of
Chapter 4 for the balance of the term of the licence subject
to any conditions to which the licence was subject
immediately before that day.
(2) The gaming licence granted under section 12(1)(b) of the
Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be the gaming licence under Part 3 of
Chapter 4 for the balance of the term of the licence subject
to any conditions to which the licence was subject
immediately before that day.
(3) The appointment by the licensee of a wholly-owned
subsidiary as operator of the wagering licence under
section 22(1) of the Gaming and Betting Act 1994 that was
in force immediately before the commencement day is
taken, on and after that day, to be an appointment of the
subsidiary as operator of the wagering licence under
section 4.3.15(1)(a).
(4) The appointment by the licensee of a wholly-owned
subsidiary as an operator of the gaming licence under
section 22(2) of the Gaming and Betting Act 1994 that was
in force immediately before the commencement day is
taken, on and after that day, to be an appointment of the
subsidiary as an operator of the gaming licence under
section 4.3.15(1)(b).
(5) Section 32 of the Gaming and Betting Act 1994 continues
to apply to any disciplinary action commenced but not
completed against the licensee or an operator under that
section before the commencement day as if a reference in
that section—
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(a) to the Authority were a reference to the Commission;
and
(b) to a licence were a reference to the wagering licence
or the gaming licence under this Act.
(6) For the purposes of sub-clause (5), disciplinary action is
taken to have commenced against the licensee or an operator
if the Authority has served a notice on the licensee and
operator under section 32(1) of the Gaming and Betting
Act 1994.
(7) Section 33 of the Gaming and Betting Act 1994 continues
to apply to any application made to the Supreme Court
under that section before the commencement day that had
not been determined by the Court before that day as if a
reference in that section—
(a) to the Authority were a reference to the Commission;
and
(b) to a wagering licence and a gaming licence were a
reference to the wagering licence and the gaming
licence under this Act.
4.3 Shareholding requirements
(1) A notice served on a person by the Minister or a director or
the secretary of the licensee under section 55(1) of the
Gaming and Betting Act 1994 before the commencement
day that had not been complied with before that day is
taken, on and after that day, to be a notice served on the
person by the Minister, director or secretary (as the case
requires) under section 4.3.21.
(2) A declaration of the Minister under section 55(3) of the
Gaming and Betting Act 1994 before the commencement
day that is still in force on that day is taken, on and after that
day, to be a declaration of the Minister under
section 4.3.21(3).
(3) If notice of a declaration referred to in sub-clause (2) has
been served on a person in accordance with section 55(4) of
the Gaming and Betting Act 1994 before the
commencement day, it is taken to have been served on the
person under section 4.3.21(4).
(4) A declaration of the Minister under section 56(1) of the
Gaming and Betting Act 1994 before the commencement
day that is still in force on that day is taken, on and after that
day, to be a declaration of the Minister under
section 4.3.22(1).
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(5) Section 59(4) and (5) of the Gaming and Betting Act 1994
continues to apply to any application for review under that
section before the commencement day that had not been
determined by the Minister before that day as if a reference
in that section to the licensee were a reference to the
licensee under Part 3 of Chapter 4.
(6) Section 60 of the Gaming and Betting Act 1994 continues
to apply to any appeal to the Supreme Court under that
section before the commencement day that had not been
determined by the Court before that day as if a reference in
that section to the licensee were a reference to the licensee
under Part 3 of Chapter 4.
4.4 On-course wagering permits
(1) An on-course wagering permit under Part 3 of the Gaming
and Betting Act 1994 that was in force immediately before
the commencement day is taken, on and after that day, to be
an on-course wagering permit under Part 4 of Chapter 4
subject to any conditions to which the permit was subject
immediately before that day.
(2) A determination of the Treasurer under section 47(1) or (2)
of the Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be a determination of the Treasurer under
section 4.4.12(1) or (2) (as the case requires).
4.5 Approved betting competitions
An approval of a betting competition under Part 5 of the
Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the betting competition
under Part 5 of Chapter 4 subject to any conditions to which
the approval was subject immediately before that day.
4.6 Taxes
A determination of the Treasurer under section 79(1) or (2)
of the Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be a determination of the Treasurer under
section 4.6.7(1) or (2) (as the case requires).
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4.7 Offences
Any conditions imposed by the Minister under
section 114(2)(c) of the Gaming and Betting Act 1994 that
were in force immediately before the commencement day
are taken, on and after that day, to be conditions imposed by
the Minister under section 4.7.2(2)(c).
4.8 Compliance requirements
(1) An approval of the Authority under section 121 of the
Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the Commission under
section 4.8.2.
(2) An approval of the Authority under section 123(1)(a) or
(2)(a) of the Gaming and Betting Act 1994 that was in
force immediately before the commencement day is taken,
on and after that day, to be an approval of the Commission
under section 4.8.4(1)(a) or (2)(a) (as the case requires).
(3) An exemption granted by the Authority under section 123(3)
of the Gaming and Betting Act 1994 that was in force
immediately before the commencement day is taken, on and
after that day, to be an exemption granted by the
Commission under section 4.8.4(3).
(4) An approval of an auditor by the Authority under
section 124(1) or (2) of the Gaming and Betting Act 1994
that was in force immediately before the commencement
day is taken, on and after that day, to be an approval of the
auditor by the Commission under section 4.8.5(1) or (2) (as
the case requires).
(5) An agreement by the Authority for extension of time under
section 124(4) of the Gaming and Betting Act 1994 that
was in force immediately before the commencement day is
taken, on and after that day, to be an agreement to that
extension by the Commission under section 4.8.5(4).
(6) A notice given to a subsidiary of the licensee by the
Authority under section 124(5) of the Gaming and Betting
Act 1994 that was in force immediately before the
commencement day is taken, on and after that day, to be a
notice given to the subsidiary by the Commission under
section 4.8.5(5).
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(7) A notice given to an operator or permit holder by the
Authority under section 126(4) of the Gaming and Betting
Act 1994 that was in force immediately before the
commencement day is taken, on and after that day, to be a
notice given to the operator or permit holder by the
Commission under section 4.8.6(4).
PART 5—LOTTERIES
5.1 Lottery rules
(1) Any rules made by a licensee under section 7 of the Public
Lotteries Act 2000 that were in force immediately before
the commencement day are taken, on and after that day, to
be rules made by the licensee under section 5.2.2.
(2) If a licensee has complied with section 7(4) of the Public
Lotteries Act 2000 before the commencement day in
respect of any lottery rules, the licensee is taken, on and
after that day, to have complied with section 5.2.2(4) in
respect of those rules.
5.2 Conduct of public lotteries
A nomination by the Director of a person to supervise a
draw under section 11 of the Public Lotteries Act 2000 that
was in force immediately before the commencement day is
taken, on and after that day, to be the nomination of the
person by the Commission under section 5.2.6.
5.3 Public lottery licences
(1) A determination of the Minister under section 17 of the
Public Lotteries Act 2000 that was in force immediately
before the commencement day is taken, on and after that
day, to be a determination of the Minister under
section 5.3.1.
(2) A licence issued under Part 3 of the Public Lotteries Act
2000 that was in force immediately before the
commencement day is taken, on and after that day, to be a
public lottery licence issued under Part 3 of Chapter 5 for
the balance of the term of the licence subject to any
conditions to which the licence was subject immediately
before that day.
(3) If the Minister complied with section 32 of the Public
Lotteries Act 2000 in respect of a licence referred to in sub-
section (2) before the commencement day, the Minister is
taken to have complied with section 5.3.11 in respect of the
licence.
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(4) An application for a licence under Part 3 of the Public
Lotteries Act 2000 that was made but not determined by the
Minister before the commencement day may be determined
by the Minister on or after that day as if it were an
application under Part 3 of Chapter 5 for a public lottery
licence.
(5) For the purposes of determining an application referred to in
sub-section (4), the Minister may have regard to any
investigation undertaken by, any report made by, or
anything else done by, the Authority or the Secretary under
Part 3 of the Public Lotteries Act 2000 in relation to the
application before the commencement day.
(6) A request for the amendment of a licence made under
section 38 of the Public Lotteries Act 2000 but not
determined before the commencement day may be
determined by the Minister after that day as if it were a
request made under section 5.3.16 and, for that purpose, the
Minister must have regard to any objections made under
section 40 of the Public Lotteries Act 2000 as if they were
objections made under section 5.3.18.
(7) Division 5 of Part 3 of the Public Lotteries Act 2000
continues to apply to any disciplinary action commenced but
not completed against a licensee or an appointed subsidiary
of a licensee under that Division before the commencement
day as if a reference in that section—
(a) to the Authority or the Secretary were a reference to
the Commission; and
(b) to a licence were a reference to a public lottery licence
under this Act.
(8) For the purposes of sub-clause (7), disciplinary action is
taken to have commenced against a licensee or subsidiary if
the Authority or Secretary has given notice to the licensee or
subsidiary under section 44(1) of the Public Lotteries Act
2000.
(9) If a suspension of a licence under section 46 of the Public
Lotteries Act 2000 is in force immediately before the
commencement day, the suspension is taken, on and after
that day, to be a suspension of the licence under
section 5.3.24.
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5.4 Trustees entitled to public lottery licence
The Trustees' public lottery licence for the conduct of
consultations and soccer football pools (within the meaning
of the Public Lotteries Act 2000) remains in force until
30 June 2007, unless it is surrendered, cancelled or
suspended earlier in accordance with this Act.
5.5 Subsidiaries appointed to conduct public lotteries
(1) An appointment of a subsidiary of a licensee under
section 35 of the Public Lotteries Act 2000 that was in
force immediately before the commencement day is taken,
on and after that day, to be an appointment of the subsidiary
by the licensee under section 5.3.14.
(2) An approval or deemed approval by the Authority of a
wholly-owned subsidiary of a licensee under section 36 of
the Public Lotteries Act 2000 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval by the Commission under
section 5.3.15.
5.6 Taxes
A determination of the Treasurer under section 53(1) or (2)
of the Public Lotteries Act 2000 that was in force
immediately before the commencement day is taken, on and
after that day, to be a determination of the Treasurer under
section 5.4.2(1) or (2) (as the case requires).
5.7 Saving of existing agreements with other jurisdictions
(1) An Order in Council in force under section 59(1) of the
Public Lotteries Act 2000 immediately before the
commencement day is taken on and after that day to be an
Order in Council under section 5.4.7(1).
(2) An agreement in force or deemed to be in force under
section 59(2)(b) of the Public Lotteries Act 2000
immediately before the commencement day is taken on and
after that day, for the balance of the term of the agreement,
to be an agreement made under section 5.4.7(2)(b).
5.8 Compliance requirements
(1) An approval of a form by the Minister under
section 61(2)(a) of the Public Lotteries Act 2000 that was
in force immediately before the commencement day is
taken, on and after that day, to be an approval of the form by
the Minister under section 5.5.2(2)(a).
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(2) An extension of time granted by the Minister under
section 63(2) of the Public Lotteries Act 2000 that was in
force immediately before the commencement day is taken,
on and after that day, to be an extension of time granted by
the Minister under section 5.5.4(2).
(3) A direction given to a licensee by the Authority under
section 66 of the Public Lotteries Act 2000 that was in
force immediately before the commencement day is taken,
on and after that day, to be a direction given to the licensee
by the Commission under section 5.5.7.
5.9 Claims for prizes
(1) Section 68 of the Public Lotteries Act 2000 continues to
apply on and after the commencement day to a request made
to the Authority under section 68(2) of that Act before that
day if the claim to which the request relates is not resolved
before that day as if a reference in that section to the
Authority were a reference to the Commission.
(2) For the purposes of sub-clause (1), the Commission may
have regard to any investigation carried out by the Authority
under section 68(4) of the Public Lotteries Act 2000 in
respect of the request before the commencement day.
5.10 Complaints
(1) Section 70 of the Public Lotteries Act 2000 continues to
apply on and after the commencement day to a complaint
made or referred to a licensee or the Authority under that
section before that day if the complaint has not been
finalised before that day as if a reference in that section to
the Authority were a reference to the Commission.
(2) For the purposes of sub-clause (1), a complaint is taken to
have been finalised when notice of the results of the inquiry
into the complaint has been given to the complainant.
5.11 Ongoing monitoring
(1) A specification in writing given to a person by the Authority
under section 67(3) of the Public Lotteries Act 2000 that
was in force immediately before the commencement day is
taken, on and after that day, to be a specification in writing
given to the person by the Commission under
section 5.6.1(3).
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(2) An approval of the Authority under section 48(2)(b) of the
Public Lotteries Act 2000 that was in force immediately
before the commencement day is taken, on and after that
day, to be an approval of the Commission under
section 5.6.2(b).
(3) A notice given to a person by the Authority under section 51
of the Public Lotteries Act 2000 before the commencement
day is taken, on and after that day, to be a notice given to the
person by the Commission under section 5.6.4.
(4) An investigation by the Authority under section 50 of the
Public Lotteries Act 2000 that was begun but not
completed before the commencement day may be completed
on or after that day by the Commission as an investigation
under section 5.6.5.
(5) A notice given to a person by the Authority under
section 49(1)(b), (2), (3) or (5) of the Public Lotteries Act
2000 before the commencement day is taken, on and after
that day, for the purposes of section 5.6.6, to be a notice
given to the person by the Commission under
section 5.6.6(1)(b), (2), (3) or (5) (as the case requires).
5.12 Trade promotion lotteries
(1) A permit to conduct a lottery under Part 4 of the Gaming
No. 2 Act 1997 that was in force immediately before the
commencement day is taken, on and after that day, to be a
permit to conduct a trade promotion lottery under Part 7 of
Chapter 5 subject to any conditions to which the permit was
subject immediately before that day.
(2) A nomination and approval of a person as nominee of a
permit holder under section 28A of the Gaming No. 2 Act
1997 that was in force immediately before the
commencement day is taken, on and after that day, to be a
nomination and approval of the person under section 5.7.7.
(3) Section 92 of the Gaming No. 2 Act 1997 continues to
apply to any disciplinary action commenced under that
section but not completed against the holder of a permit
under section 28 of that Act before the commencement day
as if a reference in that section—
(a) to the Authority or the Director were a reference to
the Commission; and
(b) to the permit under section 28 of that Act were a
reference to a permit to conduct a trade promotion
lottery under Part 7 of Chapter 5 of this Act.
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(4) For the purposes of sub-clause (3), disciplinary action is
taken to have commenced against a permit holder if the
Director has commenced an inquiry in respect of the permit
holder under section 92(2) of the Gaming No. 2 Act 1997.
(5) If a suspension under section 92(9) of the Gaming No. 2
Act 1997 of a permit under Part 4 of that Act is in force
immediately before the commencement day, the suspension
is taken, on and after that day, to be a suspension of the
permit under section 5.7.15.
(6) A specification in writing given to a holder of a permit
under Part 4 of the Public Lotteries Act 2000 by the
Authority under section 91 of that Act that was in force
immediately before the commencement day is taken, on and
after that day, to be a specification in writing given to the
permit holder by the Commission under section 5.7.17.
PART 6—CLUB KENO
6.1 Approval of club keno
The game approved as club keno by the Minister under the
Club Keno Act 1993 as in force immediately before the
commencement day is taken, on and after that day, to be the
game approved as club keno by the Minister under
Chapter 6.
6.2 Commercial arrangements between participants
(1) Any commercial arrangements agreed by the Minister under
section 5(1) of the Club Keno Act 1993 that were in force
immediately before the commencement day are taken, on
and after that day, to be commercial arrangements agreed by
the Minister under section 6.2.2(1).
(2) Section 5(3) of the Club Keno Act 1993 continues to apply
to any application to the Supreme Court made under that
section but not determined before the commencement day as
if a reference in that section to the authorisation under that
section were a reference to the authorisation under
section 6.2.2.
6.3 Subsidiary of Trustees
A declaration by the Minister of a wholly-owned subsidiary
of the Trustees as a participant under section 3A of the Club
Keno Act 1993 that was in force immediately before the
commencement day is taken, on and after that day, to be a
declaration of the subsidiary as a participant under
section 6.5.1.
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6.4 Conduct of club keno games
An order of the Director under section 13N of the Club
Keno Act 1993 that was in force immediately before the
commencement day is taken, on and after that day, to be an
order of the Commission under section 6.2.7.
6.5 Compliance requirements
An extension of time granted by the Treasurer under
section 10(6) of the Club Keno Act 1993 that was in force
immediately before the commencement day is taken, on and
after that day, to be an extension of time granted by the
Treasurer under section 6.4.2(4).
6.6 Investigation of complaints
Section 13M of the Club Keno Act 1993 continues to apply
on and after the commencement day to a complaint made to
the Director under that section before that day if the
investigation of the complaint has not been finalised before
that day as if a reference in that section to the Director were
a reference to the Commission.
PART 7—INTERACTIVE GAMING
7.1 Participating jurisdictions
(1) An Order in Council under section 6(1) of the Interactive
Gaming (Player Protection) Act 1999 that was in force
immediately before the commencement day is taken, on and
after that day, to be an Order in Council under
section 7.1.5(1).
(2) An agreement referred to in section 6(2)(a) or (b) of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be an agreement referred to
in section 7.1.5(2)(a) or (b) (as the case requires).
7.2 Prohibited games
A notice of the Minister under section 8(2) of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be a notice of the Minister
under section 7.1.4(2).
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7.3 Interactive gaming licences
(1) An interactive gaming licence under Part 3 of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be an interactive gaming
licence under Part 3 of Chapter 7 subject to any conditions
to which the licence was subject immediately before that
day.
(2) Section 29 of the Interactive Gaming (Player Protection)
Act 1999 continues to apply to any disciplinary action
commenced but not completed against a licensed provider
under that section before the commencement day as if a
reference in that section—
(a) to the Authority were a reference to the Commission;
and
(b) to an interactive gaming licence were a reference to
the interactive gaming licence under this Act.
(3) For the purposes of sub-clause (2), disciplinary action is
taken to have commenced against a licensed provider if the
Authority has served a notice on the licensed provider under
section 29(2) of the Interactive Gaming (Player
Protection) Act 1999.
(4) If a suspension of an interactive gaming licence under
section 29(8) of the Interactive Gaming (Player
Protection) Act 1999 was in force immediately before the
commencement day, the suspension is taken, on and after
that day, to be a suspension of the licence under
section 7.3.13.
(5) An endorsement of a person's name on an interactive
gaming licence by the Authority under section 33 of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be an endorsement of the
person's name on the licence under section 7.3.15.
(6) An extension of time allowed by the Authority under
section 35 of the Interactive Gaming (Player Protection)
Act 1999 that was in force immediately before the
commencement day is taken, on and after that day, to be an
extension of time allowed by the Commission under
section 7.3.17.
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7.4 Player registration
The registration of a person with a licensed provider as a
player under Part 2 of the Interactive Gaming (Player
Protection) Act 1999 that was in force immediately before
the commencement day is taken, on and after that day, to be
the registration of the person with the licensed provider as a
player under Division 1 of Part 4 of Chapter 7.
7.5 Conduct of interactive gaming
(1) An approval by the Authority for the purposes of section 10
of the Interactive Gaming (Player Protection) Act 1999
that was in force immediately before the commencement
day is taken, on and after that day, to be an approval by the
Commission for the purposes of section 7.4.4.
(2) A direction of the Authority under section 55 of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be a direction of the
Commission under section 7.4.7.
7.6 Prizes
(1) An approval by the Authority under section 50(2)(a) of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be an approval by the
Commission under section 7.4.12(2)(a).
(2) Section 51 of the Interactive Gaming (Player Protection)
Act 1999 continues to apply on and after the
commencement day to a request made to the Authority
under section 51(2) of that Act before that day if the claim
to which the request relates is not resolved before that day as
if a reference in that section to the Authority were a
reference to the Commission.
(3) For the purposes of sub-clause (2), the Commission may
have regard to any investigation carried out by the Authority
under section 51(4) of the Interactive Gaming (Player
Protection) Act 1999 in respect of the request before the
commencement day.
(4) A direction of the Authority under section 53(3) of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be a direction of the
Commission under section 7.4.15(3).
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(5) Section 54 of the Interactive Gaming (Player Protection)
Act 1999 continues to apply on and after the
commencement day to a complaint made or referred to a
licensed provider or the Authority under that section before
that day if the complaint has not been finalised before that
day as if a reference in that section to the Authority were a
reference to the Commission.
(6) For the purposes of sub-clause (5), a complaint is taken to
have been finalised when notice of the results of the inquiry
into the complaint has been given to the complainant.
7.7 Self-exclusion orders
A notice or copy of a notice given to a licensed provider
under section 49(1), (2) or (3) of the Interactive Gaming
(Player Protection) Act 1999 that was in force immediately
before the commencement day is taken, on and after that
day, to be a notice given to the licensed provider under
section 7.4.17(1), (2) or (3) (as the case requires).
7.8 Returns to players and taxes
(1) A determination of the Authority under section 36(2)(b) of
the Interactive Gaming (Player Protection) Act 1999 that
was in force immediately before the commencement day is
taken, on and after that day, to be a determination of the
Commission under section 7.5.1(2)(b).
(2) A determination of the Treasurer under section 37(1) or (2)
of the Interactive Gaming (Player Protection) Act 1999
that was in force immediately before the commencement
day is taken, on and after that day, to be a determination of
the Treasurer under section 7.5.2(1) or (2) (as the case
requires).
(3) A determination of the Authority under section 39(2) of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be a determination of the
Commission under section 7.5.4(2).
7.9 Compliance requirements
A direction of the Authority under section 43 of the
Interactive Gaming (Player Protection) Act 1999 that was
in force immediately before the commencement day is
taken, on and after that day, to be a direction of the
Commission under section 7.6.1.
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7.10 Ongoing monitoring
(1) An investigation by the Authority under section 31 of the
Interactive Gaming (Player Protection) Act 1999 that was
begun but not completed before the commencement day
may be completed on or after that day by the Commission as
an investigation under section 7.7.1 or 7.7.2 (as the case
requires).
(2) An investigation by the Authority under section 30 of the
Interactive Gaming (Player Protection) Act 1999 that was
begun but not completed before the commencement day
may be completed on or after that day by the Commission as
an investigation under section 7.7.5.
(3) A notice given to a person by the Authority under
section 30(3) or (5) of the Interactive Gaming (Player
Protection) Act 1999 before the commencement day is
taken, on and after that day, for the purposes of section
7.7.6, to be a notice given to the person by the Commission
under section 7.7.6(1) or (3) (as the case requires).
7.11 VCAT reviews
Section 68 of the Interactive Gaming (Player Protection)
Act 1999 continues to apply to any decision referred to in
sub-section (1) of that section, except in the case of a person
who has applied for review of the decision under that
section before the commencement day.
PART 8—COMMUNITY AND CHARITABLE GAMING
8.1 Community and charitable organisations
(1) A declaration of an organisation as a community or
charitable organisation by the Director under section 12B of
the Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a declaration of the organisation as a community
or charitable organisation by the Commission under
section 8.3.3.
(2) Section 12D of the Gaming No. 2 Act 1997 continues to
apply to a decision referred to in sub-section (1) of that
section, unless the applicant has appealed against the
decision under that section before the commencement day,
as if a reference in that section to the Authority were a
reference to the Commission.
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(3) Section 12E of the Gaming No. 2 Act 1997 continues to
apply to an appeal made to the Authority but not decided
before the commencement day as if—
(a) a reference in that section to the Authority were a
reference to the Commission; and
(b) a reference in that section (other than in sub-section
(1)(a)) to the Director were a reference to the
Commission; and
(c) a reference in sub-section (1)(b) of that section to
"this Division" were a reference to Division 1 of
Part 3 of Chapter 8.
(4) If a notice has been served on an organisation under
section 12G of the Gaming No. 2 Act 1997 before the
commencement day, section 12I of that Act continues to
apply in respect of the notice as if a reference in that
section 12I—
(a) to the Authority were a reference to the Commission;
and
(b) to a declaration under "this Division" were a reference
to a declaration under Division 1 of Part 3 of
Chapter 8.
(5) Section 12J of the Gaming No. 2 Act 1997 continues to
apply to an appeal made to the Supreme Court but not
decided before the commencement day.
(6) If a suspension of a declaration under section 12K of the
Gaming No. 2 Act 1997 was in force immediately before
the commencement day, the suspension is taken, on and
after that day, to be a suspension of the declaration under
section 8.3.11.
8.2 Minor gaming permits
(1) A minor gaming permit under Division 2 of Part 3 of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a minor gaming permit under Division 2 of Part 3
of Chapter 8 subject to any conditions to which the permit
was subject immediately before that day.
(2) A nomination of a person under section 16 of the Gaming
No. 2 Act 1997 that was in force immediately before the
commencement day is taken, on and after that day, to be a
nomination of the person under section 8.3.16.
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8.3 Agreements with bingo centre operators
(1) An agreement entered into under section 26 of the Gaming
No. 2 Act 1997 that was in force immediately before the
commencement day is taken, on and after that day, to be an
agreement entered into under section 8.4.6.
(2) Without limiting the application of clause 10(1)(g) of this
Schedule, a reference in any agreement referred to in sub-
clause (1) to the Director is taken, so far as it relates to any
period on or after the commencement day, to be a reference
to the Commission.
8.4 Pooling schemes
(1) A pooling scheme operating in accordance with section 26B
of the Gaming No. 2 Act 1997 immediately before the
commencement day is taken, on and after that day, to be a
pooling scheme operating under section 8.4.8 and, if a copy
of the rules of the scheme were given to the Authority under
section 26B(1)(b) of the Gaming No. 2 Act 1997 before the
scheme came into operation, the requirements of
section 8.4.8(1)(b) are taken to have been complied with.
(2) The rules of a pooling scheme referred to in sub-clause (1)
that were in force under section 26C of the Gaming No. 2
Act 1997 immediately before the commencement day are
taken, on and after that day, to be rules of the scheme under
section 8.4.10.
(3) A specification by the Authority under section 26D of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a specification by the Commission under section
8.4.11.
(4) A person who was the scheme administrator of a pooling
scheme under section 26F of the Gaming No. 2 Act 1997
immediately before the commencement day continues, on
and after that day, to be the scheme administrator of the
pooling scheme under section 8.4.13.
8.5 Bingo centre operator's licences
(1) An operator's licence under Division 1 of Part 5 of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a bingo centre operator's licence under Division 1
of Part 5 of Chapter 8 subject to any conditions to which the
licence was subject immediately before that day.
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(2) A provisional operator's licence under Division 1 of Part 5
of the Gaming No. 2 Act 1997 that was in force
immediately before the commencement day is taken, on and
after that day, to be a provisional bingo centre operator's
licence under Division 1 of Part 5 of Chapter 8 subject to
any conditions to which the licence was subject immediately
before that day.
(3) A nomination and approval of a person as the nominee of
the holder of an operator's licence under section 39A of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be the nomination and approval of the person under
section 8.5.9.
(4) If a suspension of an operator's licence under section 92(9)
of the Gaming No. 2 Act 1997 was in force immediately
before the commencement day, the suspension is taken, on
and after that day, to be a suspension of the bingo centre
operator's licence under section 8.5.16.
8.6 Bingo centre employee's licences
(1) An employee's licence under Division 2 of Part 5 of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a bingo centre employee's licence under
Division 2 of Part 5 of Chapter 8 subject to any conditions
to which the licence was subject immediately before that
day.
(2) A provisional licence under Division 2 of Part 5 of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a provisional bingo centre employee's licence
under Division 2 of Part 5 of Chapter 8 subject to any
conditions to which the licence was subject immediately
before that day.
(3) Sub-sections (6) to (9) of section 57 of the Gaming No. 2
Act 1997 continue to apply in respect of a decision of the
Director under section 57 of that Act made before the
commencement day (unless an appeal has already been
determined in respect of that decision) as if—
(a) a reference in that section to the Authority were a
reference to the Commission; and
(b) a reference in sub-section (8) of that section to an
employee's licence were a reference to a bingo centre
employee's licence.
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(4) An approval by the Director under section 60(1) of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be an approval by the Commission under
section 8.5.26(1).
(5) If a disqualification of a person under section 92(5A) of the
Gaming No. 2 Act 1997 was in force immediately before
the commencement day, the disqualification is taken, on and
after that day, to be a disqualification of the person under
section 8.5.32.
(6) If a suspension of a bingo employee's licence under
section 92(10) of the Gaming No. 2 Act 1997 was in force
immediately before the commencement day, the suspension
is taken, on and after that day, to be a suspension of the
bingo centre employee's licence under section 8.5.33.
8.7 Monitoring of associates
(1) An approval of the Authority under section 48(3)(b) of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be an approval of the Commission under
section 8.5.39(b).
(2) An investigation by the Authority under section 48(2) of the
Gaming No. 2 Act 1997 that was begun but not completed
before the commencement day may be completed on or after
that day by the Commission as an investigation under
section 8.5.40.
(3) A notice given to a person by the Authority under section
48(4), (4A), (4B) or (6) of the Gaming No. 2 Act 1997
before the commencement day is taken on and after that day,
for the purposes of section 8.5.41, to be a notice given to the
person by the Commission under section 8.5.41(1), (2), (3)
or (5) (as the case requires).
8.8 General compliance requirements
(1) An approval of the Authority under section 89(1)(c) or (d)
of the Gaming No. 2 Act 1997 that was in force
immediately before the commencement day is taken, on and
after that day, to be an approval of the Commission under
section 8.6.1(2)(a) or (b) (as the case requires).
(2) An approval of the Authority under section 89(4) of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
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day, to be an approval of the Commission under
section 8.6.1(5).
(3) A specification by the Director under section 91 of the
Gaming No. 2 Act 1997 that was in force immediately
before the commencement day is taken, on and after that
day, to be a specification by the Commission under
section 8.6.3(2).
8.9 Disciplinary action
(1) Section 92 of the Gaming No. 2 Act 1997 continues to
apply to any disciplinary action commenced but not
completed under that section before the commencement day
against—
(a) the holder of an operator's licence under that Act; or
(b) the holder of an employee's licence under that Act; or
(c) the holder of a minor gaming permit under that Act.
(2) For the purposes of sub-clause (1), section 92 of the
Gaming No. 2 Act 1997 continues to apply as if a reference
in that section—
(a) to the Authority were a reference to the Commission;
and
(b) to an operator's licence were a reference to a bingo
centre operator's licence under Chapter 8; or
(c) to an employee's licence were a reference to a bingo
centre operator's licence under Chapter 8; or
(d) to a minor gaming permit were a reference to a minor
gaming permit under Chapter 8.
(3) For the purposes of sub-clause (1), disciplinary action is
taken to have commenced against a person if the Director
has commenced an inquiry in respect of the person under
section 92(2) of the Gaming No. 2 Act 1997.
8.10 VCAT reviews
Section 87 of the Gaming No. 2 Act 1997 continues to
apply to any decision referred to in sub-section (1) of that
section, except in the case of a person who has applied for
review of the decision under that section before the
commencement day.
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PART 9—ONBOARD GAMING
9.1 Limit on number of gaming machines
An approval of the Minister under section 13 of the
TT-Line Gaming Act 1993 that was in force immediately
before the commencement day is taken, on and after that
day, to be an approval of the Minister under section 9.3.3.
9.2 Taxes
An agreement entered into under section 11(1) of the
TT-Line Gaming Act 1993 that was in force immediately
before the commencement day is taken, on and after that
day, to be an agreement entered into under section 9.3.6(1).
PART 10—ADMINISTRATION AND ENFORCEMENT
10.1 Commission succeeds Authority and Directors
(1) On the Commencement day—
(a) the Authority is abolished and its members go out of
office as members;
(b) the office of Director of Gaming and Betting under
Part 9 of the Gaming and Betting Act 1994 is
abolished and the person holding the office goes out
of office;
(c) the office of Director of Casino Surveillance under
Division 2 of Part 7 of the Casino Control Act 1991
is abolished and the person holding the office goes out
of office;
(d) all rights, property and assets that, immediately before
the commencement day, were vested in the Authority
are, by force of this sub-clause, vested in the
Commission;
(e) all debts, liabilities and obligations of the Authority
existing immediately before that day become, by force
of this sub-clause, debts, liabilities and obligations of
the Commission;
(f) the Commission is, by force of this sub-clause,
substituted as a party to any proceeding pending in
any court or tribunal to which the Authority, the
Director of Gaming and Betting or the Director of
Casino Surveillance was a party immediately before
that day;
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(g) the Commission is, by force of this sub-clause,
substituted as a party to any arrangement or contract
entered into by or on behalf of the Authority, the
Director of Gaming and Betting or the Director of
Casino Surveillance as a party and in force
immediately before that day;
(h) any reference to the Authority, the Director of
Gaming and Betting or the Director of Casino
Surveillance in any Act (other than this Act or the
Casino Control Act 1991) or in any rule, regulation,
order, agreement, instrument, deed or other document
whatever must, so far as it relates to any period on or
after that day and if not inconsistent with the context
or subject-matter, be construed as a reference to the
Commission.
(2) Without prejudice to the generality of this clause and despite
anything to the contrary in any other Act or law, if,
immediately before the commencement day, the Authority is
the registered proprietor of an interest in land under the
Transfer of Land Act 1958, then on and after that day—
(a) the Commission is to be taken to be the registered
proprietor of that interest in land; and
(b) the Commission has the same rights and remedies in
respect of that interest as the Authority had.
(3) The Registrar of Titles, on being requested to do so and on
delivery of any relevant certificate of title, must make any
amendments in the Register that are necessary because of
the operation of this clause.
10.2 Inquiries in progress
Any inquiry commenced by the Authority under a
superseded Act but not completed before the
commencement day may be completed by the Commission
on or after that day as if it were an inquiry under
section 10.1.20.
10.3 Confidentiality
(1) A direction and certificate of the Minister under
section 139(3)(a) of the Gaming Machine Control Act
1991 that were in force immediately before the
commencement day are taken, on and after that day, to be a
direction and certificate of the Minister under
section 10.1.33(2).
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(2) A memorandum of understanding between the Authority
and an enforcement agency under—
(a) section 151A of the Casino Control Act 1991; or
(b) section 127A of the Gaming and Betting Act 1994;
or
(c) section 140 of the Gaming Machine Control Act
1991; or
(d) section 104A of the Gaming No. 2 Act 1997; or
(e) section 69A of the Interactive Gaming (Player
Protection) Act 1999; or
(f) section 83 of the Public Lotteries Act 2000—
that was in force immediately before the commencement
day is taken, on and after that day, to be a memorandum of
understanding between the Commission and the
enforcement agency under section 10.1.37.
(3) In section 10.1.30 and 10.1.31—
(a) a reference to a gaming Act includes a reference to a
superseded Act; and
(b) a reference to a memorandum of understanding
includes a reference to a memorandum of
understanding under a superseded Act.
10.4 Gambling Research Panel
(1) The chairperson and other members of the Gambling
Research Panel holding office under Part 9A of the Gaming
Machine Control Act 1991 immediately before the
commencement day continue to hold office on and after that
day as if appointed under section 10.2.4 on the terms and
conditions of their appointment under that Act.
(2) A form approved by the Minister under section 138M of the
Gaming Machine Control Act 1991 for the research plan
of the Panel that was in force immediately before the
commencement day is taken, on and after that day, to be a
form approved by the Minister under section 10.2.13.
(3) If the Panel gave a research plan in respect of the year
commencing on 1 July 2004 to the Minister in accordance
with section 138M of the Gaming Machine Control Act
1991 before the commencement day, that plan is taken to be
the research plan required to be given to the Minister under
section 10.2.13 in respect of that year.
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10.5 Inspectors
(1) A person—
(a) appointed or employed as an inspector under
section 104 of the Gaming and Betting Act 1994; or
(b) appointed as an inspector under section 102 of the
Casino Control Act 1991—
who held office immediately before the commencement day
is taken, on and after that day, to be an inspector appointed
by the Executive Commissioner under section 10.5.1.
(2) A person who held office immediately before the
commencement day as an inspector for the purposes of the
TT-Line Gaming Act 1993 is taken, on and after that day,
to be an inspector appointed by the Executive Commissioner
under section 10.5.1, but may only perform the functions of
an inspector for the purposes of Chapter 9, unless the person
is also a person referred to in sub-clause (1).
10.6 General investigations in progress
Any investigation commenced by the Authority under a
superseded Act but not completed before the
commencement day (other than an investigation referred to
elsewhere in this Schedule) may be completed by the
Commission on or after that day as if it were an
investigation under section 10.4.9.
10.7 Provision of information
(1) Any notice given by the Authority under a superseded Act
but not complied with before the commencement day (other
than a notice referred to elsewhere in this Schedule) is taken
on and after that day to be a notice given by the Commission
under section 10.4.10.
(2) Sub-section (1) applies to a notice requiring a person—
(a) to provide information; or
(b) to produce records; or
(c) to attend for examination and answer questions.
(3) A direction given to a person by the Authority under
section 153 of the Gaming Machine Control Act 1991,
section 139 of the Gaming and Betting Act 1994 or
section 65 of the Interactive Gaming (Player Protection)
Act 1999 that was in force immediately before the
commencement day is taken, on and after that day, to be a
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direction given to the person by the Commission under
section 10.4.11.
PART 11—GENERAL
11.1 Approved forms
A form approved by the Authority or the Director for an
application, notification or other document under a
superseded Act as in force immediately before the
commencement day is taken, on and after that day, to be a
form approved by the Commission under this Act for the
equivalent application, notification or document under this
Act.
11.2 Applications in progress
(1) An application for a licence, permit, authority, approval,
declaration or other authorisation under a superseded Act
that was made but not determined by the Authority or the
Director before the commencement day may be determined
by the Commission on or after that day as if it were an
application under this Act for the equivalent licence, permit,
authority, approval, declaration or other authorisation.
(2) For the purposes of determining an application referred to in
sub-section (1), the Commission may have regard to any
investigation undertaken by, any information before, or
anything else done by, the Authority or the Director in
relation to the application before the commencement day.
11.3 Destruction of finger prints
Section 11.1.5 extends to any finger prints or palm prints
obtained by the Authority or the Director under a superseded
Act.
11.4 References to superseded Acts
A reference to a superseded Act in any Act (other than this
Act) or in any rule, regulation, order, agreement, instrument,
deed or other document whatever must, so far as it relates to
any period on or after the commencement day and if not
inconsistent with the context or subject matter, be construed
as a reference to this Act.
═══════════════
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ENDNOTES
† Minister's second reading speech—
Legislative Assembly: 6 November 2003
Legislative Council: 2 December 2003
The long title for the Bill for this Act was "to re-enact and consolidate the
law relating to various forms of gambling, to establish a Victorian
Commission for Gambling Regulation, to amend the Casino Control Act
1991 and other Acts, to repeal 8 Acts relating to gambling and for other
purposes."
Constitution Act 1975:
Section 85(5) statement:
Legislative Assembly: 6 November 2003
Legislative Council: 2 December 2003
Absolute majorities:
Legislative Assembly: 27 November 2003
Legislative Council: 4 December 2003
Endnotes
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INDEX
Subject Section
Actamendments to other Acts 12.1.2–12.1.4,
Sch. 5, Sch. 6
commencement 1.2
Crown bound by 1.6
purpose, objectives and outline 1.1
repeals 12.1.1
transitional provisions 12.1.6, Sch. 7
Administrators 3.4.24, 4.3.32,
7.3.15
Advertising
betting 2.5.15–2.5.17,
2.5.45
betting houses and places of betting 2.5.5–2.5.6
bookmakers' services 2.5.16
Calcutta Sweepstakes 2.2.9
gaming machines 3.5.34–3.5.35
interactive games, gaming 7.2.1–7.2.2
loyalty schemes 3.5.34, 3.5.40
odds 2.5.15–2.6.16,
4.2.1
prohibited lotteries 2.2.3
totalisators 2.5.15, 2.5.17
unlawful games 2.5.15, 2.5.17
AFL footy tipping competition 1.3, 5.4.3, 5.4.6
Amusement machines and centres 1.3, 2.2.1, 2.2.8
ANZAC Day 2.3.2
Appeals
regarding
bingo centre employee's licence 8.5.25
community and charitable organisations 8.3.4–8.3.5, 8.3.10
forfeiture 10.5.28
gaming machine areas 3.3.17
gaming machine licences, approvals 3.9.5
Minister's declarations as to shareholding
interests in wagering and gaming licensee 4.3.26
minor gaming permits 8.3.18
special employee's licence 3.4.43
trade promotion lottery permits 5.7.10
See also Review
Approved betting competitions
approval 4.5.1–4.5.4
approval of equipment used in 4.2.3
betting rules 1.3, 4.2.4–4.2.6
commissions 4.6.4
declared lawful 4.2.1
definition 1.3
dividends 4.6.5
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Subject Section
exemptions 4.1.3
offences in general 4.7.1–4.7.6
taxes on 4.6.6–4.6.8
unclaimed refunds, dividends, prizes 4.6.9
See also Wagering licence and gaming licence
Approved venues
additional premises 3.4.17, 3.4.20,
3.4.24
applications, changes regarding liquor licences 3.4.22–3.4.23
breaches of rules in 3.4.25
cash facilities in 3.5.32
Commission's rules 3.5.23–3.5.26
definition 1.3
directions from Commission 3.5.27
gaming in declared lawful 3.2.1
publication of addresses of 10.1.35
register 3.4.13
removal from 3.5.42–3.5.43
removal of premises as 3.4.17, 3.4.22
statistical information on expenditure in 10.1.35
24-hour gaming in
approvals of premises 3.3.3, 3.3.8
days permitted under venue operator's licence 3.4.12–3.4.13
variation in days permitted under licence 3.4.17, 3.4.18,
3.4.20
See also Club keno games; Gaming machine areas;
Gaming machines;
Gaming machines – Numbers permitted
Premises – Approvals;
Venue operators – Licences
Arrest
persons found in common gaming houses 2.5.21, 2.5.38–
2.5.40
Assignees 3.4.24, 7.3.15
Associates
definition 1.3, 1.4, 4.3.18,
8.8.1
interests in shares in wagering and gaming licensee 4.3.18, 4.3.21,
4.3.23
of applicants for
bingo centre operator's licence 8.5.4, 8.5.6
gaming operator's licence 3.4.31
interactive gaming licence 7.3.2–7.3.4
listing on Roll 3.4.63
on-course wagering permits 4.4.3
public lottery licence 5.3.4
venue operator's licence 3.4.10–3.4.11
wagering licence and gaming licence 4.3.6
of nominees of
bingo centre operators 8.5.9
trade promotion lottery permit holders 5.7.7–5.7.8
venue operators 3.4.14
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Subject Section
of operators, licensees
bingo centre operators 8.1.2, 8.5.39–
8.5.41, 8.6.3
gaming operators 3.8.1–3.8.4, 8.5.2
interactive gaming providers 7.1.2, 7.3.10, 7.4.4,
7.7.2–7.7.6
organisations licensed under Chapter 8 8.8.1
persons listed on Roll 3.4.65, 3.4.68,
3.8.1–3.8.4, 3.9.4
public lottery licensees 5.3.15, 5.3.21,
5.6.1–5.6.6
venue operators 3.4.13, 3.4.24,
3.8.1–3.8.4, 8.5.2
wagering and gaming licensee, operator 4.3.29–4.3.30
of wholly owned subsidiaries of
club keno participants 6.5.3
gaming operator's licence holder 3.9.3
wagering and gaming licensee 4.3.17
relevant financial interests, positions, power (defs) 1.3, 1.4
termination of association with 3.8.4, 5.6.6, 7.7.6
See also Investigations and inquiries
Associations
See Community and charitable organisations
Auditor-General 3.7.6, 5.5.3, 6.4.3
Authorised persons
appointment 1.3
bribery 10.5.18
conflicts of interest and duty 10.1.28
definition 1.3
power to bring proceedings 10.5.31
See also Inspectors
Automatic tellers See Cash facilities
Bazaars 2.2.8
Betting
advertising 2.5.15–2.5.17,
2.5.45
authorised contracts, agreements 2.4.2
betting houses and places of betting 2.5.1–2.5.6, 2.6.5
in public places 2.5.8–2.5.10
instruments of 2.1.2, 2.6.1–2.6.2
minors 2.5.11–2.5.13,
4.7.1
on approved foot races and bicycle races 2.5.10
provision of services relating to 2.5.45
publication, communication of odds 2.5.15–2.5.19,
4.2.1
recovery of stolen money paid away in 2.6.3
unauthorised betting (def.) 2.5.45
See also Approved betting competitions;
Totalisators; Wagering
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Subject Section
Betting houses and places of betting
advertising 2.5.5–2.5.6
application of Chapter 2, Part 5, Division 1 2.5.4
betting in 2.5.2–2.5.3
declared to be public nuisance 2.5.1
definition 2.5.1
evidence 2.6.5
keeping, opening, using 2.5.2
Betting rules
See Approved betting competitions; Totalisators
Bicycle races 2.5.10
Bingo
bingo centre (def.) 1.3
braille tickets 8.4.5
definition 1.3
gross proceeds, receipts (defs) 8.1.2
permit not required for certain sessions 8.2.4
pooling schemes
accounts, banking requirements 8.4.13, 8.6.1
administrators 8.4.8, 8.4.13
application to political parties 8.4.16
declarations of interests of members 8.4.15
definition 1.3
membership 8.4.8–8.4.9
period of operation 8.4.8
review of decisions regarding 8.7.1
rules 8.4.8, 8.4.10–
8.4.15
prohibition on gaming machines in bingo centres 8.5.42
random number generators 1.3, 8.4.3–8.4.4
tickets 8.4.3–8.4.5
See also Minor gaming permits;
headings beginning with Bingo centre
Bingo centre employees
censure 8.5.30–8.5.31
change in situation 8.6.3
charges, guilty findings for relevant offences 8.5.30, 8.5.33
definition 1.3
disciplinary action and grounds for 8.5.30–8.5.32
functions carried out by operators, nominees 8.5.20
identification 8.5.26
licensed as special employees, technicians 3.4.59, 8.5.29
review of decisions regarding 8.7.1
termination of employment 8.5.35
Bingo centre employees – Licences
appeals 8.5.25
applications 8.5.21
authority conferred by 8.5.22, 8.5.23
cancellation 8.5.30–8.5.32,
8.5.35
conditions 8.5.24
disqualification 8.5.32
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duration 8.5.27
exceptions to requirement to hold 8.5.20
improperly obtained 8.5.30
ineligible persons 8.5.21
issue 8.5.22
provisional licences 8.5.36
refusal to issue 8.5.22, 8.8.1
renewal 8.5.28
requirement to be licensed 8.5.19
suspension 8.5.30–8.5.31,
8.5.33–8.5.35
variation 8.5.30–8.5.31
See also Investigations and inquiries
Bingo centre operators
accounts and financial statements 8.4.6, 8.5.37
agreements with minor gaming permit holders 8.4.6
as members, administrators of pooling schemes 8.4.9, 8.4.13
censure 8.5.13–8.5.14
change in situation 8.6.3
charges, guilty findings for relevant offences 8.5.13, 8.5.16
definition 1.3
disciplinary action and grounds for 8.5.13–8.5.15
employee functions carried out by 8.5.20
fees, expenses 8.4.6, 8.4.7
monitoring of 8.5.39–8.5.41
nominees 8.1.2, 8.5.9, 8.5.20
records kept by 8.4.6, 8.6.2
returns to Commission 8.5.38
review of decisions regarding 8.7.1
See also Associates
Bingo centre operators – Licences
applications 8.5.2–8.5.5
cancellation 8.5.13–8.5.14,
8.5.17
conditions 8.5.7, 8.5.12
contraventions of conditions 8.5.13
duration 8.5.8
grant 8.5.6–8.5.7
improperly obtained 8.5.13
ineligible persons 8.5.2
matters to be considered 8.5.5–8.5.6
not transferable 8.5.10
objections to 8.5.3–8.5.4
provisional licences 8.5.18
refusal to grant, renew 8.5.7, 8.5.11, 8.8.1
renewal 8.5.11
requirement to be licensed 8.5.1
surrender 8.5.17
suspension, variation 8.5.13–8.5.17
See also Investigations and inquiries
Bingo pooling schemes See Bingo
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Bookmakers
advertising of services 2.5.16
approved bookmaker (def.) 1.3
approved bookmaking companies (def.) 1.3
betting in public places by 2.5.8
definition 2.5.7
publication, communication of betting odds 2.5.16, 2.5.18
registered bookmakers (def.) 1.3
Calcutta Sweepstakes 2.2.9, Sch. 1
Carnivals 2.2.8
Cash facilities 1.3, 3.5.32
Casino Control Act 1991
amendments to 12.1.2, Sch. 5
Casino operators
application of Chapter 3 to 3.1.5
cannot be directors of wagering and gaming
licensee, operator 4.3.28
definition 1.3
disclosure of protected information 10.1.32
duties regarding Commission's rules 3.5.23–3.5.26
ineligible for bingo centre operator's licence 8.5.2
See also Gaming machines
Casinos
Commission's rules 3.5.23–3.5.26
conduct of gaming in declared lawful 3.2.1
definitions of casino, casino licence 1.3
prohibition on excluded persons in loyalty schemes 3.5.36
special employees 1.3, 3.4.59
Chief Commissioner of Police
nomination of sessional commissioners by 10.1.10
powers, duties, inquiries regarding
applicants for licences, approvals, listings 10.4.4
associates 3.8.3, 5.6.5, 7.7.5,
8.5.40
inspectors 10.5.2
Club keno games
accounting, auditing requirements 6.4.1–6.4.4
authorisation 6.2.2
complaints 6.4.5
credit, loans for players prohibited 6.2.10
declared lawful 6.2.1
defective machinery 6.2.7, 6.2.9
definition 1.3
financial statements 6.4.1–6.4.4
gaming revenue (def.) 6.1.2
interference with machinery, equipment, computers 6.2.8
may be conducted in approved venues 6.2.4
minors 6.2.5
not subject to Chapter 3 6.2.3
offences 6.2.5–6.2.10, 6.4.1
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participants
agents 6.2.6
contraventions of Act, authorisation 6.2.2
definition 6.1.2
payments to venue operators by 6.3.2
wholly owned subsidiaries of Trustees as 6.5.1–6.5.3
prizes 6.3.1
purpose of Chapter 6 6.1.1
regulations 11.2.1, Sch. 1
returns to players 6.3.1
sales of tickets in 6.2.5
taxes 6.3.2–6.3.3
See also Wagering licence and gaming licence
Clubs
Calcutta Sweepstakes conducted at 2.2.9
definition 1.3
licensed
applications for amalgamated club licences 3.4.23
definition of club licences 1.3
proportion of gaming machines in 3.2.3
See also Approved venues;
Community and charitable organisations;
Premises – Approval; Venue operators
Commission
See Victorian Commission for Gambling
Regulation
Commissions
agents of public lottery licensees 5.2.7
in wagering and betting 4.4.8, 4.6.1, 4.6.4
Common gaming houses and places
declarations
applications 2.5.27
notices 2.5.30–2.5.31
police powers 2.5.38
rescission of declarations 2.5.28–2.5.29
definition 1.3, 2.5.20
eviction of occupiers of 2.5.25–2.5.26
evidence 2.5.23, 2.6.5
imprisonment of persons found under warrant 2.5.40, Sch. 4
no business to be carried on in declared houses 2.5.34
obstruction of entry to 2.5.22–2.5.23,
2.5.39
owners', occupiers' liability for declared houses 2.5.35–2.5.37
persons acting as keeper of 2.6.4
persons disguised in 2.5.44
persons found in 2.5.40, 2.5.43
persons found in declared houses, places 2.5.32–2.5.33
premises used as 2.5.24
premises used as accessory to 2.5.39, Sch. 4
unlawful gaming in 2.3.3
warrants to enter , search and seize 2.5.21–2.5.23,
2.5.39, Sch. 4
witnesses 2.5.41–2.5.42
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Community and charitable gaming
declared lawful 8.2.1
definitions 8.1.2
purpose of Chapter 8 8.1.1
regulations 11.2.1, Sch. 1
See also Bingo;
Community and charitable organisations;
Fundraising events; Lucky envelopes;
Minor gaming permits; Raffles
Community and charitable organisations
declarations
appeals 8.3.4–8.3.5, 8.3.10
applications 8.3.1–8.3.2
duration 8.3.6
making of and matters considered 8.3.3
refusal 8.3.3–8.3.4
revocation 8.3.7–8.3.9
suspension 8.3.11
definition 1.3
trade or businesses (def.) 1.3
Community purposes and benefits
application of gaming revenue to 3.6.9
community benefit statements, contributions 3.6.2, 3.6.8–3.6.9,
3.7.4
definition 1.3, 3.6.2
Community Support Fund
continuation 10.3.1
payments into and out of (general) 10.3.2–10.3.3
payment into of taxes, levies on gaming machines 3.6.12
Complaints
investigation by inspectors 10.5.11
regarding
club keno games 6.4.5
interactive gaming 7.6.2
public lotteries 5.5.10
Confidential information See Protected information
Credit See Loans and credit
Criminal record checks
See Fingerprint, palm prints and photographs
Definitions
Act in general 1.3
Chapter 2 (General prohibition on gambling) 2.1.2, 2.5.1, 2.5.2,
2.5.7, 2.5.8, 2.5.11,
2.5.20, 2.5.45,
2.6.1
Chapter 3 (Gaming machines) 3.1.2, 3.1.4, 3.4.25,
3.4.31, 3.4.33,
3.4.36, 3.4.38,
3.4.48, 3.4.54,
3.4.55, 3.5.2,
3.5.28, 3.5.34–
3.5.36, 3.5.44,
3.6.2, 3.7.1
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Chapter 4 (Wagering and betting) 4.1.2, 4.3.18,
4.3.30, 4.7.5
Chapter 5 (Lotteries) 5.1.2, 5.2.11, 5.4.1,
5.4.3, 5.7.11
Chapter 6 (Club keno) 6.1.2, 6.3.2
Chapter 7 (Interactive gaming) 7.1.2–7.1.4, , 7.3.3,
7.3.9, 7.5.3, 7.8.1
Chapter 8 (Community and charitable gaming) 8.1.2, 8.3.19,
8.5.13, 8.5.30
Chapter 9 (On-board gaming) 9.1.2
Chapter 10 (Administration and enforcement) 10.1.28, 10.1.29,
10.1.31, 10.4.8
Disclosure of protected information
See Protected information
Dividends
offences 4.7.4
payment of 4.4.9, 4.6.2, 4.6.5
unclaimed 4.4.13, 4.6.9
EFTPOS facilities See Cash facilities
Enforcement agencies
definition 10.1.37
disclosure of protected information gained from 10.1.30
disclosure of protected information to and by 10.1.34, 10.1.37
law enforcement agencies 10.4.11
memorandum of understanding with Commission 10.1.37
Entry powers See Search and entry powers
Evidence
general provisions 10.3.32
regarding
betting houses 2.6.5
common gaming houses or places 2.5.23, 2.6.5
race meetings 2.6.5
things seized by inspectors 10.5.9
Excluded persons 3.5.36
Fairs 2.2.8
Fees (general provisions) 11.1.6, 11.2.1
Fetes 2.2.8
Fingerprints, palm prints and photographs
destruction 11.1.5
required in relation to
applicants for licences, approvals, listings 10.4.3
associates of operators, persons on Roll 3.8.3
associates of bingo centre operators 8.5.40
associates of interactive gaming providers 7.7.5
associates of public lottery licensees 5.6.5
inspectors 10.5.2
Foot races 2.5.10
Forfeiture
gaming equipment seized by inspectors 10.5.29
instruments of gaming, money 10.5.28
prohibited shares 4.3.22, 4.3.27
winnings from after-hours gaming 3.5.22
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Forms (general provisions) 11.1.4
Fundraising events (def.) 1.3
See also Minor gaming permits
Gambling See Gaming and gambling
Gambling Research Panel
chairperson 10.2.4, 10.2.10
constitution 10.2.4
continuation 10.2.1
Crown represented by 10.2.2
functions and powers 10.2.3
loyalty scheme participant information for 3.5.41
meetings and proceedings 10.2.10–10.2.11
members
acting appointments 10.2.7
appointment and eligibility 10.2.4
disclosure of pecuniary interests 10.2.9
remuneration 10.2.5
resignation and removal from office 10.2.8
term of office 10.2.6
official seal 10.2.1
payments out of Community Support Fund for 10.3.3
research plan 10.2.13
validity of decisions 10.2.12
Gaming Acts (def.) 1.3
Gaming and gambling
agreements and contracts 2.4.1–2.4.2
gambling business (def.) 1.3
gambling documents (def.) 2.5.11
instruments of 2.1.2, 2.5.21, 2.6.6
statistical information 10.1.35
See also Betting; Bingo; Club keno games;
Community and charitable gaming;
Gaming machines; Interactive gaming;
On-board gaming; Prohibited gambling;
Public lotteries; Trade promotion lotteries;
Wagering
Gaming equipment
authorisation of possession 3.2.2
definition 1.3
dishonest uses 3.5.28
installation and certification 3.5.15–3.5.17
interference with 3.5.10–3.5.11
seizure and forfeiture 10.5.29
See also Roll of Manufacturers, Suppliers, Testers;
Technicians
Gaming licence
See Wagering licence and gaming licence
Gaming machine areas
Commission's rules 3.5.23–3.5.26
definition 1.3
disclosure of information for anti-smoking
purposes 10.1.36
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minors in 3.5.44–3.5.53
under approvals of premises 3.3.8
under venue operator's licence 3.3.16–3.3.17,
3.4.12, 3.4.17
Gaming machines
access to 3.5.14
advertising 3.5.34–3.5.35
application of Chapter 3 to casino operators 3.1.5
application of Chapter 3 to tabaret premises 3.1.6
approved gaming machines (def.) 1.3
authorisations 3.2.2
Commission's rules 3.5.23–3.5.26
computer cabinets 1.3, 3.5.9, 3.5.11
contracts for supply, operation of 3.5.2
damage to, physical abuse 3.5.43
declarations 3.1.3
defective and malfunctioning machines 3.5.20–3.5.21
definitions 1.3, 3.1.2, 3.1.4
dishonest practices, inducements 3.5.28
electronic monitoring systems 1.3, 3.4.31, 3.5.11–
3.5.13, 4.3.6
identification 3.5.8, 3.5.11
installation 3.5.15–3.5.17
interference with 3.5.11
jackpots (def.) 3.1.2
linked jackpots 3.1.2, 3.5.7, 3.5.22
maintenance 3.2.2
manufacture 3.5.1
Ministerial directions 3.2.3
money clearance (def.) 1.3
obtaining, possession 3.2.2, 3.5.1
prohibited in bingo centres 8.5.42
purpose of Chapter 3 3.1.1
regulations 11.2.1, Sch. 1
restricted components 1.3, 3.5.1
sales and supply 3.5.1
significant game play transactions (def.) 3.4.31
storage 3.5.15
types and games
approval 3.5.4
definitions 1.3, 3.1.2
standards 3.5.3
variation 3.5.5
withdrawal of approval 3.5.6
See also Approved venues; Gaming equipment;
Gaming machine areas;
Gaming machines – Gaming on;
Gaming machines – Numbers permitted
Gaming operators; Premises – Approval;
Special employees;
Roll of Manufacturers, Suppliers, Testers;
Technicians; Venue operators;
Wagering licence and gaming licence
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Gaming machines – Gaming on
after-hours gaming on 3.5.22
ban on large denomination note acceptors 3.5.29
conduct of gaming on (def.) 1.3, 3.1.4
credit, loans for playing 3.5.31
directions from Commission 3.5.27
disputes regarding winnings 3.5.20, 3.5.23
gaming (def.) 3.1.2
gaming, playing by minors 3.5.47–3.5.48
gaming tokens 1.3, 3.5.19, 3.5.28
lawful in approved venues 3.2.1
limits on cash withdrawals, advances 3.5.32
loyalty schemes 1.3, 3.5.34,
3.5.36–3.5.41
only permitted in gaming machine areas 3.5.18
payment of winnings 3.5.33
playing of (def.) 3.1.4
refusal to pay winnings 3.5.20
returns to players 3.6.1
spin, spin rates 1.3, 3.5.29–3.5.30
taxation and application of gaming revenue
community purposes, benefits 3.6.2, 3.6.8–3.6.9,
3.7.4
definitions 3.6.2
health benefit levy 3.6.3–3.6.4
interest on late payments 3.6.10
payments to Funds 3.6.11–3.6.12
returns to venue operators, Commission 3.6.6–3.6.8, 3.9.5
supervision charge 3.6.5
Gaming machines – Numbers permitted
maximum permissible numbers 3.2.3
no compensation payable 3.2.5
on ships 9.3.3
regional limits 1.3, 3.2.4, 3.4.11,
3.4.17, 3.4.20
specified in approvals of premises 3.3.8
State limit (def.) 3.1.2
statistics 10.1.35
under venue operator's licence 3.4.11–3.4.13,
3.4.17–3.4.21
Gaming on ships See On-board gaming
Gaming operators
banking, accounting and auditing 3.7.2–3.7.6
bankruptcy 3.4.37
breaches of Act, regulations 3.4.36–3.4.37,
3.9.6
cannot be directors of wagering and gaming
licensee, operator 4.3.28
change in situation of 3.8.1
convictions for offences 3.4.37
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declared operator 1.3, 3.7.6, 3.8.1,
3.9.1
definition 1.3
directions from Commission to 3.5.27
disciplinary action against 3.4.36
documents in relation to operations of 3.7.5
employment of special employees by 3.4.39, 3.4.52
employment of technicians by 3.4.56, 3.4.58
fines 3.4.36
ineligible for bingo centre operator's licence 8.5.2
information for law enforcement purposes 10.4.11
injunctions against 3.9.6
not to be granted venue operator's licence 3.4.9
number of machines operated by 3.2.3–3.2.4
reprimands 3.4.36
request for amendments to venue operator's licence 3.4.17
resolution of disputes over winnings 3.5.20
returns to venue operators, Commission 3.6.6–3.6.8, 3.9.5
taxation, levies payable by 3.6.3, 3.6.5–3.6.6,
3.6.10
wholly owned subsidiaries of licence holders as 3.9.1–3.9.3
See also Associates; Gaming equipment;
Gaming machines;
Gaming operators – Licences
amendment of conditions 3.4.34
appeals 3.9.5
applications 3.4.29
authority conferred by 3.4.2
breaches of conditions 3.4.6, 3.4.36–
3.4.37
cancellation 3.4.37
definition 1.3
duration 3.4.32
former licensees' entitlements and licence value 3.4.33
grant 3.4.29, 3.4.31
matters to be considered 3.4.31
not transferable 3.4.35
premium payment 3.4.30
See also Investigations and inquiries
Gaming regulations (def.) 1.3
Greyhound races 1.3, 2.5.16,
2.5.18–2.5.19
Guardians 3.4.24, 7.3.15
Gymkhanas 2.2.8
Harness races 1.3, 2.5.16,
2.5.18–2.5.19
Health 5.1.1, 5.4.6
Health benefit levy 3.6.3–3.6.4
Horse races 1.3, 2.5.16,
2.5.18–2.5.19
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Hospitals and Charities Fund
definition 1.3
payments into of taxes, levies on
betting and wagering 4.4.11, 4.6.8
club keno games 6.3.3
gaming machines 3.6.4, 3.6.11
public lotteries 5.4.6
Infringements
application of penalties 10.5.25
form of notice 10.5.21
payment of penalties 10.5.22, 10.5.24
prior convictions 10.5.27
prosecution after service of notices 10.5.26
service of notices 10.5.20
withdrawal of notices 10.5.23
Inquiries See Investigations and inquiries
Inspectors
appointment 10.5.1–10.5.2
bribery 10.5.18
conflicts of interest and duty 10.1.28
criminal record checks 10.5.2
definition 1.3
employment of former inspectors 10.5.6
functions 10.5.7
giving false, misleading information to 10.5.16
identity cards 10.5.3, 10.5.8
impersonation 10.5.17
must not participate in gaming while on duty 10.5.5
obstruction 10.5.15
police assistance for 10.5.9
police may perform functions of 10.5.4
powers, duties regarding
entry 10.5.8
forfeiture 10.5.29
infringement notices 10.5.20–10.5.23
inspection in general 10.5.9
investigation of complaints 10.5.11
proof of age of minors 3.5.50
public lottery records 5.6.4
requiring names and addresses 10.5.10
search warrants 10.5.12–10.5.14
seizure 10.5.9, 10.5.12,
10.5.29
statements of accounts 3.7.3, 4.8.2, 8.6.1
Instruments of betting See Betting
Instruments of gaming See Gaming and gambling
Interactive gaming
advertising and promotion 7.2.1–7.2.2
approved games (def.) 7.1.2, 7.1.4
claims for prizes 7.4.13
complaints 7.6.2
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conduct (general) 7.1.2, 7.2.1, 7.4.4
control systems 7.1.2, 7.4.4
credit for players prohibited 7.4.8
definition of interactive game 7.1.3
directions regarding 7.6.1
equipment 7.1.2, 7.4.4, 7.4.5,
7.4.15
games not considered to be 7.1.3
gaming revenue (def.) 7.5.3
inactive players 7.4.11
jackpots (def.) 7.5.3
minors 7.4.2
non-reviewable decisions (def.) 7.8.1
participating jurisdictions 7.1.2, 7.1.5, 7.1.17
participation 7.2.1
participation by gaming officials 7.4.7
participation by licensed providers, employees 7.4.6
play, players (defs) 7.1.2
players' funds 7.4.9–7.4.11
prizes 7.4.12–7.4.15
purpose of Chapter 7 7.1.1
refunds 7.4.15
registration of players 7.4.1–7.4.3
returns to players 7.5.1
rules 7.4.4
self-exclusion orders 7.4.17
taxes, supervision charge 7.5.2–7.5.7
telecommunications devices (def.) 1.3
territorial application of Chapter 7 7.1.6
unauthorised conduct, activities 7.2.2
unclaimed prizes 7.4.12, 7.4.14
verification of player's identity 7.4.3
wagers 7.1.2, 7.4.16
withheld prizes 7.4.15
Interactive gaming – Licences
applications 7.3.1–7.3.4
cancellation 7.3.9, 7.3.11–
7.3.12
conditions 7.3.5–7.3.6
contravention of conditions 7.3.10
definition 1.3
endorsement 7.3.15–7.3.17
grant 7.3.5
improperly obtained 7.3.10
lapse 7.3.17
licensed providers
bankruptcy 7.3.10, 7.3.15,
7.3.17
carrying on of business by others 7.3.15–7.3.16
censure 7.3.9, 7.3.12
contraventions of Acts, regulations 7.3.10
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death 7.3.15, 7.3.17
definition 1.3
disciplinary action against 7.3.9–7.3.12
failure to discharge financial obligations 7.3.10
fines 7.3.9, 7.3.11
guilty findings, charges for relevant offences 7.3.9, 7.3.10,
7.3.13
information for Commission 7.7.3
information for law enforcement purposes 10.4.11
represented persons 7.3.15, 7.3.17
returns for Commission 7.5.4, 7.5.7
matters to be considered 7.3.2–7.3.4
not transferable 7.3.7
refusal to grant 7.3.5
review of decisions regarding 7.8.1
surrender 7.3.8
suspension, variation 7.3.9, 7.3.11–
7.3.14
See also Associates; Investigations and inquiries
Interests in shares in wagering and gaming licensee
See Wagering licence and gaming licence
– Shares in licensee
Internet gaming See Interactive gaming
Investigations and inquires
as means of performing Commission's functions 10.1.17, 10.1.20
conduct 10.1.22
inquiries which must be held in public 10.1.22
into applications for licences, permits, approvals
application of Chapter 10, Part 4, Division 1 10.4.1
carrying out of 10.4.2
changes in information provided 10.4.6
costs of investigating 10.4.7
finger, palm prints, photographs required 10.4.3
further information 10.4.5
list of relevant applications 10.4.1
referral to Chief Commissioner of Police 10.4.4
into associates of
applicants 10.4.3–10.4.6
bingo centre operators 8.5.40
gaming, venue operators 3.8.3
interactive gaming providers 7.7.2–7.7.3, 7.7.5
persons listed on Roll 3.8.3, 3.9.4
public lottery licensees 5.6.5
wagering and gaming licensee, operator 4.3.30
into complaints, claims for prizes
carried out by inspectors 10.5.11
club keno games 6.4.5
interactive gaming 7.4.13, 7.6.2
public lotteries 5.5.8, 5.5.10
into conduct of operations, regulated persons 10.4.8–10.4.10
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into holders of licences, permits
bingo centre employees 8.5.30
bingo centre operators 8.5.13
interactive gaming providers 7.7.1, 7.7.3
minor gaming permit holders 8.3.20
persons listed on Roll 3.9.4
public lottery licensees 5.6.3
trade promotion lottery permit holders 5.7.12
representation at 10.1.21
Jackpots See Gaming machines; Interactive gaming
Key operatives
definition 1.3, 10.1.28
restrictions on employment, association of certain
officials with 10.1.7, 10.1.28,
10.2.4, 10.5.6
See also Bingo centre operators; Casino operators;
Gaming operators;
Interactive gaming – Licences;
Public lotteries – Licensees;
Roll of Manufacturers, Suppliers, Testers;
Venue operators;
Wagering licence and gaming licence
– Licensee
Law enforcement agencies 10.4.11
Legal personal representatives 3.4.24, 7.3.15
Legal proceedings 10.5.31–10.5.32
Licences
See Bingo centre employees – Licences;
Bingo centre operators – Licences;
Gaming operators – Licences;
Interactive gaming – Licences;
Public lotteries – Licences;
Special employees; Technicians;
Venue operators – Licences;
Wagering licence and gaming licence
Licensed premises
approval of use for two-up on ANZAC Day 2.3.2
definition 1.3
proportion of gaming machines in 3.2.3
See also Approved venues; Premises – Approval;
Venue operators
Linked jackpots 3.1.2, 3.5.7, 3.5.22
Liquidators 7.3.15
Liquor licences
See Approved venues; Licensed premises;
Premises – Approvals
Loans and credit
prohibition in relation to
betting, wagering 4.7.6
club keno games 6.2.10
gaming machines 3.5.31
interactive gaming 7.4.8
on-board gaming 9.3.5
public lotteries 5.2.9
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Lotteries
advertising 2.2.3
authorised lotteries, raffles 2.2.7
definition 1.3
prohibitions 2.2.1–2.2.6
unlawful participation 2.2.6
See also Common gaming houses and places;
Public lotteries; Raffles;
Trade promotion lotteries
Loyalty schemes
advertising 3.5.34, 3.5.40
definition 1.3
excluded persons prohibited from 3.5.36
gaming machine advertising by providers of 3.5.34
opting out of 3.5.39
participant information 3.5.41
participation in general 3.5.36
player activity statements 3.5.37–3.5.38
providers (def.) 1.3
suspension, removal of participants from 3.5.38–3.5.40
Lucky envelopes 8.1.2, 8.4.1–8.4.2
See also Minor gaming permits
Mental Health Fund
continuation 10.3.4
payments into and out of (general) 10.3.5–10.3.6
payments into of taxes, levies on
club keno games 6.3.3
gaming machines 3.6.11
public lotteries 5.4.6
Minister
powers, functions, approvals regarding
approved betting competitions 4.5.1, 4.5.4
Calcutta Sweepstakes 2.2.9
club keno games, participants 6.2.2, 6.5.1
Commissioners 10.1.6–10.1.10,
10.1.13–10.1.14
communication, publication of betting odds 2.5.19
community purposes 3.6.9
Community Support Fund 10.3.3
disclosure of protected information 10.1.31, 10.1.33
enforcement agencies 10.1.37
Gambling Research Panel 10.2.4, 10.2.7,
10.2.13
gaming machine types and games 3.5.3
gaming operators 3.4.32, 3.4.37,
3.9.1
interactive games, gaming 7.1.4–7.1.5
investigations by Commission 10.4.9
loyalty schemes 3.5.41
maximum numbers of gaming machines 3.2.3–3.2.4
on-board gaming 9.3.6, 9.4.1
premises used for two-up on ANZAC Day 2.3.2
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public lotteries 5.2.5, 5.3.1–5.3.9,
5.3.11, 5.3.13,
5.3.16–5.3.24,
5.5.2, 5.5.4–5.5.5
shareholding interests in wagering and
gaming licensee 4.3.18, 4.3.21–
4.3.26
tax sharing arrangements 5.4.7, 7.1.5, 9.3.6
wagering licence and gaming licence 4.3.8, 4.3.32
warrants to enter premises accessory to
common gaming houses, places 2.5.39
Minor gaming permits
activities authorised by 8.3.14
activities permits not required for 8.2.3–8.2.4
activities permits required for 8.2.2
amendments to 8.3.17
appeals 8.3.18
applications 8.3.12
cancellation 8.3.19–8.3.21
conditions 8.3.13, 8.3.17
contravention of conditions 8.3.19
duration 8.3.15
improperly obtained 8.3.19
issue 8.3.13
nominees 8.1.2, 8.3.12,
8.3.16
permit holders
accounts, records kept by 8.6.1–8.6.2
censure 8.3.19, 8.3.21
change in situation 8.6.3
disciplinary action and grounds for 8.3.19–8.3.22
refusal to issue 8.3.13, 8.8.1
review 8.7.1
suspension, variation 8.3.19–8.3.21
See also Bingo; Fundraising events;
Lucky envelopes; Raffles
Minors
application of Chapter 3, Part 5, Division 7 3.5.45
apprentices may enter gaming machine areas 3.5.53
betting 2.5.11–2.5.13
betting, buying tickets in totalisators 4.7.1
definition 1.3
entries in public lotteries 5.2.8
in gaming machine areas 3.5.46–3.5.52
ineligible for bingo centre employee's licence 8.5.21
ineligible for special employee's licence 3.4.40
playing of club keno games 6.2.5
playing of gaming machines by 3.5.47
playing of, registration for interactive gaming 7.4.2
proof of age 3.5.44, 3.5.50–
3.5.51
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Municipal districts
definition 1.3
impact of gaming on community 3.3.6–3.3.7,
3.4.18–3.4.21
statistical information on gaming expenditure in 10.1.35
Nominees
bingo centre operators 8.1.2, 8.5.9, 8.5.20
minor gaming permits 8.1.2, 8.3.12,
8.3.16
trade promotion lottery permit holders 5.7.3, 5.7.7–5.7.8
venue operators 3.1.2, 3.4.13,
3.4.14, 3.8.1, 3.9.5
See also Investigations and inquiries
Odds See Betting
Offences (General)
by bodies corporate 10.5.30
infringements 10.5.20–10.5.27
liability of employers, principals 2.6.7
proceedings 10.5.31–10.5.32
prosecutions 10.5.26–10.5.27
references to persons found committing 2.1.2
regarding
accessory houses, places 2.5.39
applications in general 10.4.6
authorised persons 10.1.28, 10.5.18
betting houses, places of betting 2.5.2, 2.5.5–2.5.6
betting in public places 2.5.8
betting information, advertising, services 2.5.15–2.5.17,
2.5.18, 2.5.45
betting instruments 2.6.1
betting tickets 4.7.1–4.7.6
betting with minors 2.5.12
bingo 8.4.3–8.4.4
bingo centre employees 8.5.19, 8.5.24,
8.5.35, 8.6.3
bingo centre operators 8.4.7, 8.5.1, 8.5.9,
8.5.13, 8.5.37–
8.5.38, 8.5.42,
8.6.2, 8.6.3
bingo pooling schemes 8.4.8
bribery 10.5.18
cash facilities in approved venues 3.5.32
changes in situation 3.8.1
cheating 2.3.5
club keno games 6.2.5–6.2.10, 6.4.1
commissioners 10.1.28, 10.5.17–
10.5.18
common gaming houses and places 2.3.3, 2.5.22,
2.5.24, 2.5.31–
2.5.37, 2.5.43–
2.5.44
disclosure of protected information 10.1.30
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dishonest practices, inducements 3.5.28, 4.7.5, 9.3.5
dividends 4.7.4
false, misleading information 10.5.16
gaming machine areas 3.3.16
gaming operators 3.4.6, 3.5.27,
3.7.3–3.7.6
inspectors 10.1.28, 10.5.5–
10.5.6, 10.5.10,
10.5.15–10.5.18
listing on Roll, persons listed 3.4.7, 3.4.68
loans and credit 3.5.31, 4.7.6, 5.2.9,
6.2.10, 7.4.8, 9.3.5
loyalty schemes 3.5.36–3.5.41
lucky envelopes 8.4.1–8.4.2
minor gaming permits 8.2.2, 8.6.1–8.6.3
minors 2.5.12, 3.5.46–
3.5.52, 4.7.1, 5.2.8,
6.2.5, 7.4.2
obstruction of police 2.5.22, 2.5.39
on-board gaming 9.3.4–9.3.5
on-course wagering permit holders 4.8.2–4.8.5
prohibited lotteries 2.2.1–2.2.6
public lotteries 5.2.2, 5.2.8–5.2.11,
5.6.1
refusal to give name, address 2.5.40
sale of forfeited items l10.5.28
special employees 3.4.39, 3.4.42,
3.4.51, 3.4.54
staff of Commission 10.1.28
technicians 3.4.56, 3.4.58
totalisators 2.5.14, 2.5.15,
2.5.17, 4.7.1–4.7.2
trade promotion lotteries 5.7.16–5.7.18
unlawful games, gaming 2.3.4, 2.5.15,
2.5.17
venue operators 3.4.6, 3.4.14,
3.4.68, 3.5.27,
3.6.9
wagering 4.7.1–4.7.6
wagering and gaming licensee, operators 4.3.30, 4.3.33,
4.8.2–4.8.5
Offences – Gaming machines and equipment
regarding
access 3.5.14
advertising 3.5.34–3.5.35
after-hours gaming 3.5.22
certification 3.5.16
Commission's rules 3.5.23–3.5.26
contracts for supply, operation 3.5.2
defects, malfunctions 3.5.21
dishonest practices, inducements 3.5.28
identification 3.5.8
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in bingo centres 8.5.42
installation 3.5.15–3.5.17
large denomination note acceptors 3.5.29
linked jackpots 3.5.7
minors in gaming machine areas 3.5.46–3.5.52
non-approved types, games 3.5.6
payment of winnings 3.5.33
placed outside gaming machine areas 3.5.18
sealed computer cabinets 3.5.9
spins 3.5.29–3.5.30
tokens 3.5.19, 9.3.5
unauthorised manufacture, sale, supply,
obtaining, possession 3.5.1
unlawful interference 3.5.10–3.5.11,
9.3.4
variations to gaming machine types, games 3.5.5
Offences – Interactive gaming
regarding
credit provided to players 7.4.8
failure to investigate complaints 7.6.2
maintenance of equipment 7.4.5
non-compliance with conditions 7.4.4
participation by gaming officials 7.4.7
participation by providers, employees 7.4.6
players' funds 7.4.9–7.4.10
registration of players 7.4.1–7.4.3
requirements for information, documents 7.7.3
returns, revenue 7.5.4, 7.5.7
unauthorised activities 7.2.2
wagers above limit set by player 7.4.16
wagers from self-excluded players 7.4.17
On-board gaming
application of Chapter 9 9.1.3
application of Tasmanian Act, regulations 9.2.1–9.2.2, Sch. 2,
Sch. 3
conduct 9.3.3–9.3.5
declared lawful 9.3.1
definitions 9.1.2
dishonest practices, inducements 9.3.5
non-applicability of other laws 9.3.2
number of gaming machines 9.3.3
purpose of Chapter 9 9.1.1
suspension of Chapter 9 9.4.1
taxes 9.3.6
unlawful interference with gaming equipment 9.3.4
On-course wagering
banking, accounting and auditing 4.8.1–4.8.5
commissions 4.4.8
compliance with betting rules 4.4.6
dividends 4.4.9
documents in relation to operations 4.8.4
information for law enforcement purposes 10.4.11
minors 4.7.1
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permits 4.4.1–4.4.5
prohibited activities, interests of holders 4.4.7
reports on operations 4.8.6
taxes, supervision charge 4.4.9–4.4.12
unclaimed refunds and dividends 4.4.13
See also Investigations and inquiries; Totalisators
On-line gaming See Interactive gaming
Operators
See Gaming operators; Venue operators;
Wagering licence and gaming licence
– Operators
Palm prints
See Fingerprints, palm prints and photographs
Panel See Gambling Research Panel
Permits
See Minor gaming permits; On-course wagering;
Trade promotion lotteries – Permits
Photographs
See Fingerprints, palm prints and photographs
Planning matters
See Responsible authorities (Planning matters)
Poker machines See Gaming machines
Police
assistance for inspectors 10.5.9
definition of officer of 2.1.2
inspectors' functions performed by 10.5.4
powers, duties regarding
bringing of proceedings 10.5.31
forfeiture 10.5.29
instruments of betting 2.6.2
interference with gaming equipment 3.5.10, 9.3.4
prohibited gambling in general 2.6.8–2.6.9
proof of age of minors 3.5.50
search warrants 10.5.12
powers, duties regarding common gaming houses
applications for declarations, rescission 2.5.27–2.5.31
arrest of persons found under warrant 2.5.40
entry while declarations in force 2.5.38
special warrants to enter, search, seize 2.5.21–2.5.23,
2.5.39, Sch. 4
Political parties 1.3, 8.4.16
See also Community and charitable organisations
Pooling schemes See Bingo
Premises – Approvals
appeals 3.9.5
applications 3.3.4–3.3.7
conditions 3.3.9
duration 3.3.10
grant 3.3.8
liquor licence as requirement for 3.3.2, 3.3.13
matters specified in 3.3.8
outline of Chapter 3, Part 3 3.3.1
planning matters, responsible authority's role 3.3.4–3.3.9
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refusal to grant 3.3.8
review of decisions 3.3.14
revocation 3.3.12–3.3.13
suitability of premises 3.3.2–3.3.3, 3.3.7,
3.3.9
surrender 3.3.15
suspension 3.3.13
24-hour gaming in 3.3.3, 3.3.4
variation 3.3.11
See also Approved venues;
Investigations and inquiries;
Venue operators – Licences
Premium payments
gaming operator's licences 3.4.30
public lottery licences 5.2.5, 5.3.9, 5.3.19,
5.4.5
wagering licence and gaming licence 4.3.8, 4.3.12–
4.3.14
Prizes
club keno games 6.3.1
interactive gaming 7.4.12–7.4.15
public lotteries 5.2.10–5.2.11,
5.5.8–5.5.9
trade promotion lotteries 5.7.2
unclaimed 4.6.9, 5.5.9, 7.4.12,
7.4.14
wagering and betting 4.7.4
Problem gambling See Gambling Research Panel
Proceedings See Legal proceedings
Prohibited gambling
application of Chapter 2 2.1.3
definitions 2.1.2
purpose of Chapter 2 2.1.1
vicarious liability for offences against Chapter 2 2.6.7
See also Betting;
Common gaming houses and places;
Lotteries; Unlawful games
Prohibited interests
See Wagering licence and gaming licence
– Shares in licensee
Prosecutions 10.5.26–10.5.27
Protected information
definition 10.1.29
disclosure
by casino operators 10.1.32
for anti-smoking purposes 10.1.36
in legal proceedings 10.1.31
in the public interest 10.1.31, 10.1.33
other permitted disclosures 10.1.34
statistical information 10.1.35
to, by Commission 10.1.35, 10.1.37
to, by enforcement agencies 10.1.34, 10.1.37
general duty of confidentiality 10.1.30
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Public interest
considered in relation to
bingo centre operator's licences 8.5.12
community, charitable organisations 8.3.7, 8.3.9, 8.3.11
conditions of listing on Roll 3.4.64
disclosure of protected information 10.1.31, 10.1.33
gaming machine contracts 3.5.2
gaming machine types and games 3.5.6
interactive games, gaming 7.1.4, 7.4.4
meetings, inquiries held in private 10.1.22
minor gaming permits 8.3.17
public lotteries 5.2.5, 5.3.2, 5.3.5,
5.3.19
trade promotion lottery permits 5.7.9
venue operator's licences 3.4.17
Public lotteries
application of Chapter 5 5.1.3
authorised agreements, contracts 2.4.2
complaints 5.5.10
credit for players prohibited 5.2.9
declared lawful 5.2.1
definition 1.3, 5.1.2
minors' entries prohibited 5.2.8
player loss (def.) 5.4.3
players (def.) 5.1.2
prizes
claims for 5.5.8–5.5.9
non-monetary prizes 5.2.10
not payable 5.2.11
unclaimed prizes 5.5.9
prizewinners' right to anonymity 5.2.12
prohibited schemes 5.2.11
publication of information concerning wins 5.2.12
purposes of Chapter 5 5.1.1
records of entries 5.2.7
returns to players 5.4.1
rules 5.1.2, 5.2.2–5.2.5
supervision of draws 5.2.6
taxes, supervision charge 5.3.9, 5.4.2–5.4.7
Public lotteries – Licences
amendments 5.3.16–5.3.19,
5.3.23
applications 5.3.3–5.3.5
cancellation 5.3.23
conditions 5.3.7, 5.3.16,
5.3.20
contraventions of conditions 5.3.21
definition 1.3
duration and extension 5.3.8
grant and issue 5.3.5–5.3.6
improperly obtained 5.3.21
inspection 5.3.12
not transferable 5.3.10
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number issued 5.3.1
premium payment for 5.2.5, 5.3.9, 5.3.19,
5.4.5
publication and tabling requirements 5.3.11, 5.3.19
refusal to grant 5.3.5
registers 5.3.13
reports from Commission on applications 5.3.4–5.3.5
surrender 5.3.20
suspension 5.3.23–5.3.25
types of lotteries authorised by 5.3.1–5.3.2, 5.3.6
See also Investigations and inquiries
Public lotteries – Licensees
accounts and audit 5.5.1–5.5.6
bankruptcy 5.3.21
cannot be directors of wagering and gaming
licensee, operators 4.3.28
censure 5.3.23
change in situation 5.6.1
contraventions of gaming Acts, regulations 5.3.21, 5.3.24
directions by Commission to 5.5.7
disciplinary action against 5.3.21–5.3.23
failure to discharge financial obligations to players 5.3.21
financial statements 5.5.2–5.5.6
fines 5.3.23
information for Commission provided by 5.6.4
investigations of licensees, associates 5.6.3, 5.6.5
objections to amendments to other licences 5.3.17–5.3.19
records kept, provided by 5.5.1, 5.6.4
wholly owned subsidiaries appointed by 5.1.2, 5.2.2,
5.3.14–5.3.15,
5.3.26, 5.5.6, 5.6.7
See also Associates
Public places
betting in 2.5.8–2.5.10
definition 2.1.2
police authorised to enter 2.6.9
unlawful games, gaming in 2.3.4
Pubs 1.3, 3.2.3
See also Approved venues; Premises – Approvals;
Venue operators
Races and race meetings
advertising 4.2.1
definitions, interpretations 1.3, 2.1.2, 2.5.18
evidence 2.6.5
publication, communication of odds at 2.5.16, 2.5.18–
2.5.19, 4.2.1
Racing clubs
licensed racing clubs, racing club licences (defs) 1.3
proportion of gaming machines in premises 3.2.3
See also Approved venues; On-course wagering;
Premises – Approvals; Venue operators
Racing Products 1.3, 4.3.5, 4.3.8,
4.3.33
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Raffles 1.3, 2.1.3, 8.2.3
See also Minor gaming permits
Receivers
interactive gaming providers 7.3.15
venue operators 3.4.24
wagering and gaming licensee 4.3.32
Records (general provisions) 11.1.3
Recreational centres 2.2.1, 2.2.8
Recreational clubs, associations
See Community and charitable organisations
Refunds 1.3, 4.4.13, 4.6.9
Regional limits
See Gaming machines – Numbers permitted
Register of Venue Operators and Approved Venues 3.4.13
Regulated persons (def.) 10.4.8, 10.4.11
Regulations 11.2.1, Sch. 1
Repeals 12.1.1
Responsible authorities (Planning matters)
permits, rights, role regarding
approval of premises 3.3.4–3.3.9
bingo centre operator licences 8.5.3, 8.5.5
Responsible gaming See Gaming machines
Restricted components See Gaming machines
Review
of Commission's decisions regarding
amendments to venue operator's licences 3.4.21
approval of premises 3.3.14
bingo centre operator's, employee's licences 8.7.1
interactive gaming 7.8.1
minor gaming permits 8.7.1
trade promotion lotteries 5.7.19
See also Appeals
Roll of Manufacturers, Suppliers and Testers
definition 1.3
keeping of 3.4.60
listing on
amendments 3.4.64
appeals 3.9.5
applications 3.4.61
authority conferred by 3.4.5
breaches of conditions 3.4.7, 3.4.65
conditions 3.4.63, 3.4.64
grant and matters considered 3.4.63
improperly obtained 3.4.65
objections to granting of 3.4.61–3.4.62
refusal to grant 3.4.63
persons listed on
censure 3.4.65, 3.4.66
change in situation of 3.4.65, 3.8.1
convictions for offences 3.4.65
disciplinary action against 3.4.65–3.4.66,
3.9.4
fines 3.4.65
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information for law enforcement purposes 10.4.11
provision of false, misleading information 3.4.65
publication of names of 10.1.35
unlawful payments to venue operators by 3.4.68
unsatisfactory supply, testing of equipment 3.4.65
removal from 3.4.65–3.4.67
See also Associates; Gaming equipment;
Gaming machines;
Investigations and inquiries
Search and entry powers
of inspectors 10.5.8, 10.5.12–
10.5.14
of police in relation to
common gaming houses 2.5.21–2.5.23,
2.5.38, 2.5.39,
Sch. 4
instruments of betting 2.6.2
interference with gaming equipment 3.5.10, 9.3.4
search warrants 10.5.12–10.5.14
Seizure
forfeiture of things seized 10.5.28–10.5.29
instruments, money in common gaming houses 2.5.21, 2.5.38,
2.5.39, Sch. 4
instruments of betting 2.6.2
inspectors' powers 10.5.9, 10.5.12,
10.5.29
Self-incrimination
protection against 5.6.4, 7.7.3,
10.5.19
Service of documents 11.1.1–11.1.2
Shares in wagering and gaming licensee
See Wagering licence and gaming licence
– Shares in licensees
Ships See On-board gaming; Vessels
Soccer football pools 1.3, 5.4.1, 5.4.3
Special employees
applications for bingo centre employee's licences 8.5.29
bankruptcy 3.4.48
censure 3.4.48
change in situation of 3.8.1
compulsory training for 3.4.54
convictions, charges, guilty findings for offences 3.4.48–3.4.49
definition 3.4.38
disciplinary action 3.4.48
identification 3.4.44
provision of information, records by 3.4.48, 3.4.53
termination of employment 3.4.52
See also Gaming machines
Special employees - Licences
appeals 3.4.43, 3.9.5
applications 3.4.40
authority conferred by 3.4.3
cancellation 3.4.48, 3.4.51–
3.4.52
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conditions 3.4.42
contraventions of conditions 3.4.42, 3.4.48
definition 1.3
disqualification 3.4.48
duration 3.4.46
granted to bingo centre, casino employees 3.4.59
improperly obtained 3.4.48
ineligible persons 3.4.40
issue and matters considered 3.4.41
provisional licences 3.4.45
refusal 3.4.41
renewal 3.4.47
requirement to be licensed 3.4.39
return to Commission 3.4.51
suspension 3.4.48–3.4.52
variation 3.4.48
See also Investigations and inquiries
Sporting clubs, associations
See Community and charitable organisations
Sporting events (def.) 2.1.2
Sports medicine 5.1.1, 5.4.6
State limits
See Gaming machines – Numbers permitted
Statistics 10.1.35
Subsidiaries See Wholly owned subsidiaries
Supervision charges See Taxation and levies
Supreme Court
appeals to 3.9.5, 4.3.26,
8.3.10
limitation of jurisdiction 11.1.7
powers, orders, jurisdiction regarding
cancellation of gaming operator's licences 3.4.37
cancellation of notices to quit 2.5.26
cancellation of wagering licence and gaming
licence 4.3.32
revocation of club keno authorisations 6.2.2
Tabaret premises 1.3, 3.1.6, 12.1.5
Tasmanian Act See On-board gaming
Taxation and levies
approved betting competitions 4.6.6–4.6.8
club keno games 6.3.2–6.3.3
gaming machines 3.6.2–3.6.12
interactive gaming 7.5.2–7.5.7
on-board gaming 9.3.6
on-course wagering 4.4.9–4.4.12
premium payments on gaming operator's licences 3.4.30
premium payments on public lottery licences 5.3.9, 5.3.19, 5.4.5
public lotteries 5.4.2–5.4.7
supervision charges 3.6.5, 4.4.12, 4.6.7,
5.4.2, 7.5.2
wagering events 4.6.3, 4.6.7–4.6.8
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Technicians
applications for bingo centre employee's licences 8.5.29
change in situation of 3.8.1
definition 3.4.55
licences
appeals 3.9.5
authority conferred by 3.4.4
definition of technician's licences 1.3
granted to bingo centre, casino employees 3.4.59
procedures for applying, granting 3.4.57
requirement to be licensed 3.4.56, 3.4.58
See also Gaming equipment;
Investigations and inquiries
Tickets (def.) 1.3
Totalisators
advertising 2.5.15, 2.5.17
approval of totalisator equipment 4.2.3
betting rules 1.3, 4.2.4–4.2.6
commissions on amounts invested in 4.4.8, 4.6.1, 4.6.4
construction of references to money invested in 1.5
declared lawful 4.2.2
definition 1.3
dividends payable on money invested in 4.4.9, 4.6.2, 4.6.5
exemptions 4.1.2, 4.1.3
maintenance 4.7.2
minors 4.7.1
taxes on amounts invested in 4.4.9–4.4.11, 4.6.3,
4.6.6, 4.6.8
unlawful uses, operation 2.5.14, 4.7.2
used in unlawful games 2.3.1
See also Common gaming houses or places;
Roll of Manufacturers, Suppliers, Testers
Technicians
Tourist centres 2.2.1, 2.2.8
Trade promotion lotteries
conditions of entry, participation in 5.7.2, 5.7.5
conduct 5.7.16
declared lawful 5.7.1
definition 1.3
performance of Commission's functions 5.7.20
permits not required for prizes under $5000 5.7.2
purposes of Chapter 5 5.1.1
regulations 11.2.1, Sch. 1
Trade promotion lotteries – Permits
amendment 5.7.9
appeals 5.7.10
applications 5.7.3–5.7.4
cancellation 5.7.11, 5.7.13–
5.7.14
conditions 5.7.5
contraventions of conditions 5.7.11, 5.7.16
duration 5.7.6
grant and matters considered 5.7.4
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improperly obtained 5.7.11
permit holders
bankruptcy 5.7.11
censure 5.7.11, 5.7.14
change in situation of 5.7.17
contraventions of Act, regulations 5.7.11, 5.7.16
disciplinary action against 5.7.11–5.7.14
failure to provide information 5.7.11
guilty findings, charges for offences 5.7.11, 5.7.15
investigations of 5.7.12
nominees of 5.7.3, 5.7.7–5.7.8
records kept by 5.7.18
refusal to grant 5.7.4
review 5.7.19
suspension, variation 5.7.11, 5.7.13–
5.7.15
Transitional provisions 12.1.6, Sch. 7
Treasurer
powers, duties regarding
exempt totalisators 4.1.3
financial statements of club keno participants 6.4.2, 6.4.4
Funds 3.6.4, 3.6.11,
10.3.6
inactive players' funds in interactive gaming 7.4.11
tax sharing arrangements 5.4.7, 9.3.6
unclaimed dividends, refunds 4.4.13, 4.6.9
unclaimed prizes 5.5.9, 7.4.12,
7.4.14
powers, duties regarding taxes, levies on
club keno games 6.3.2–6.3.3
gaming machines 3.6.3–3.6.5
interactive gaming 7.5.2
on-board gaming 9.3.6
on-course wagering 4.4.12
public lotteries 5.4.2, 5.4.6, 5.4.7
wagering, approved betting competitions 4.6.3, 4.6.6–4.6.8
Tribunal
See Victorian Civil and Administrative Tribunal
Trustees
of interactive gaming providers 7.3.15
of venue operators 3.4.24
related entities (def.) 1.3
subsidiaries (def.) 1.3
Trustees of George Adams
cannot be directors of wagering and gaming
licensee, operators 4.3.28
definition of Trustees 1.3
See also Club keno games; Gaming operators
TT-Line arrangements See On-board gaming
24-hour gaming See Approved venues
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Two-up 2.3.1–2.3.2
Unclaimed dividends, prizes, refunds
See Dividends; Prizes; Refunds
Unlawful games
advertising 2.5.15, 2.5.17
cheating 2.3.5
conducted in common gaming houses and places 2.3.3
conducted in public places 2.3.4
definition of unlawful games 1.3
list of 2.3.1
two-up 2.3.1, 2.3.2
See also Common gaming houses and places
Venue operators
bankruptcy 3.4.24
breaches of Commission's rules 3.4.25
censure 3.4.25–3.4.26
charges, convictions, guilty findings for offences 3.4.25, 3.4.27
change in situation of 3.8.1
contraventions of Act 3.4.25, 3.9.6
definition 1.3
directions from Commission to 3.5.27
disciplinary action against 3.4.25–3.4.27
duties, rights regarding
banking, accounting and auditing 3.7.2–3.7.6
Commission's rules 3.5.23–3.5.26
community benefit statements 3.6.8–3.6.9, 3.7.4
documents in relation to operations 3.7.5
employment of special employees 3.4.39, 3.4.52,
3.4.54
employment of technicians 3.4.56, 3.4.58
information for law enforcement purposes 10.4.11
notice to Commission of certain changes 3.4.22–3.4.23
failure to provide information required by Act 3.4.25
fines for 3.4.25
ineligible for bingo centre operator's licence 8.5.2
injunctions against 3.9.6
nominees 3.1.2, 3.4.13,
3.4.14, 3.8.1, 3.9.5
publication of names of 10.1.35
register 3.4.13
represented persons 3.4.24
returns by club keno participants to 6.3.2
returns by gaming operators to 3.6.6, 3.6.8, 3.9.5
unlawful payments from persons listed on Roll to 3.4.68
See also Approved venues; Associates;
Gaming machines
Venue operators – Licences
amendments to conditions
conditions which may be amended 3.4.17
consideration and making 3.4.20
proposals 3.4.17–3.4.18
to increase number of gaming machines 3.4.17–3.4.21
to remove approved venues 3.4.17, 3.4.22
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appeals 3.9.5
applications 3.4.8
authority conferred by 3.4.1
breaches of conditions 3.4.6
cancellation 3.4.25–3.4.26
conditions 3.4.12, 3.4.24
definition 1.3
duration 3.4.12
endorsement 3.4.24
grant 3.4.12
improperly obtained 3.4.25
matters considered in determining applications 3.4.11
matters specified in 3.4.12
not to be granted to gaming operators 3.4.9
not transferable 3.4.15
objections 3.4.8, 3.4.10,
3.4.11
provisional licences 3.4.28
refusal to grant 3.4.12
renewal 3.4.16
review of decisions 3.4.21
suspension, variation 3.4.25–3.4.27
See also Approved venues; Gaming machine areas;
Investigations and inquiries;
Premises – Approval;
Vessels 2.1.2, 2.6.6
See also On-board gaming
VicRacing 1.3, 4.3.5, 4.3.8,
4.3.33
Victorian Civil and Administrative Tribunal
review of decisions regarding
amendments to venue operator's licences 3.4.21
approval of premises 3.3.14
community and charitable gaming 8.7.1
interactive gaming 7.8.1
trade promotion lotteries 5.7.19
Victorian Commission for Gambling Regulation
appeals against decisions of 3.9.5
appeals against decisions of single commissioner 3.3.17, 3.4.43,
5.7.10, 8.3.4,
8.3.18, 8.5.25
Chairperson 10.1.8, 10.1.18
commissioners
acting appointments 10.1.14
appointment 10.1.6–10.1.10
bribery 10.5.18
conflicts of interest and duty 10.1.28
definition 1.3
disclosure of pecuniary interests 10.1.19
eligibility, qualifications 10.1.7
impersonation of 10.5.17
protection for 10.1.27
remuneration 10.1.12
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Gambling Regulation Act 2003
Act No. 114/2003
667
Subject Section
resignation and removal from office 10.1.13
sessional commissioners 10.1.10, 10.1.18,
10.1.20
term of appointment 10.1.11
vacancies 10.1.13
constitution 10.1.6
Crown represented by 10.1.2
delegation 10.1.26
Deputy Chairperson 10.1.8, 10.1.18
disclosure of protected information to and by 10.1.35, 10.1.37
establishment 10.1.1
Executive Commissioner 1.3, 10.1.9, 10.1.17
functions, performance of functions 10.1.4, 10.1.16–
10.1.17
meetings 10.1.17–10.1.19,
10.1.22
memorandum of understanding with enforcement
agencies 10.1.37
Ministerial directions to 3.2.3
no compensation payable for directions, decisions 3.2.5
objectives 10.1.3
official seal 10.1.1
powers (general) 10.1.5
powers, duties regarding
authorised persons 1.3
bringing of proceedings 10.5.31
information for law enforcement purposes 10.4.11
inspectors 3.7.3, 4.8.2, 8.6.1,
10.5.1–10.5.3,
10.5.12
refunds of fees 11.1.6
reasons for decisions 10.1.16, 10.1.23–
10.1.24
service of documents on 11.1.1
staff 10.1.25, 10.1.28
validity of decisions 10.1.15
See also Bingo; Club keno games;
Community and charitable gaming;
Gaming machines; Interactive gaming;
Investigations and inquiries;
Key operatives; On-board gaming;
Public lotteries; Wagering
Wagering
commissions 4.6.1
contracts and agreements 2.4.1–2.4.2
declared lawful 4.2.1
definition 1.3
dividends 4.6.2
minors 4.7.1
offences in general 4.7.1–4.7.6
purpose of Chapter 4 4.1.1
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Victorian Legislation and Parliamentary Documents
Gambling Regulation Act 2003
Act No. 114/2003
668
Subject Section
recovery of stolen money paid away in 2.6.3
taxes, supervision charge 4.6.3, 4.6.7–4.6.8
wagering events (def.) 1.3
See also Approved betting competitions; Betting;
Interactive gaming; On-course wagering;
Totalisators;
Wagering licence and gaming licence
Wagering licence and gaming licence
applications 4.3.5–4.3.6
authority conferred by gaming licence 4.3.2
authority conferred by wagering licence 4.3.1
breaches of conditions 4.3.31–4.3.32
cancellation 4.3.32–4.3.33
conditions 4.3.9–4.3.10
definitions of wagering licence, gaming licence 1.3
duration 4.3.9
extension of term of current licences 4.3.9
former licensee's entitlement on grant of 4.3.12–4.3.14
grant 4.3.6–4.3.8
matters to be considered 4.3.6
not transferable 4.3.4
only one licence authorised 4.3.3
premium payment, value of former licences 4.3.8, 4.3.12–
4.3.14
See also Approved betting competitions;
Club keno games; Gaming machines;
Investigations and inquiries; Wagering;
other headings beginning with Wagering
licence and gaming licence
Wagering licence and gaming licence – Licensee
bankruptcy 4.3.32
change in situation 4.3.30
contraventions of Act, regulations, betting rules 4.3.28, 4.3.31–
4.3.32
convictions 4.3.32
definition of licensee 4.1.2
directors' interests in other gaming licences 4.3.28
disciplinary action against 4.3.31
fines 4.3.31
information for law enforcement purposes 10.4.11
powers under Corporations Act not affected 4.3.11
prohibited associations, interests, positions 4.3.29
related bodies corporate 4.3.29
reprimands 4.3.31
subsidiaries 4.3.29, 4.8.5
temporary licensee 4.3.33
See also Associates; Investigations and inquiries
Wagering licence and gaming licence – Operators
appointment, approval 4.3.15–4.3.17
bankruptcy 4.3.32
change in situation 4.3.30
contraventions of Act, regulations, betting rules 4.3.31–4.3.32
convictions 4.3.32
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Victorian Legislation and Parliamentary Documents
Gambling Regulation Act 2003
Act No. 114/2003
669
Subject Section
definition of operator 4.1.2
definition of wagering operator 1.3
directors' interests in other gaming licences 4.3.28
disciplinary action against 4.3.31
duties regarding
banking, accounting and auditing 4.8.1–4.8.5
documents in relation to operations 4.8.4
information for law enforcement purposes 10.4.11
reports on operations 4.8.6
fines and reprimands 4.3.31
wholly owned subsidiaries of licensee as 4.3.15–4.3.17
See also Associates; Investigations and inquiries
Wagering licence and gaming licence
– Shares in licensee
annulment of certain resolutions of licensee 4.3.24
appeals against Minister's declarations 4.3.26
application of Chapter 4, Part 3, Division 5 4.3.19
associates' interests 4.3.18, 4.3.21,
4.3.23
definitions 1.3, 4.3.18
disposal of shares 4.3.22
forfeiture of shares 4.3.22, 4.3.27
illegal, void transactions 4.3.22
information as to entitlement to shares 4.3.21
Minister's declarations and powers 4.3.18, 4.3.21–
4.3.26
prohibited interests 4.3.20–4.3.23
references to Corporations Act 4.3.18
relevant interests 4.3.18, 4.3.21–
4.3.23
review of Minister's declarations 4.3.25
sale of forfeited shares 4.3.27
shares (def.) 1.3
suspension of voting rights 4.3.21
transfer of shares 4.3.22
voting power 4.3.18, 4.3.20
voting rights 4.3.23
voting shares 4.3.18, 4.3.22,
4.3.23
Warrants
in relation to common gaming houses 2.5.21–2.5.23,
2.5.39, Sch. 4
search warrants 10.5.12–10.5.14
Wholly owned subsidiaries
gaming operator's licence holder 3.9.1–3.9.3
public lottery licensees 5.1.2, 5.2.2,
5.3.14–5.3.15,
5.3.26, 5.5.6, 5.6.7
Trustees as participants in club keno games 6.5.1–6.5.3
wagering and gaming licensee 4.3.15–4.3.17
See also Investigations and inquiries
Women's sports 5.1.1, 5.4.6
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