Due to major building activity, some collections are unavailable. Please check your requests before visiting. Learn more.
This report complies with sections 7AB and 7AC of the Public Governance Performance and Accountability (Consequential and Transitional Provisions) Rule which, for 2014-15 reporting, continues the application of the Commonwealth Authorities (Annual Reporting) Orders 2011 issued by the Minister for Finance and Deregulation on 22 September 2011.
Requirement |
Page |
Enabling legislation |
23 |
Responsible Minister |
23 |
Ministerial directions |
30 |
Other statutory requirements: • Environment Protection and Biodiversity Conservation Act 1999 • Work Health and Safety Act 2011 |
46–47 41–43 |
Information about directors |
137–140 |
Organisational structure |
24 |
Statement on governance |
25–29 |
Key activities and changes affecting the authority |
6–13 |
Judicial decisions and reviews by outside bodies |
30–31 |
Indemnities and insurance premiums for officers |
31–32 |
While not required of statutory authorities, this report also selectively complies with the Department of the Prime Minister and Cabinet’s Requirements for Annual Reports approved on 25 June 2015 by the Joint Committee of Public Accounts and Audit under subsections 63(2) and 70(2) of the Public Service Act 1999.
Requirement |
Page |
Asset management |
43–48 |
Commonwealth Fraud Control Guidelines |
39 |
Consultants |
35, 148–149 |
Financial statements |
85–133 |
Freedom of information |
31 |
Grant programs |
49 |
Purchasing |
48 |
Work Health and Safety |
41–43 |