Part VIII
-
Powers of APRA
History
Pt VIII heading inserted by No 5 of 2018, s 3 and Sch 2 item 8, applicable in relation to investigations that commence on or after 1 July 2018.
Division 4
-
Information
History
Div 4 inserted by No 5 of 2018, s 3 and Sch 2 item 9, applicable in relation to investigations that commence on or after 1 July 2018.
SECTION 62
Supply of information
(1)
APRA may require persons to provide information as follows:
(a)
an ADI may be required to give APRA information in respect of the ADI or in respect of any member of a relevant group of bodies corporate of which the ADI is a member;
(b)
an authorised NOHC may be required to give APRA information in respect of the NOHC or in respect of any member of a relevant group of bodies corporate of which the NOHC is a member;
(c)
a subsidiary of an ADI or an authorised NOHC may be required to give APRA information in respect of the subsidiary or in respect of any member of a relevant group of bodies corporate of which the subsidiary is a member;
(ca)
if an ADI is a subsidiary of a foreign corporation (whether or not the ADI is itself a foreign ADI):
(i)
another subsidiary of the foreign corporation (other than a body mentioned in paragraph (a), (b) or (c) that is incorporated in Australia may be required to give APRA information in respect of the subsidiary; or
(ii)
another subsidiary of the foreign corporation (other than a body mentioned in paragraph (a), (b) or (c)) that is not incorporated in Australia and carries on business in Australia may be required to give APRA information in respect of its Australian operations;
(d)
any other person who carries on any banking business in Australia may be required to give APRA information in connection with the person
'
s banking business.
The requirement to supply information may include a requirement to supply books, accounts or documents.
History
S 62(1) amended by No 116 of 2003, s 3 and Sch 2 items 20 to 23, by inserting
"
or in respect of any member of a relevant group of bodies corporate of which the ADI is a member
"
at the end of para (a), inserting
"
or in respect of any member of a relevant group of bodies corporate of which the NOHC is a member
"
at the end of para (b), inserting
"
or in respect of any member of a relevant group of bodies corporate of which the subsidiary is a member
"
at the end of para (c) and inserting para (ca), effective 28 November 2003.
(1A)
A person commits an offence if:
(a)
under subsection (1), APRA requires the person to provide information, books, accounts or documents; and
(b)
the person fails to comply with the requirement.
(c)
(Repealed by No 154 of 2007)
Penalty: 200 penalty units.
Note 1:
Chapter 2 of the
Criminal Code
sets out the general principles of criminal responsibility.
Note 2:
If a body corporate is convicted of an offence against this subsection, subsection 4B(3) of the
Crimes Act 1914
allows a court to impose a fine of up to 5 times the penalty stated above.
History
S 62(1A) amended by No 82 of 2010 (as amended by No 136 of 2012), s 3 and Sch 6 item 24, by substituting
"
Penalty
"
for
"
Maximum penalty
"
in the penalty, effective 27 July 2010.
S 62(1A) amended by No 154 of 2007, s 3 and Sch 1 items 48 and 49, by substituting
"
requirement.
"
for
"
requirement; and
"
in para (b) and repealing para (c), effective 24 September 2007. S 62(1A) formerly read:
(c)
there is no order in force under section 11 determining that this subsection does not apply to the person.
(1B)
An offence against subsection (1A) is an indictable offence.
(1C)
If a person fails to comply with a requirement under subsection (1) in circumstances that give rise to the person committing an offence against subsection (1A), the person commits an offence against subsection (1A) in respect of:
(a)
the first day on which the offence is committed; and
(b)
each subsequent day (if any) on which the circumstances that gave rise to the person committing the offence continue (including the day of conviction for any such offence or any later day).
Note:
This subsection is not intended to imply that section 4K of the
Crimes Act 1914
does not apply to offences against this Act or the regulations.
(2)
A requirement under subsection (1) must not require information, books, accounts or documents to be given with respect to the affairs of an individual customer of an ADI unless the information, books, accounts or documents are in respect of prudential matters relating to:
(a)
the ADI; or
(b)
any member of a relevant group of bodies corporate of which the ADI is a member.
History
S 62(2) amended by No 116 of 2003, s 3 and Sch 2 item 23A, by substituting all the words after
"
prudential matters relating to:
"
for
"
relating to the ADI.
"
, effective 28 November 2003.
(3)
To avoid doubt, this section applies to a person that is, or becomes, a Chapter 5 body corporate (within the meaning of the
Corporations Act 2001
) in the same way as this section applies to any other person.
History
S 62(3) amended by No 11 of 2016, s 3 and Sch 2 item 35, by substituting
"
a Chapter 5 body corporate
"
for
"
an externally-administered body corporate
"
, effective 1 March 2017.
S 62(3) inserted by No 82 of 2010, s 3 and Sch 1 item 44, effective 27 July 2010.
Former s 62(3) repealed by No 154 of 2007, s 3 and Sch 1 item 50, effective 24 September 2007. Former s 62(3) formerly read:
(3)
An individual is not excused from complying with a requirement under subsection (1) to give information, books, accounts or documents on the ground that doing so would tend to incriminate the individual or make the individual liable to a penalty.
(4)
(Repealed by No 154 of 2007)
History
S 62(4) repealed by No 154 of 2007, s 3 and Sch 1 item 50, effective 24 September 2007. S 62(4) formerly read:
(4)
If:
(a)
before giving information, books, accounts or documents in compliance with a requirement under subsection (1), an individual claims that giving the information, books, accounts or documents might tend to incriminate the individual or make the individual liable to a penalty; and
(b)
giving the information, books, accounts or documents might in fact tend to incriminate the individual or make the individual so liable;
the information, books, accounts or documents given in compliance with the requirement is not, or are not, admissible in evidence against the individual in a criminal proceeding or a proceeding for the imposition of a penalty, other than a proceeding in respect of the falsity of the information, books, accounts or documents.
(5)
(Repealed by No 121 of 2001)
History
S 62(5) repealed by No 121 of 2001, s 3 and Sch 2 item 17, effective 1 July 2002.
Act No 121 of 2001, s 3 and Sch 2 item 18, contained the following application provision:
Application
18(1)
The amendments apply to a financial sector entity (within the meaning of the
Financial Sector (Collection of Data) Act 2001
) that is a body referred to in subitem (2) only on and after the day on which the reporting standards determined under section 13 of that Act begin to apply under section 15 of that Act to a class or kind of financial sector entities in which that body is included.
18(2)
The bodies are:
(a)
ADIs; and
(b)
authorised NOHCs; and
(c)
subsidiaries of ADIs; and
(d)
subsidiaries of authorised NOHCs.
18(3)
Expressions used in subitem (2) have the same meanings as in the
Banking Act 1959
.
S 62(5) formerly read:
62(5)
Nothing in section 51 restricts the powers conferred by this section.