National Consumer Credit Protection Act 2009
Subsection 133CR(1) or (3) does not apply, and is taken never to have applied, to a licensee for a credit reporting body if: (a) the licensee reasonably believes that the body is not complying with section 20Q of the Privacy Act 1988 :
(i) on the 1 July referred to in that subsection; and
(b) in the case of subsection 133CR(3) - the licensee continues to hold that belief after that 90-day period; and (c) the licensee satisfies subsection (2) of this section.
(ii) on the last day of the 90-day period starting on that 1 July; and
Note 1:
Paragraph (b) means that, if the licensee ceases to hold that belief after the 90-day period starting on the 1 July in subsection 133CR(3) , this exception will cease to apply and the supply requirement in subsection 133CR(3) will apply.
Note 2:
A person who wishes to rely on this subsection bears an evidential burden in relation to the matters in this subsection (see subsection (3) of this section and subsection 13.3(3) of the Criminal Code ).
133CS(2)
The licensee satisfies this subsection if: (a) the licensee prepares a written notice:
(i) stating that the licensee reasonably believes that the credit reporting body is not complying with section 20Q of the Privacy Act 1988 on that 1 July; and
(ii) setting out the licensee ' s reasons for that belief; and
(b) the licensee gives that notice to the body, and a copy to the Information Commissioner and ASIC, within 7 days after that 1 July; and (c) the licensee prepares a written notice (the final notice ):
(iii) stating that the body may try to convince the licensee otherwise, but that in the case of subsection 133CR(1) the body will need to do so before the end of the 90-day period starting on that 1 July; and
(i) stating that the licensee reasonably believes that the body is not complying with section 20Q of the Privacy Act 1988 on the last day of that 90-day period; and
(d) the licensee gives the final notice to the body, and a copy to the Information Commissioner and ASIC, within 7 days after the last day of that 90-day period.
(ii) setting out the licensee ' s reasons for that belief; and
133CS(3)
A licensee who wishes to rely on subsection (1) in proceedings for a declaration of contravention or a pecuniary penalty order bears an evidential burden in relation to the matters in that subsection.
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