Alberta Gazette — 15 January 2015 (Part II)

15 January 2015

Alberta — Gazette

Alberta Gazette — 15 January 2015 (Part II)

15 January 2015

Alberta — Gazette

Alberta Regulation 221/2014

Apprenticeship and Industry Training Act

GLAZIER TRADE REGULATION

Filed: December 11, 2014

For information only: Made by the Alberta Apprenticeship and Industry Training

Board on November 7, 2014 and approved by the Minister of Innovation and

Advanced Education on December 15, 2014 pursuant to

section 33(2) of the

Apprenticeship and Industry Training Act.

Table of Contents

Definitions

General Matters Respecting the Trade

2 Constitution of the trade

3 Tasks, activities and functions

Apprenticeship

4 Term of the apprenticeship program

5 Employment of apprentices

6 Wages

Transitional Provisions, Repeals,

Expiry and Coming into Force

7 Transitional

8 Repeal

9 Expiry

10 Coming into force

Definitions

1 In this Regulation,

(a) "apprentice" means a person who is an apprentice in the

trade;

(b) "certified journeyperson" means a certified journeyperson as

defined in the Apprenticeship Program Regulation

(AR 258/2000);

(c) "glass" means any type of commercial, residential,

decorative or auto glass or related material and without

limiting the generality of the foregoing includes

(

i) curtain walls,

(ii) skylites and sloped glazing,

(iii) frames and doors,

(iv) automatic doors,

(

v) manual doors,

(vi) mirrors,

(vii) glass for vehicles, and

(viii) glass for off-road heavy equipment;

(d) "technical training" means technical training as defined in the

Apprenticeship Program Regulation (AR 258/2000);

(e) "trade" means the occupation of glazier that is designated as

an optional certification trade pursuant to the Apprenticeship

and Industry Training Act;

(f) "uncertified journeyperson" means an uncertified

journeyperson as defined in the Apprenticeship Program

Regulation (AR 258/2000).

General Matters Respecting the Trade

Constitution of the trade

2 The following undertakings constitute the glazier trade:

(

a) glazing, setting, attaching, installing and removing all types

of glass for buildings, fixtures, vehicles, off-road heavy

equipment and other uses;

(

b) installing, fitting, fabricating and attaching architectural

metals or related products for all types of buildings;

(

c) cutting, preparing, fabricating or any other handling of glass

for buildings, fixtures and other uses.

Tasks, activities and functions

3 When practising or otherwise carrying out work in the glazier trade,

the following tasks, activities and functions come within that trade:

(

a) diagnosing problems and making repairs related to glazing;

(

b) carrying out damaged lite removal procedures and installing

and sealing new components;

(

c) storing and handling glass;

(

d) preparing and fabricating glass to specifications;

(

e) selecting, cutting and fitting glass;

(

f) cutting, etching and installing mirrors;

(

g) installing glass into window frames;

(

h) using the National Auto Glass Specifications Parts Book,

including identifying and selecting heat treated or laminated

bent glass parts and following cutting and edgework

procedures for laminated flat glass in accordance with

National Auto Glass specifications;

(

i) installing auto glass;

(

j) installing auto glass with electrical components such as

in-glass radio antennas or defoggers;

(

k) installing and renovating residential windows, tub enclosures,

shower doors and related products;

(

l) interpreting drawings and specifications;

(

m) preparing, fabricating, installing and maintaining aluminum

and glass doors, windows, storefronts, screens and associated

hardware;

(

n) fabricating and installing curtain walls;

(

o) fabricating and installing skylites, sloped glazing, barrel

vaults, solariums and other support structures;

(

p) preparing and installing building envelope materials and

sealants;

(

q) installing structural glass, balustrades, handrails and smoke

baffles;

(

r) installing and maintaining automatic and revolving doors;

(

s) operating hand and power operated equipment that is used in

the glazier trade.

Apprenticeship

Term of the apprenticeship program

4(1) Subject to credit for previous training or experience being

granted pursuant to an order of the Board, the term of an

apprenticeship program for the glazier trade is 4 periods of not less

than 12 months each.

(2) In the first period of the apprenticeship program an apprentice

must acquire not less than 1620 hours of on the job training and

successfully complete the technical training that is required or

approved by the Board.

(3) In the 2nd period of the apprenticeship program an apprentice

must acquire not less than 1620 hours of on the job training and

successfully complete the technical training that is required or

approved by the Board.

(4) In the 3rd period of the apprenticeship program an apprentice must

acquire not less than 1620 hours of on the job training and successfully

complete the technical training that is required or approved by the

Board.

(5) In the 4th period of the apprenticeship program an apprentice must

acquire not less than 1620 hours of on the job training and successfully

complete the technical training that is required or approved by the

Board.

Employment of apprentices

5(1) If a person employs an apprentice in the glazier trade, that

employment must be carried out in accordance with this section.

(2) Subject to subsection (3), a person who is a certified journeyperson

or an uncertified journeyperson in the glazier trade or employs a

certified journeyperson or an uncertified journeyperson in the glazier

trade may employ

(a) 2 apprentices in that trade, and

(b) 2 additional apprentices in that trade for each additional

certified journeyperson or uncertified journeyperson in that

trade that is employed by the person.

(3) Subsection (2) does not apply to an apprentice who is engaged in

an apprenticeship program in the glazier trade and has completed all

the requirements required or approved by the Board for advancement

into the 4th period of that apprenticeship program.

Wages

6(1) With respect to the payment of wages to an apprentice in an

apprenticeship program in the glazier trade, a person shall not, subject

to the Apprenticeship Program Regulation (AR 258/2000), pay wages

to an apprentice that are less than those provided for under subsection

(2).

(2) Subject to the Employment Standards Code, a person employing

an apprentice referred to in subsection (1) must pay wages to the

apprentice that are at least equal to the following percentages of the

wages paid to employees who are certified journeypersons or

uncertified journeypersons in the glazier trade:

(a) 55% in the first period of the apprenticeship program;

(b) 60% in the 2nd period of the apprenticeship program;

(c) 65% in the 3rd period of the apprenticeship program;

(d) 70% in the 4th period of the apprenticeship program.

Transitional Provisions, Repeals,

Expiry and Coming into Force

Transitional

7 Subject to an order of the Board under

section 3(2) of the Act with

respect to existing apprentices in the glazier trade, a person who

immediately before January 1, 2015 was an apprentice in an

apprenticeship program under the Glazier Trade Regulation

(AR 280/2000) may complete that apprenticeship program under the

Glazier Trade Regulation (AR 280/2000) in accordance with and

subject to the same rights and obligations under that Regulation as if

that Regulation were still in force.

Repeal

8 The Glazier Trade Regulation (AR 280/2000) is repealed.

Expiry

9 For the purpose of ensuring that this Regulation is reviewed for

ongoing relevancy and necessity, with the option that it may be

repassed in its present or an amended form following a review, this

Regulation expires on August 31, 2020.

Coming into force

10 This Regulation comes into force on January 1, 2015.

Alberta Regulation 222/2014

Apprenticeship and Industry Training Act

APPRENTICESHIP AND INDUSTRY TRAINING REGULATIONS

(GLAZIER TRADE) AMENDMENT REGULATION

Filed: December 16, 2014

For information only: Made by the Minister of Innovation and Advanced Education

(M.O. 301/2014) on December 15, 2014 pursuant to sections 33(1) and 49 of the

Apprenticeship and Industry Training Act.

1(1) The Appeal Rules Regulation (AR 58/99) is amended by

this section.

(2) Section 2 is amended by adding the following after

subsection (3):

(4) Notwithstanding

section 43(

c) of the Act and this Regulation, a

refusal by the Executive Director to register a contract of

apprenticeship in the auto glass technician branch of the glazier trade

on or after January 1, 2015 is not subject to appeal.

2(1) The Apprenticeship and Industry Training

Administration Regulation (AR 257/2000) is amended by

this section.

(2) Section 16 is amended

(

a) by repealing subsection (1) and substituting the

following:

Refusal to register

16(1) The Executive Director may refuse to register a contract

of apprenticeship if

(

a) the contract of apprenticeship is in a form that is not

acceptable to the Executive Director,

(

b) the application made under the Apprenticeship Program

Regulation is not approved, or

(

c) the contract of apprenticeship relates to a trade or a

branch of a trade that is not provided for under the

applicable trade regulation.

(

b) in subsection (2)(

c) by adding ", if applicable" after

"Part 4 of the Act".

3 This Regulation comes into force on January 1, 2015.

--------------------------------

Alberta Regulation 223/2014

Municipal Government Act

CAPITAL REGION BOARD FINANCIAL MATTERS

MODIFICATION REGULATION

Filed: December 19, 2014

For information only: Made by the Minister of Municipal Affairs (M.O. L:168/14)

on December 16, 2014 pursuant to

section 708.05(3) of the Municipal Government

Act.

Table of Contents

Definitions

2 Modifications to Division 3 of

Part 15.1 of the Act

3 Transitional

4 Expiry

5 Coming into force

Definitions

1 In this Regulation,

(a) "Act" means the Municipal Government Act;

(b) "Capital Region Board" means the Capital Region Board

established under the Capital Region Board Regulation

(AR 38/2012).

Modifications to Division 3 of

Part 15.1 of the Act

2 The following provisions of the Act, as they apply to the Capital

Region Board, are modified as specified:

(

a) section 602.18 is to be read as if "the calendar year" were

struck out and "April 1 to the following March 31" were

substituted;

(

b) section 602.19 is to be read as if "calendar year" were struck

out and "financial year" were substituted;

(

c) section 602.22 is to be read as if "calendar year" were struck

out and "financial year" were substituted;

(

d) section 602.32(1) is to be read as if it were repealed and the

following were substituted:

602.32(1) If the Minister determines that the Capital Region

Board provides a regional service comparable to a regional

service commission, the Minister may require the Capital

Region Board to prepare a financial information return

respecting the financial affairs of the Capital Region Board for

the immediately preceding financial year.

(

e) section 602.33 is to be read as if "calendar year" were struck

out and "financial year" were substituted;

(

f) section 602.34 is to be read as if it were repealed and the

following were substituted:

602.34(1) The Capital Region Board must submit its audited

annual financial statements to the Minister and each member of

the Capital Region Board by August 1 of the year following the

financial year for which the audited annual financial statements

have been prepared.

(2) If the Minister requires the Capital Region Board to

prepare a financial information return, the Capital Region

Board must submit its financial information return to the

Minister and each member of the Capital Region Board by

August 1 of the year following the financial year for which the

financial information return has been prepared.

Transitional

3 Despite

section 2,

(

a) the Capital Region Board is deemed to have a financial year

from January 1, 2015 to March 31, 2015;

(

b) the Capital Region Board must

(

i) adopt an operating budget for the financial year January

1, 2015 to March 31, 2015,

(ii) adopt a capital budget for the financial year January 1,

2015 to March 31, 2015,

(iii) prepare audited annual financial statements for the

financial year January 1, 2015 to March 31, 2015, and

(iv) submit its audited annual financial statements for the

financial year January 1, 2015 to March 31, 2015 to the

Minister and each member of the Capital Region Board

by August 1, 2015.

Expiry

4 For the purpose of ensuring that this Regulation is reviewed for

ongoing relevancy and necessity, with the option that it may be

repassed in its present or an amended form following a review, this

Regulation expires on November 30, 2024.

Coming into force

5 This Regulation comes into force on January 1, 2015.

--------------------------------

Alberta Regulation 224/2014

Employment Pension Plans Act

EMPLOYMENT PENSION PLANS AMENDMENT REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 477/2014)

on December 19, 2014 pursuant to

section 159 of the Employment Pension Plans Act.

1 The Employment Pension Plans Regulation

(AR 154/2014) is amended by this Regulation.

2 The following is added after

section 10:

Exemption relating to collectively bargained multi-employer plans with

a defined benefit provision

10.1(1) The Superintendent may, on the application of an

administrator of a collectively bargained multi-employer plan of

which the plan text document contains a defined benefit provision

exempt, in writing, the plan from the funding requirements of

sections 60 and 90 and require instead that the plan be funded in

accordance with the funding requirements of

section 61 with respect

to that defined benefit provision.

(2) An application referred to in subsection (1) must include

(

a) a statement that while the plan is under the exemption

(

i) the defined benefit provision will be funded as provided

for in

section 61, subject to subsection (3),

(ii) no improvements will be made to the plan without the

consent of the Superintendent,

(iii) the commuted value of the defined benefit provision

will be determine in accordance with

section 9(1), and

(iv) the plan will, on termination of active membership or

pre-retirement death of the member, pay the full value

of the benefit, regardless of the current solvency ratio of

the provision,

and

(

b) an actuarial valuation and cost certificate that meet the

requirements of subsection (3).

(3) The actuarial valuation and cost certificate required by

subsection (2)(

b) must

(

a) be performed in accordance with

section 61 of the Act, and

must be performed as at December 31, 2014 or the date

agreed to by the Superintendent,

(

b) recognize that the commuted value of benefits will be

determined and paid in accordance with subsection (2)(a)(iii),

and

(

c) recognize that the contribution required under

section

61(2)(b)

(

i) will commence in the year in which the exemption is

granted and will be 1/3 of the amount that would

otherwise be required by that section,

(ii) in the second year after the exemption is granted the

amount will be 2/3 of the amount that would otherwise

be required by that section, and

(iii) each year thereafter will be the full amount required by

that section.

(4) The exemption applies from the date the Superintendent

considers appropriate for the plan and so specified in the

Superintendent's written consent to the exemption, and expires on

the date that the Superintendent determines or such earlier date

consented to in writing by the Superintendent pursuant to an

application under subsection (5).

(5) An administrator may apply to the Superintendent to rescind an

exemption at any time.

(6) An application under subsection (5) must be in writing and must

include

(

a) an actuarial valuation and cost certificate compliant with

section 60 as at the date the exemption is rescinded, and

(

b) any other documentation or information required by the

Superintendent.

(7) The Superintendent may, pursuant to

section 6 of the Act,

impose any other terms or conditions on granting the exemption that

may be considered appropriate to ensure compliance.

Section 11(6) is amended by striking out "and" at the end

of clause (a), by adding "and" at the end of clause (

b) and by

adding the following after clause (b):

(

c) allowing that plan to use the rules for division of pensions on

marriage breakdown that apply to the plan to which the plan

is supplemental, rather than the rules under sections 79 to

Section 52(

b) is repealed and the following is

substituted:

(

b) after that, within 365 days after the end of each subsequent

3rd fiscal year of the plan.

Section 70(2) is amended by striking "30 days" and

substituting "150 days".

Section 72 is amended

(

a) in subsection (4)(

b) by striking out "December 31,

2014" and substituting "June 30, 2015";

(

b) by adding the following after subsection (4):

(4.1) Contributions remitted after September 1, 2014 by a

member referred to in subsection (4)(

b) must be deposited into

the default account under subsection (4)(b).

Section 79(2)(

d) is amended by striking out "82(12)" and

substituting "82(10)".

Section 93(

b) is repealed.

Section 111(

c) is amended by striking out "since the end

of" and substituting "in".

Section 114(2)(

c) is amended by striking out

"administrator or".

Section 131(1) is amended by adding "and" at the end of

clause (a).

Section 159(3) is amended by striking out "December 31,

2014" and substituting "June 30, 2015".

Schedule 6 is amended by repealing Form 1 and

substituting the following:

Form 1

Administrator Statement of Compliance

- Plan Registration

Administrators are required under

section 13 of the Act to file a

statement that an application for registration of a pension plan

complies with the provisions of the Employment Pension Plans Act

(SA 2012 cE-8.1) (the "Act") and the regulations under the Act. The

issuance by the Superintendent of Pensions (the "Superintendent") of

a Certificate of Registration for a pension plan registered under the

Act will be made based on this statement. Administrators are

reminded that the Superintendent has the power to refuse to register

or to revoke any registration that does not comply with the Act and

the regulations.

I, [name of administrator] , the administrator of [name of

pension plan] , attach an application for registration of a pension

plan dated [mm/dd/yyyy] , and CERTIFY AS FOLLOWS:

1 I am satisfied that the plan documents of the pension plan that are

filed with this certificate comply with the provisions of the Act and

the regulations.

2 I acknowledge that the obligation to determine compliance of the

documents filed with this certificate is the responsibility of the

administrator and I declare that I have fulfilled that responsibility

and have complied with the provisions of the Act and the regulations

in making this application.

3 The following have been established in relation to the plan:

(

a) a governance policy that meets the requirements of

section

42(1) of the Act;

(

b) a statement of investment policies and procedures that meets

the requirements of

section 43(1) of the Act;

(

c) a funding policy that meets the requirements of

section 44 of

the Act.

I declare that the above statements are true to the best of my

knowledge and belief and I am making this certificate

conscientiously believing it to be true and knowing that it is of the

same force and effect as if made under oath.

DATED [mm/dd/yyyy].

Signature of administrator or authorized officer

Name of administrator or authorized officer (printed)

(NOTE: The administration of a pension plan or pension fund in a

manner that does not comply with the provisions of the Act and the

regulations may be subject to an administrative penalty under

section

136 of the Act or may be considered an offence under

section 143 of

the Act. In addition, an administrator may be subject to a direction

for compliance under

section 133 of the Act issued by the

Superintendent relating to, among other matters, the manner of

administration of the pension plan or pension fund.

Schedule 6 is amended in Forms 4 to 16 by striking out

"I certify that I witnessed this pension partner sign this waiver form in

the absence of the plan member on" and substituting "I certify that

I am not related to this pension partner, and that I witnessed this

pension partner sign this waiver form in the absence of the plan

member on";

Alberta Regulation 225/2014

Climate Change and Emissions Management Act

SPECIFIED GAS EMITTERS AMENDMENT REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 487/2014)

on December 19, 2014 pursuant to sections 5 and 60 of the Climate Change and

Emissions Management Act.

1 The Specified Gas Emitters Regulation (AR 139/2007) is

amended by this Regulation.

Section 30 is amended by striking out "December 31, 2014"

and substituting "June 30, 2015".

3 The

Schedule is repealed and the following is

substituted:

Schedule

Specified Gases and Their

Global Warming Potentials

Specified Gas

Chemical Formula

Global Warming

Potential (100

year time horizon)

Carbon dioxide

CO2

Methane

CH4

Nitrous oxide

N2O

HFC-23

CHF3

HFC-32

CH2F2

HFC-41

CH3F

HFC-43-10mee

C5H2F10

HFC-125

C2HF5

HFC-134

C2H2F4

HFC-134a

CH2FCF3

HFC-152a

C2H4F2

HFC-143

C2H3F3

HFC-143a

C2H3F3

HFC-227ea

C3HF7

HFC-236fa

C3H2F6

HFC-245ca

C3H3F5

Sulphur hexafluoride

SF6

Perfluoromethane

CF4

Perfluoroethane

C2F6

Perfluoroproprane

C3F8

Perfluorobutane

C4F10

Perfluorocyclobutane

c-C4F8

Perfluoropentane

C5F12

Perfluorohexane

C6F14

--------------------------------

Alberta Regulation 226/2014

Climate Change and Emissions Management Act

CLIMATE CHANGE AND EMISSIONS MANAGEMENT ACT

REGULATIONS (EXTENSION OF EXPIRY DATE)

AMENDMENT REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 488/2014)

on December 19, 2014 pursuant to

section 60 of the Climate Change and Emissions

Management Act.

1 The Administrative Penalty Regulation (AR 140/2007) is

amended in

section 5 by striking out "December 31, 2014" and

substituting "June 30, 2015".

2 The Climate Change and Emissions Management Fund

Administration Regulation (AR 120/2009) is amended in

section 15 by striking out "December 31, 2014" and

substituting "June 30, 2015".

3 The Specified Gas Reporting Regulation (AR 251/2004)

is amended in

section 11 by striking out "December 31, 2014"

and substituting "June 30, 2015".

--------------------------------

Alberta Regulation 227/2014

Justice of the Peace Act

JUSTICE OF THE PEACE AMENDMENT REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 495/2014)

on December 19, 2014 pursuant to

section 15 of the Justice of the Peace Act.

1 The Justice of the Peace Regulation (AR 6/99) is

amended by this Regulation.

Section 3 is amended

(

a) by repealing clause (p.1);

(

b) by repealing clause (w.1) and substituting the

following:

(w.1) Tobacco and Smoking Reduction Act;

--------------------------------

Alberta Regulation 228/2014

Provincial Offences Procedure Act

PROCEDURES (TOBACCO AND SMOKING REDUCTION)

AMENDMENT REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 496/2014)

on December 19, 2014 pursuant to

section 42 of the Provincial Offences Procedure

Act.

1 The Procedures Regulation (AR 233/89) is amended by

this Regulation.

Section 2 is amended by

(

a) repealing clause (n.1);

(

b) by repealing clause (p.001) and substituting the

following:

(p.001) Tobacco and Smoking Reduction Act;

Schedule 2 is amended

(

a) by repealing

Part 19.1;

(

b) by repealing

Part 46 and substituting the following:

Part 46

Tobacco and Smoking Reduction Act

1 The specified penalty payable in respect of a contravention of the

Tobacco and Smoking Reduction Act shown in Column 1 is the

amount shown in Column 2 in respect of that provision.

2 Proceedings with respect to a contravention of any provision of

the Tobacco and Smoking Reduction Act shown in Column 1 may be

commenced by a violation ticket issued under either

Part 2 or

Part 3

of the Provincial Offences Procedure Act.

Item

Number

Column 1 (Section

Number of Act)

Column 2 (Specified

Penalty in Dollars)

3(a), (b), (

c) or (d)

3(b.1)

3.1(1)(a), (b), (

c) or (

d) or

(2) 100

7(1), (2) or (3)

7(2.1)

7.1

7.2(1)(

a) or (b)

7.21

7.3(a), (b), (

c) or (d)

7.4(2)

7.5(2)

3 The specified penalty payable in respect of a contravention of

section 7.5(1) of the Tobacco and Smoking Reduction Act is

(

a) if the person is an individual, $250, and

(

b) if the person is a retailer, $500.

4 Items 2, 3, 6, 10 and 12 referred to in

section 2 and

section 3 are

effective 30 days after

section 1 comes into force.

5 Items 9 and 11 referred to in

section 2 are effective on and after

June 1, 2015.

Alberta Regulation 229/2014

Labour Relations Code

STURGEON REFINERY PROJECT DESIGNATION REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 497/2014)

on December 19, 2014 pursuant to

section 196 of the Labour Relations Code.

Definition

1 In this Regulation, "Code" means the Labour Relations Code.

Designation of project

2 For the purposes of

section 196 of the Code,

(

a) the project known as the Sturgeon Refinery Project is

designated as a project to which Division 8 of

Part 3 of the

Code applies,

(

b) Sturgeon Refinery Corporation is designated as the principal

contractor of the Sturgeon Refinery Project,

(

c) Sturgeon Refinery Corporation is authorized to bargain

collectively in respect of the Sturgeon Refinery Project, and

(

d) the scope of construction in respect of the Sturgeon Refinery

Project to which a collective agreement under Division 8 of

Part 3 shall apply is all construction work until completion of

phase one of the Project.

Expiry

3 For the purpose of ensuring that this Regulation is reviewed for

ongoing relevancy and necessity, with the option that it may be

repassed in its present or an amended form following a review, this

Regulation expires on September 30, 2017.

Alberta Regulation 230/2014

Municipal Government Act

PINCHER CREEK EMERGENCY SERVICES COMMISSION REGULATION

Filed: December 19, 2014

For information only: Made by the Lieutenant Governor in Council (O.C. 501/2014)

on December 19, 2014 pursuant to

section 602.02 of the Municipal Government Act.

Table of Contents

1 Establishment

2 Members

3 Services

4 Operating deficits

5 Property

6 Profit and surpluses

7 Approval

Schedule

Establishment

1 A regional services commission known as the Pincher Creek

Emergency Services Commission is established.

Members

2 The following municipalities are members of the Commission:

(

a) Municipal District of Pincher Creek No. 9;

(

b) Town of Pincher Creek.

Services

3 The Commission is authorized to provide

(

a) fire and rescue services, and

(

b) emergency medical services, which includes inter-hospital

transfers.

Operating deficits

4 The Commission may not assume operating deficits that are shown

on the books of any of the member municipalities.

Property

5(1) The member municipalities shall execute all documents and do

all things necessary to transfer to the Commission all land, buildings

and personal property listed in the Schedule.

(2) The Commission may not, without the approval of the Minister,

sell any of its land, buildings or personal property whose purchase has

been funded wholly or partly by grants from the Government of

Alberta.

(3) The Minister may give approval under subsection (2) if satisfied

(

a) as to the repayment of grants from the Government of

Alberta and outstanding debt associated with that portion of

the land, buildings and personal property to be sold,

(

b) that the sale would not have a significant adverse effect on

the services the Commission provides, and

(

c) that the sale will be properly reflected in the rates

subsequently charged to the member municipalities of the

Commission.

Profit and surpluses

6 Unless otherwise approved by the Minister, the Commission may

not

(

a) operate for the purposes of making a profit, or

(

b) distribute any of its surpluses to its members.

Approval

7 The Minister may make an approval under

section 5 or 6 subject to

any terms or conditions the Minister considers appropriate.

Schedule

Land

Lundbreck Fire Hall (Plan 2177S, Block 7, Lots 7-11)

Pincher Creek Fire Hall [First, Plan Pincher Creek 8311111, Block

"C", Lot 3; Second, Plan Pincher Creek 8311111, Block "C", the

westerly three and forty eight one thousandths (3.048) metres in

perpendicular throughout of lot four (4)]

Equipment Lists

Fire Services

Fire Engine Type 1 #E 11

1999 International

VIN: 1HTSDADRXYH310751

Fire Engine Type 1 #E 12

1990 Pierce Dash

VIN: 4P1CT01F6LA900561

Fire Engine Type 1 #E15

2011 Pierce Impel

VIN: 4P1CJ01A8BA011883

Fire Engine Type 1 #E14

2009 International

VIN: 1HTWEAZR29J135915

Fire Engine Type 4 #E31

2006 Ford

VIN: 1FTN21S6XEE45305

Fire Engine Type 6 #E43

1999 Ford Super Duty

VIN: 1FTN21S6XEE45305

Fire Engine Type 7 #E71

2012 Kubota

VIN: RTV1100CWXA

Fire Prevention Vehicle

2011 Chevrolet Silverado

VIN: 1GCEK19T21Z210499

Command Vehicle

2011 GMC EXT CAB 4WD

VIN: 1GTR2VE3XBZ191717

Medical Services

Ambulance #1099

1999 Ford E350

VIN: 1FDWE35F0YHA9929

Ambulance # 1584

2003 Ford Cutaway

VIN: 1FDWE35F33HB84121

Ambulance #1715

2006 Ford E350

VIN: 1FDWE35P46DA76451

Ambulance #2056

2009 Ford E350

VIN: 1FDWE35P59DA62918

Ambulance #2117

2011 GMC G3500

VIN: 1GB6G3B68A1101490

Rescue Equipment

Cargo Trailer - Boat/Water

2006 Charmac

VIN: 4RYC162026T110466

Cargo Trailer - Type 7 - Engine Carrier

2014 Charmac

VIN: 4RYG162B4ET113872

Quad

1999 Kawasaki

VIN: JKAVFKC15XB02824

Rescue Van

2002 Ford F550

VIN: 1FDAW57F12EB88295

Tender - Type 1 #T1

1986 GMC

VIN: 1GDT9E4J0GV529072

Boat

2000 Zodiac Boat

Boat

1995 Aluminum Boat

Document details

CollectionAlberta — Gazette
Citation15 January 2015
Typegazette
Volume / chapter01 Jan15 Part2
Languageen
Formathtml
SourcePROVINCIAL
Identifier235bb390d4c7aebfd985eb18215047c8ee3c8fbd

Source file is stored in the law ingest library (html).