Alberta Gazette — 31 October (ii)

1031 ii

Alberta — Gazette

Alberta Gazette — 31 October (ii)

1031 ii

Alberta — Gazette

THE ALBERTA GAZETTE,

PART II, OCTOBER 31, 1998

Alberta Regulation 186/98

Public Sector Pension Plans Act

LOCAL AUTHORITIES PENSION PLAN AMENDMENT REGULATION

Filed: October 2, 1998

Made by the Local Authorities Pension Plan Board of Trustees pursuant to

section 9(6) of

Schedule 1 to the Public Sector Pension Plans Act.

1 The Local Authorities Pension Plan (AR 366/93) is amended by this

Regulation.

Section 113(1) is amended

(

a) by striking out "until July 31, 1994";

(

b) in clause (

b) by striking out "0.525" and "0.45" and

substituting "0.00".

3 This Regulation is deemed to have come into force on January 1, 1998.

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

Alberta Regulation 187/88

Marketing of Agricultural Products Act

ALBERTA CATTLE COMMISSION AUTHORIZATION REGULATION

Filed: October 2, 1998

Made by the Alberta Agricultural Products Marketing Council pursuant to

section 26 of the Marketing of Agricultural Products Act.

Table of Contents

Definitions 1

Regulations made under

section 26 of the Act 2

Restriction re making regulations 3

Repeal 4

Expiry 5

Definitions

1(1) In this Regulation,

(a) "Act" means the Marketing of Agricultural Products Act;

(b) "Commission" means the Alberta Cattle Commission;

(c) "Plan" means the Alberta Cattle Commission Plan referred to in

section 3 of the Alberta Cattle Commission Plan Regulation (AR 272/97);

(d) "producer" means a producer as defined in the Plan;

(e) "regulated product" means regulated product as defined in the

Plan.

(2) Words defined in the Act or the Plan have the same meaning when used

in this Regulation.

Regulations made under

section 26 of the Act

2(1) For the purposes of enabling the Commission to operate the Plan, the

Commission is hereby authorized under

section 26 of the Act to make

regulations

(

a) requiring producers engaged in the marketing of a regulated

product to register their names and addresses with the Commission;

(

b) requiring any person who markets a regulated product to furnish

to the Commission any information or record relating to the marketing of

the regulated product that the Commission considers necessary;

(

c) providing for

(

i) the assessment, charging and collection of service

charges from producers from time to time for the purposes of the Plan, and

(ii) the taking of legal action to enforce payment of

the service charges;

(

d) requiring any person who receives a regulated product from a

producer

(

i) to deduct from the money payable to the producer

any service charges payable by the producer to the Commission, and

(ii) to forward the amount deducted to the Commission;

(

e) providing for the use of any class of service charges or other

money payable to or received by the Commission for the purpose of paying

its expenses and administering the Plan and the regulations made by the

Commission.

(2) A regulation made by the Commission under

section 26(

f) of the Act

setting the amount of the service charge has no effect unless prior to the

filing of the regulation under the Regulations Act the amount of the

service charge to be set by that regulation has been approved by a majority

vote of the zone delegates, sub-zone delegates and producer association

delegates present at an annual Commission meeting or special Commission

meeting.

Restriction re making regulations

3 Pursuant to

section 28 of the Act, the power to make regulations

referred to in

section 2(1)(

a) is hereby restricted so that the Commission

is only empowered to make regulations requiring producers to register their

names and addresses with the Commission so as to enable the Commission

(

a) to determine whether a producer is an eligible producer, and

(

b) to assess, charge and collect service charges.

Repeal

4 The Alberta Cattle Commission Plan, 1969 Implementation Regulation (AR

335/88) is repealed.

Expiry

5 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 July 1, 2003.

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

Alberta Regulation 188/98

School Act

CAPITAL BORROWING REGULATION

Filed: October 2, 1998

Made by the Minister of Education (M.O. 053/98) pursuant to

section

167(3.1) of the School Act.

Table of Contents

Capital borrowing 1

Borrowing for construction or purchase of school building 2

Short term borrowing 3

Debenture borrowing 4

Petition for poll 5

Authority for borrowing 6

Issuing of debentures 7

Void borrowing 8

Repeal 9

Expiry 10

Capital borrowing

1(1) A board may borrow to meet capital expenditures only in accordance

with the School Act and this Regulation.

(2) The amount of a borrowing to which this Regulation applies

(

a) may be secured by a charge on money receivable by the board

under

Part 6 of the School Act, and

(

b) may not be secured by a charge on a grant payable from the

General Revenue Fund under the Government Organization Act.

Borrowing for construction or purchase of school building

2(1) A board shall not borrow money for the construction or purchase of a

school building.

(2) Notwithstanding subsection (1), a board may borrow, by issuing a

debenture or otherwise, to meet capital expenditures to refit a school

building for energy conservation if

(

a) the cost of refitting is guaranteed by the supplier in writing

to be recoverable by the board from savings in energy costs in not more

than 10 years, and

(

b) in the opinion of the Minister, all indebtedness under the loan

is required to be retired within 10 years.

(3) A board that applies to the Minister for approval of a loan to which

subsection (2) applies must give the Minister

(

a) a statement by the board of the final cost of the refitting and

any other information the Minister requires, and

(

b) a copy of the guarantee referred to in subsection (2)(a).

(4) The Minister may approve all or part of a loan to which subsection (2)

applies.

Short term borrowing

3(1) A board may borrow, other than by issuing a debenture, to meet

capital expenditures for assets that are not school buildings if, in the

opinion of the Minister, all indebtedness under the loan is required to be

retired within the lesser of the life expectancy of the asset for which the

money is borrowed and 10 years.

(2) A board that applies to the Minister for approval of a loan to which

subsection (1) applies must give the Minister a statement by the board of

the final cost of the asset to which the loan applies and any other

information the Minister requires.

(3) The Minister may approve all or part of a loan to which subsection (1)

applies.

Debenture borrowing

4(1) A board may borrow, by issuing a debenture, for the purpose of

(

a) securing, purchasing, adding to, extending or improving a site

for a building other than a school building,

(

b) erecting, purchasing, relocating, renovating, adding to,

extending, making structural changes in, furnishing or equipping a building

other than a school building,

(

c) providing maintenance or utility services to a building other

than a school building, or

(

d) refitting a school building for energy conservation.

(2) If the board decides to borrow by debenture for any of the purposes

mentioned in subsection (1), it shall pass, in a form approved by the

Minister, a by-law stating its intention.

(3) Within 30 days from the date of the passing of the by-law, the board

shall give public notice in accordance with

section 234 of the School Act

of its intention to apply to the Minister for authority to borrow the

amount specified in the by-law on the conditions set out in the by-law.

Petition for poll

5(1) If public notice is given under

section 4, the electors of the board

may petition the board in accordance with

section 231 of the School Act.

(2) If a board

(

a) receives a petition meeting the requirements of

section 231 of

the School Act within 15 days from the date of the last publication in a

newspaper of the public notice of the proposed debenture borrowing, and

(

b) decides to proceed with the by-law,

the board shall submit the question to a vote of the electors.

(3) The board shall

(

a) send a copy of each request contained in the petition to the

Minister within 5 days from the date on which the petition is received by

the board, and

(

b) advise the Minister in writing within 14 days from the date of

the vote of the outcome of each vote conducted under subsection (2).

(4) If the result of the vote is to defeat the proposal for debenture

borrowing, the board is bound by the vote for a period of 12 months from

the date of the vote and during that 12-month period the board shall not

propose debenture borrowing for the same or a similar project.

Authority for borrowing

6(1) The Minister may,

(

a) on receipt of the documents and information the Minister

requires, and

(

b) on being satisfied that the conditions prescribed by this

Regulation have been complied with,

approve the borrowing of any amount mentioned in the by-law under

section

4, or any lesser amount.

(2) The Minister shall, as soon as possible after giving an approval under

subsection (1), cause notice of the approval to be published in The Alberta

Gazette.

Issuing of debentures

7(1) On receiving the Minister's approval under

section 6, if a board is

required to do so, the board shall issue a debenture to secure the amount

of the principal and interest on the loan, or any lesser amount, on the

terms specified in the by-law.

(2) A debenture shall not be issued after the expiration of 3 years from

the date on which the notice of approval of the loan appears in The Alberta

Gazette.

(3) A debenture shall

(

a) be in a form approved by the Minister,

(

b) be sealed with the seal of the board, and

(

c) be signed

(

i) either by the chairperson or by some person

authorized to sign for the chairperson, and

(ii) by the treasurer of the board.

(4) Debentures may be issued either all at one time or in instalments at

any times the board considers expedient and may be dated accordingly.

Void borrowing

8(1) If, before the Minister approves any borrowing required, a board

enters into an agreement the consideration for which is to be raised by

debenture,

(

a) the agreement is void, and

(

b) any money paid under the agreement shall be repaid to the

board.

(2) Any agreement entered into by the board for the sale, transfer, pledge

or other charge of a debenture or any interest in the debenture before the

Minister has approved the borrowing represented by the debenture is void.

(3) A board shall not proceed with a project referred to in

section 4(1)

before the Minister approves any borrowing required to meet the capital

expenditures.

(4) This

section does not apply to any expenditure for the services of an

architect engaged to make preliminary plans or to obtain and compile

information necessary in the opinion of the board to enable it to make an

application to the Minister.

Repeal

9 The Capital Borrowing Regulation (AR 221/95) is repealed.

Expiry

10 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, 2003.

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

Alberta Regulation 189/98

Motor Vehicle Accident Claims Act

MOTOR VEHICLE ACCIDENT CLAIMS REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 407/98) pursuant to

section 31 of the Motor Vehicle Accident Claims Act.

Table of Contents

Definitions 1

Fee payable 2

Prorated fee 3

Exempt vehicles 4

Payment from Fund 5

Rates 6

Limit on payment 7

Repeal 8

Expiry 9

Schedule

Definitions

1 In this Regulation,

(a) "Act" means the Motor Vehicle Accident Claims Act;

(b) "Fund" means the General Revenue Fund.

Fee payable

2 The fee payable by an owner of a motor vehicle under

section 3 of the

Act is $6 for each motor vehicle.

Prorated fee

3 The fee referred to in

section 2 may be prorated and is refundable as

if it were part of the registration fee payable under the Motor Vehicle

Administration Act.

Exempt vehicles

4 The following classes of motor vehicle are exempt from the application

section 3 of the Act:

(

a) a motor vehicle registered as an antique motor vehicle pursuant

to the Regulations under the Motor Vehicle Administration Act (AR 22/76);

(

b) a motor vehicle operated under the authority of an intransit

permit issued under the Motor Transport Act or the Motor Vehicle

Administration Act.

Payment from Fund

5(1) The Administrator may require such information from an applicant as

the Administrator considers necessary to determine the validity and amount

of the applicant's claim for payment from the Fund.

(2) The Administrator may employ the services of special investigators,

appraisers, adjusters and such other persons as the Administrator considers

necessary for the purpose of considering applications for payment from the

Fund.

(3) Prior to authorizing payment from the Fund, the Administrator may

require a judgment creditor to

(

a) examine the judgment debtor in aid of execution,

(

b) file a writ of enforcement,

(

c) take all reasonable steps to collect the judgment or claim from

the judgment debtor, or

(

d) disclose any amount that has been paid in satisfaction of the

judgment.

(4) The Administrator may pay from the Fund costs to a barrister and

solicitor on a party and party basis under

Schedule C of the Alberta Rules

of Court (AR 390/68) for services performed in connection with proceedings

under the Act subsequent to obtaining judgment.

Rates

6 The rates of fees to be paid from the Fund are set out in the Schedule.

Limit on payment

7 The amount that is prescribed for the purposes of

section 11(2) and (4)

of the Act in respect of an accident that occurs on or after June 1, 1997

is $200 000, excluding costs.

Repeal

8 The General Regulations (AR 227/77) are 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 December 31, 2002.

SCHEDULE

1(1) Hospitalization fees are equal to the hospitalization rates for

standard wards under the Hospitalization Benefits Regulation (AR 244/90).

(2) No hospitalization fees shall be paid if the hospital account is

payable under

(

a) any other legislation of Alberta,

(

b) any legislation of another province, or the Government of

Canada, or

(

c) an insurance scheme that is in effect for the benefit of the

applicant at the time the applicant is hospitalized.

(3) Notwithstanding subsection (2), where a hospital account is paid in

part under other legislation or an insurance scheme, the Administrator may

authorize payment of the portion of the hospital account that is still

owing by the patient.

2(1) Ambulance service fees and associated kilometre fees for emergency

response services, basic life support services, advanced life support

services, standby charges, response fees and air ambulance escort are

payable at the same rates as are approved and paid by the Minister of

Health for the provision of ambulance services.

(2) In a case where there is no ambulance service available in a city,

town or village and an ambulance is required to be called from another

place, the Administrator may agree to such a rate of fees as the

Administrator considers reasonable.

3 Where payment out of the Fund is authorized by the Administrator, the

fee payable to a barrister and solicitor who completes

(

a) an application under

section 6, 7 or 9 of the Act, and

(

b) the assignment of the claim or judgment, as the case may be,

is $50.00.

4(1) Fees for removal and storage of vehicles shall not exceed the

following:

(

a) for each vehicle towed within the corporate limits of

Edmonton and Calgary:

$30 per tow;

(

b) for each vehicle towed within the corporate limits of a city,

town or village, other than Edmonton and Calgary:

$20 per tow;

(

c) for each vehicle towed from outside the corporate limits of a

city, town or village, an additional fee of $20 per hour for each hour

spent outside the corporate limits of the city, town or village, as the

case may be;

(

d) for each vehicle stored up to a maximum of 90 days:

$5 per day.

(2) In addition to fees payable under subsection (1), the Administrator

may authorize the following fees where the Administrator considers that the

use of a transport dolly, winch or other special equipment is necessary:

(a) $15 per hour for the use of a transport dolly;

(b) $35 per hour for winching service;

(

c) an hourly rate as set forth in a contract made between the

Administrator and a contractor for the use of special equipment.

Alberta Regulation 190/89

Government Organization Act

DESIGNATION AND TRANSFER OF RESPONSIBILITY

AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 410/98) pursuant to

section 16 of the Government Organization Act.

1 The Designation and Transfer of Responsibility Regulation (AR 398/94)

is amended by this Regulation.

Section 22 is renumbered as

section 22(1) and the following is added

after subsection (1):

(2) The Minister of Environmental Protection is designated as the

Minister responsible for the Water Act.

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

Alberta Regulation 191/98

Environmental Protection and Enhancement Act

ADMINISTRATIVE PENALTY AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 412/98) pursuant to

section 225 of the Environmental Protection and Enhancement Act.

1 The Administrative Penalty Regulation (AR 143/95) is amended by this

Regulation.

2 The

Schedule is amended by striking out item 13.

3 This Regulation comes into force on the date the Water Act, Statutes of

Alberta 1996,

chapter W-3.5 comes into force.

Alberta Regulation 192/98

Environmental Protection and Enhancement Act

ENVIRONMENTAL PROTECTION AND ENHANCEMENT

(MISCELLANEOUS) AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 411/98) pursuant to

sections 35, 82, 95, 139 and 225 of the Environmental Protection and

Enhancement Act.

1 The Environmental Protection and Enhancement (Miscellaneous) Regulation

(AR 118/93) is amended by this Regulation.

Section 1 is amended

(

a) by repealing subsection (2);

(

b) by repealing subsection (3) and substituting the following:

(3) The activities listed in Division 3 of

Schedule 1 to the

Activities Designation Regulation (AR 211/96) are prescribed as activities

to which

section 84(3) of the Act applies.

Section 4 is repealed and the following is substituted:

Security-water well drillers

4(1) In this

section "approval holder" means the holder of an

approval issued or deemed to be issued under the Water Act and the Water

(Ministerial) Regulation.

(2) Where an approval holder has deposited security, the Minister

may return or direct the return of the security on the request of the

approval holder after 2 years have elapsed from the expiry date of the

approval.

(3) Where an approval holder contravenes a water management order

under

Part 7 Division 2 of the Water Act or an enforcement order under

Part

10 Division 3 of that Act, the Minister may order that all or part of the

security provided by the approval holder be forfeited.

(4) Where the Minister orders the forfeiture of security under

subsection (3), the Minister shall

(

a) give written notice of the decision to the approval

holder, and

(

b) direct the Provincial Treasurer to transfer the

security from the Environmental Protection Security Fund to the

Environmental Protection and Enhancement Fund.

(5) On the request of the Minister, the Provincial Treasurer shall

pay to the Minister from the Environmental Protection and Enhancement Fund

as much of the security transferred under subsection (4) as the Minister

considers is necessary to carry out the terms of the water management order

or enforcement order and the Minister shall use the money for that purpose.

(6) Subsection (5) applies despite the fact that the approval holder

may not have actually received the notice referred to in subsection (4)(a).

(7) Where the amount of the forfeited security exceeds the amount

required to carry out the terms of the water management order or

enforcement order, the Provincial Treasurer shall, on the direction of the

Minister pay the excess amount to the approval holder.

(8) Where the amount of the forfeited security is insufficient to

pay for the cost of carrying out the terms of the water management order or

enforcement order, the approval holder remains liable for the balance.

Section 7(2) is repealed.

Section 9 is amended

(

a) in subsection (1) by adding "or" at the end of clause (

b) and

by repealing clause (d);

(

b) by repealing subsection (2).

6 This Regulation comes into force on the date the Water Act, Statutes of

Alberta 1996,

chapter W-3.5 comes into force.

Alberta Regulation 193/98

Water Act

WATER (OFFENCES AND PENALTIES) REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 414/98) pursuant to

section 169 of the Water Act.

Table of Contents

Interpretation 1

Part 1

Offences and Penalties

Regulatory offences 2

Due diligence defence 3

Part 2

Administrative Penalty

Applicability of administrative penalty 4

Penalty assessment 5

Payment of penalty 6

Part 3

Expiry, Coming into Force

Expiry 7

Coming into force 8

Schedule

Interpretation

1(1) In this Regulation, "Act" means the Water Act.

(2) The

definitions in the Water (Ministerial) Regulation apply to this

Regulation.

PART 1

OFFENCES AND PENALTIES

Regulatory offences

2(1) A person who contravenes any of the following provisions of the Water

(Ministerial) Regulation is guilty of an offence and is liable, in the case

of an individual, to a fine of not more than $50 000, or in the case of a

corporation, to a fine of not more than $500 000:

(a)

section 4(3);

(b)

section 7(3);

(

c) section 26;

(

d) section 27;

(e)

section 28(1);

(f)

section 29(1);

(g)

section 30(1);

(

h) section 31;

(

i) section 32;

(

j) section 33;

(

k) section 34;

(

l) section 35;

(m)

section 37(3);

(

n) section 38;

(o)

section 39(2) and (3);

(

p) section 41;

(

q) section 42;

(

r) section 43;

(

s) section 67;

(

t) section 68.

(2) A person who contravenes a Code of Practice adopted by

section 3(1) or

(2) or 6 of the Water (Ministerial) Regulation is guilty of an offence and

is liable

(

a) in the case of an individual, to a fine of not more than $50

000, or

(

b) in the case of a corporation, to a fine of not more than $500

(3) An applicant who contravenes

section 13 of the Water (Ministerial)

Regulation or a person who contravenes

section 39(4) of the Water

(Ministerial) Regulation is guilty of an offence and is liable

(

a) in the case of an individual, to a fine of not more than $250,

(

b) in the case of a corporation, to a fine of not more than $1000.

Due diligence defence

3 A person shall not be convicted of an offence referred to in

section

2(1) or (2) if that person establishes on a balance of probabilities that

the person took all reasonable steps to prevent its commission.

PART 2

ADMINISTRATIVE PENALTY

Applicability of administrative penalty

4(1) An administrative penalty under

section 152 of the Act may be imposed

in respect of those provisions listed in the Schedule.

(2) A notice of administrative penalty must be given in writing and must

contain the following information:

(

a) the name of the person required to pay the administrative

penalty;

(

b) particulars of the contravention;

(

c) the amount of the administrative penalty and the date by which

it must be paid;

(

d) a statement of the right to appeal by notice of appeal to the

Environmental Appeal Board under

section 115(1)(

q) of the Act.

Penalty assessment

5(1) Subject to subsections (2), (3) and (4), the amount of an

administrative penalty for each contravention that occurs or continues is

the amount set out in the Base Penalty Table but that amount may be

increased or decreased by the Director in accordance with subsection (2).

BASE PENALTY TABLE

Type of Contravention

Major

Moderate

Minor

Potential for AdverseEffect

Major

$5000

$3500

$2500

Moderate

Minor to None

(2) Subject to

section 169(3)(

f) of the Act, the Director may increase or

decrease the amount of the administrative penalty from the amount set out

in the Base Penalty Table on considering the following factors:

(

a) the importance to the regulatory scheme of compliance with the

provision;

(

b) the degree of wilfulness or negligence in the contravention;

(

c) whether or not there was any mitigation relating to the

contravention;

(

d) whether or not steps have been taken to prevent reoccurrence of

the contravention;

(

e) whether or not the person who receives the notice of

administrative penalty has a history of non-compliance;

(

f) whether or not the person who receives the notice of

administrative penalty has derived any economic benefit from the

contravention;

(

g) any other factors that, in the opinion of the Director, are

relevant.

(3) If a contravention of a provision listed in the

Schedule occurs or

continues, the person who commits the contravention is liable for an

administrative penalty for each day or part of a day on which the

contravention occurs or continues.

(4) In accordance with

section 169(3)(

f) of the Act, the maximum

administrative penalty that may be charged in respect of each contravention

is $5000.

Payment of penalty

6 A person who is given a notice of administrative penalty must pay the

amount of the penalty within 30 days of the date that the notice was given.

PART 3

EXPIRY, COMING INTO FORCE

Expiry

7 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 December 31, 2003.

Coming into force

8 This Regulation comes into force on the date the Act comes into force.

SCHEDULE

Contraventions in Respect of Which an

Administrative Penalty may be Imposed

1 Offences described in

section 142(1)(a), (b), (c), (d), (e), (f), (g),

(h), (i), (j), (k), (l), (m), (n), (o), (p), (q), (

r) or (

s) of the Act are

the provisions in respect of which an administrative penalty may be imposed

under

section 152 of the Act.

2 A contravention of a provision referred to in

section 2(1) and (2) of

this Regulation is a provision in respect of which an administrative

penalty may be imposed under

section 152 of the Act.

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

Alberta Regulation 194/98

Regional Airports Authorities Act

REGIONAL AIRPORTS AUTHORITIES AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 420/98) pursuant to

section 40 of the Regional Airports Authorities Act.

1 The Regional Airports Authorities Regulation (AR 149/90) is amended by

this Regulation.

Section 1(

c) is amended by striking out "corporation" and substituting

"body".

Section 3 is repealed and the following is substituted:

Use of name

3 An authority shall ensure that its name is set out in legible

characters on

(

a) all its contracts, invoices, negotiable instruments

and orders for services, and

(

b) all publications, notices and advertisements

required under the Act or this Regulation.

Section 4 is amended

(

a) in subsection (1) by striking out "body corporate" and

substituting "body";

(

b) by repealing subsections (2) and (3) and substituting the

following:

(2) A body ceases to be an appointer if,

(

a) in the case of a body corporate, it is dissolved or

wound up or its existence is otherwise terminated or it resigns its

position as appointer, or

represented by the Minister of Transport (Canada) or the Government of

Alberta as represented by the Minister, the appropriate Minister resigns

the Government's position as appointer.

(3) A body corporate that is an appointer may resign its

position as appointer by sending the authority a certified copy of a

resolution of its governing body to that effect.

may resign their position as appointers by means of a notice to that effect

from the appropriate Minister to the authority.

(3.2) On receiving a resolution under subsection (3) or a

notice under subsection (3.1), the directors shall, as soon as is

reasonably practicable, amend the authority's articles to reflect the

resignation.

(

c) in subsection (4) by striking out "body corporate" and

substituting "body" and by striking out "body corporate's" and substituting

"body's";

(

d) in subsection (5) by adding "or the notice under subsection

(3.1)" after "subsection (3)".

Section 8 is amended

(

a) in subsection (5) by striking out "body corporate" wherever it

occurs and substituting "body";

(

b) by repealing subsection (7) and substituting the following:

(7) Notwithstanding subsection (5), where a body ceases to be

an appointer and, as a result of the application of subsection (5) and but

for this subsection, the number of directors would fall below 8, the

directors appointed by the body continue in office until one year after

that event occurs or until other directors are appointed and that shortfall

no longer exists, whichever is earlier.

Section 16(3) is repealed and the following is substituted:

(3) The director or officer shall not vote on any resolution

to approve the contract or proposed contract or be present while any such

vote is being conducted unless the contract

(

a) relates to remuneration, indemnities, insurance or

other benefits or allowances or expenses to be provided generally to all or

a substantial proportion of the authority's directors or officers, or

(

b) is a contract with a subsidiary.

Section 18(1) is repealed and the following is substituted:

Indemnifi-cation

18(1) An authority may indemnify a person who

(

a) is a present or former director or officer of the

authority, or

(

b) acts or acted at the authority's request as a

director or officer of a corporation (in this

section referred to as the

"other corporation") of which the authority is or was a shareholder or

creditor

and that person's heirs and legal representatives against costs,

charges and expenses, including any amount paid to settle an action or

satisfy a judgment, reasonably incurred by that person with respect to a

civil, criminal or administrative action or proceeding to which he is made

a party by reason of his being or having been such a director or officer,

but only in accordance with this section.

Section 28(

a) is amended by adding "that are bodies corporate" after

"appointers".

Section 78 is amended by striking out "trust company registered under

the Trust Companies Act" and substituting "trust corporation registered

under the Loan and Trust Corporations Act".

Section 99 is amended by striking out "Bankruptcy Act (Canada)" and

substituting "Bankruptcy and Insolvency Act (Canada)".

Section 106(

b) is amended by adding "that are bodies corporate" after

"appointers".

Section 109 is amended by adding the following after subsection (2):

(3) Subsection (1) does not apply where the authority's articles

provide that on dissolution the assets of the authority that remain after

payment of its liabilities are to be distributed to the Government of

Canada or to a successor organization to the authority that is acceptable

organization.

13 The following is added before

section 145:

Expiry

144.1 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, 2003.

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

Alberta Regulation 195/98

Livestock Identification and Brand Inspection Act

LIVESTOCK IDENTIFICATION AND BRAND INSPECTION REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 421/98) pursuant to

section 33 of the Livestock Identification and Brand Inspection Act.

Table of Contents

Interpretation 1

Livestock manifest 2

Transporting out of Alberta 3

Other inspections 4

Documents to operator 5

Original manifest 6

Documents to consignee 7

Marking of livestock 8

Identifying pens 9

Bill of sale 10

Livestock permit 11

Notice forms 12

Release form 13

Livestock permit form 14

Horse permit form 15

Inspection fees 16

Repeal 17

Expiry 18

Coming into force 19

Forms

Interpretation

1(1) In this Regulation, "Act" means the Livestock Identification and

Brand Inspection Act.

(2) For the purpose of the definition of "livestock" in

section 1(

k) of

the Act, "carcass" does not include

(

a) a carcass that bears a Government stamp, or

(

b) a carcass that is being transported to a rendering plant.

(3) For the purpose of the Act and this Regulation, "livestock" includes

any wildlife that has been domesticated.

Livestock manifest

2(1) A livestock manifest must be in Form 1.

(2) Where a livestock manifest is required under the Act,

(

a) the owner of the livestock or the owner's agent shall complete

the livestock manifest by providing the following information:

(

i) the date the livestock are transported or driven;

(ii) the name, address and telephone number of the owner

of the livestock;

(iii) the consignor's name, address and telephone number;

(iv) the consignee's name and address;

(

v) the number of livestock;

(vi) the colour of the livestock;

(vii) the kind of livestock;

(viii) the proper description and location of the

brand and other marks of ownership on each head of livestock;

and shall sign the manifest, and

(

b) the operator of the vehicle transporting the livestock or the

driver of the livestock shall complete the livestock manifest by providing

the following information:

(

i) the name and address of the operator or driver, as

the case may be;

(ii) the licence number of the vehicle used to transport

the livestock;

(iii) trucking charges, if any;

and shall sign the manifest.

(3) Where livestock have been inspected and sold at a market or country

sale before being transported or driven from that market or country sale to

a destination in Alberta that is not another market or country sale, the

livestock manifest that accompanies the livestock may be completed by the

market operator or country sale operator but, instead of containing the

information required under subsection (2)(a)(viii), it must be accompanied

by a scale ticket or purchase statement that fully describes the livestock.

(4) The original and a copy of the livestock manifest must accompany the

livestock to their destination, and a copy must be retained by both

(

a) the operator of the vehicle or the driver of the livestock, as

the case may be, and

(

b) the owner of the livestock or the owner's agent.

(5) When the livestock described on the livestock manifest are delivered

to their destination, the person who receives the livestock shall sign the

manifest.

(6) Any person receiving a copy of a livestock manifest under this

section

shall retain it for a period of 2 years.

Transporting out of Alberta

3(1) A person who proposes to transport livestock out of Alberta from any

place other than a place where the livestock have been inspected shall

provide the inspector at the point of shipment with the following on a

livestock manifest:

(

a) the date the livestock are transported or driven;

(

b) the name, address and telephone number of the owner of the

livestock;

(

c) the consignor's name, address and telephone number;

(

d) the consignee's name and address;

(

e) the number of livestock;

(

f) the colour of the livestock;

(

g) the kind of livestock;

(

h) the proper description and location of the brand and other

marks of ownership on each head of livestock;

(

i) the signature of the owner of the livestock or the owner's

agent.

(2) Subsection (1) does not apply to livestock transported to an inspected

market in Saskatchewan or Dawson Creek, British Columbia.

Other inspections

4(1) For the purposes of sections 11, 13, 15(5), 16(4), 17(4) and 19 of

the Act, the following information must be provided on a livestock

manifest:

(

a) the date the livestock are offered for sale or re-inspected, as

the case may be;

(

b) the name, address and telephone number of the owner of the

livestock;

(

c) the consignor's name, address and telephone number;

(

d) the consignee's name and address;

(

e) the number of livestock;

(

f) the colour of the livestock;

(

g) the kind of livestock;

(

h) the proper description and location of the brand and other

marks of ownership on each head of livestock.

(2) In addition to the information required under subsection (1),

(

a) for the purposes of sections 11, 15(5), 16(4) and 19 of the

Act, the signature of the owner is required, and

(

b) for the purposes of sections 13, 17(4) and 19 of the Act, the

following information is required:

(

i) the name and address of the person who is the

operator of the vehicle or the driver of the livestock;

(ii) the licence number of the vehicle used to transport

the livestock.

Documents to operator

5(1) The operator of a vehicle delivering livestock or the driver of the

livestock shall, on delivery of the livestock to a market, country sale or

feedlot, give the original and the first and 2nd copy of the completed

livestock manifest to the market operator, country sale operator or feedlot

operator, as the case may be.

(2) The market operator, country sale operator or feedlot operator, or a

person employed by the operator, shall

(

a) attach the original and the 2 copies of the completed manifest

to the gate of the pen where the livestock are kept until the livestock are

sold or removed from the pen, or

(

b) place a card on the gate of each pen showing the owner's name

and the number and description of the livestock of that owner in that pen.

Original manifest

6(1) Where an inspection is required under the Act, the person required to

provide the livestock manifest shall give the original and 2 copies of the

livestock manifest to the inspector and the inspector shall, after

completion of the inspection, return a copy to the person who provided the

livestock manifest.

(2) If an inspector has not picked up the original of a livestock manifest

within 7 days after the delivery of the livestock, the original of the

livestock manifest must be forwarded

(

a) to Alberta Agriculture, Food and Rural Development, Livestock

Marketing Service Branch, Stettler, Alberta, or

(

b) if a delegation has occurred under

section 32.1 of the Act, to

the delegated authority.

(3) The original copy of the manifest must be retained by

(

a) the Department, or

(

b) if a delegation has occurred under

section 32.1 of the Act, the

delegated authority,

for a period of 7 years and the copy must be retained by the person who

provided the livestock manifest for 2 years.

Documents to consignee

7(1) Where livestock are delivered to a destination other than a market,

country sale or feedlot, the operator of the vehicle delivering the

livestock or the driver of the livestock, as the case may be, shall give

the original and the first and 2nd copy of the completed livestock manifest

to the consignee.

(2) The consignee shall forward the original of the livestock manifest

(

a) to the Department, or

(

b) if a delegation has occurred under

section 32.1 of the Act, to

the delegated authority,

within 7 days after the delivery of the livestock and shall retain a copy

for 2 years.

Marking of livestock

8 For the purposes of sections 5(2) and 15(3) of the Act, livestock must

be distinctively marked on the upper portion of the body by means of

(

a) paint,

(

b) a livestock marking crayon, or

(

c) clip marks in the hair,

so as to be readily distinguishable from livestock in the shipment that are

owned by any other person.

Identifying pens

9 For the purpose of

section 7(2) of the Act, livestock in each pen must

be identified by placing a card on the gate of each pen showing the owner's

name and the number and description of the livestock of that owner in that

pen.

Bill of sale

10(1) A bill of sale must contain the following information:

(

a) the date of the transaction;

(

b) the proper name of the buyer and seller;

(

c) the number of livestock;

(

d) the colour of the livestock;

(

e) the kind of livestock;

(

f) a description of the livestock, including the brand or any

other marks on each head of livestock.

(2) A bill of sale issued by the market operator or country sale operator

must contain the name of the seller as shown on the relevant manifest.

(3) The market operator or country sale operator shall retain a copy of

each bill of sale issued by the operator for 5 years.

Livestock permit

11 A livestock permit issued by an inspector is valid for 4 days after

the date of issue.

Notice forms

12 A notice referred to in sections 24(1) and 25(1) of the Act

(

a) requiring a market operator or country sale operator

(

i) not to sell livestock, or

(ii) to withhold settlement,

must be in Form 2;

(

b) that is to be forwarded to the contributor of the livestock

must be in Form 3.

Release form

13 A release referred to in sections 25(3) and 26(1) of the Act must be

in Form 4.

Livestock permit form

14 A livestock permit must be in Form 5.

Horse permit form

15 A horse permit must be in Form 6.

Inspection fees

16(1) Where an inspection fee is payable under the Act, the inspector must

complete a control card and provide it to the person responsible under the

Act for payment of the inspection fee to the Minister.

(2) The control card referred to under subsection (1) must contain the

following information:

(

a) sale point number;

(

b) sale date;

(

c) name and place of inspection;

(

d) name and address of person responsible for payment of

inspection fee;

(

e) number of manifests collected;

(

f) number of head of livestock inspected;

(

g) amount of fee collected;

(

h) signature of brand inspector.

(3) The commission to be paid to persons who collect inspection fees is 5%

of the amount collected, which must be deducted from the amount collected.

Repeal

17 The Livestock Identification and Brand Inspection Regulation (AR

408/86) is repealed.

Expiry

18 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 December 31, 2003.

Coming into force

19 This Regulation comes into force on November 1, 1998.

FORM 1

MANIFEST

Pen

number

Date

Manifest number

Pay to owner Phone Number

Owner's address

On account of (consignor) Phone Number

Consignor's address

Consigned or transported to:

Address City or town

Description of livestock: Show the correct brand information

Number

Colour

Kind

Brand

Loca-tion

Other

Loca-tion

Total

I certify that the information given above is true.

X Owner's signature (or authorized shipper)

Brand inspector

Vehicle's licence number

Transporter's name

Driver's signature

Transporter's address

GST registration number

Received and counted by:

Trucking charges

GST

Date

Time

Total

FORM 2

NOTICE TO MARKET OPERATOR

NAME OF OPERATOR AT IS HEREBY INSTRUCTED TO

WITHHOLD THE LIVESTOCK OR SETTLEMENT FOR LIVESTOCK DESCRIBED HEREUNDER BY

AUTHORITY OF THE ABOVE ACT.

HOLD LIVESTOCK HOLD SETTLEMENT FOR

LIVESTOCK

NO. OF ANIMALS

BRAND LOCA-TION

BRAND CODE

YARDAGE OR OWNER'S MARK

Contributor's Name Address

Trucker's Name Address

Received By Brand Inspector

Address

FORM 3

NOTICE TO CONTRIBUTOR

NAME OF OPERATOR AT IS HEREBY INSTRUCTED

TO WITHHOLD THE LIVESTOCK OR SETTLEMENT FOR LIVESTOCK DESCRIBED HEREUNDER

BY AUTHORITY OF THE ABOVE ACT.

HOLD LIVESTOCK HOLD SETTLEMENT

FOR LIVESTOCK

NO. OF ANIMALS

BRAND LOCA-TION

BRAND CODE

EARTAG OR OWNER'S MARK

Contributor's Name Address

Trucker's Name Address

Received By Brand Inspector

Address

ON THE ABOVE LIVESTOCK WERE OFFERED FOR SALE

WITHOUT ANY EVIDENCE OF PROPER OWNERSHIP AND THEREFORE THE LIVESTOCK OR

SETTLEMENT FOR LIVESTOCK ARE BEING WITHHELD. IT WILL BE NECESSARY FOR YOU

TO FORWARD PROOF OF OWNERSHIP WITH A BILL OF SALE OR OTHER INFORMATION THAT

SHOWS THE DATE, A DESCRIPTION OF THE LIVESTOCK AND BRANDS THEREON,

INCLUDING THE NAME OF THE PERSON FROM WHOM THIS LIVESTOCK WAS PURCHASED,

BEFORE THIS LIVESTOCK OR SETTLEMENT FOR LIVESTOCK CAN BE RELEASED.

FORM 4

NOTICE TO RELEASE

NAME OF OPERATOR IS HEREBY AUTHORIZED TO RELEASE THE

LIVESTOCK OR SETTLEMENT FOR LIVESTOCK WITHHELD ON FORM .

TO ADDRESS

RELEASED BY BRAND INSPECTOR

EXPLAIN Reason for Release (Use lines

to correspond with lines above)

Code

Office Use Only

PLEASE PRINT CLEARLY (Information is being transcribed)

FORM 5

LIVESTOCK PERMIT

Code for

Kind of

Livestock

Bull

Steer

Mare

Buffalo

Cow

Yearling

Stallion

Elk

Heifer

Gelding

Colt

Misc.

Calf

Filly

Mule

Shipped From:

Name, Market Feedlot or Farm Location

Town Province

Livestock Dealer's Name Initials

Livestock Dealer's Address

Shipped To:

Name Initials

Address

BC AB SK MB ON PQ Marit. USA Other

Shipper's or Agent's Signature

Sale Point

Day

Month

Year

Number of

Animals

Colour

Kind

Code

Brand

Brand

Location

Contributor's name if initial inspection; otherwise name market or feedlot.

Initials

Destination Number

The purpose of this certificate is:

Initial Inspection

Previously Inspected

Slaughter

Feeder

Breeding

Unclassified

Number of Livestock Inspected

Received from:

Amount

Fees collected on certificate:

Date

I certify that the above livestock were inspected.

Brand Inspector Phone Number

FORM 6

(Number)

HORSE PERMIT

OWNER ADDRESS

DATE

NO. OF

ANIMALS

COLOUR

AGE

SEX

BRAND

BRAND LOCATION

DESCRIPTION AND MARKINGS

NUMBER OF HEAD ____ @ _____ EACH $ _________ PERMIT EXPIRES

DECEMBER 31, ______

I certify that the above livestock were inspected and

found to correspond with the description set out.

BRAND INSPECTOR

_________________________________________

SIGNATURE OF OWNER

_________________________________________

ADDRESS

TO ACCOMPANY HORSE IN TRANSIT

Alberta Regulation 196/98

Livestock and Livestock Products Act

LIVESTOCK DEALERS AND LIVESTOCK DEALERS' AGENTS

AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 422/98) pursuant to

section 3 of the Livestock and Livestock Products Act..

1 The Livestock Dealers and Livestock Dealers' Agents Regulation (AR

66/98) is amended by this Regulation.

Section 4(1) is repealed and the following is substituted:

Application for licence

4(1) An application for a livestock dealer's licence or a livestock

dealer's agent's licence must

(

a) be made to the Minister in the form prescribed

under the Application and Licence Form Regulation, and

(

b) be accompanied by the fee set out in the Fees

Regulation under the Act.

Section 15(3) is amended by striking out "5" and substituting "8".

Section 19 is amended by striking out "December 31, 2002" and

substituting "December 31, 2003".

5 This Regulation comes into force on November 1, 1998.

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

Alberta Regulation 197/98

Livestock and Livestock Products Act

STOCK YARD REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 423/98) pursuant to

sections 4 and 5 of the Livestock and Livestock Products Act.

Table of Contents

Definitions 1

Licence required 2

Location of stock yard 3

Application for stock yard operator's licence 4

Application refused or licence suspended or cancelled 5

Notice of closure 6

Records 7

Request for information 8

Change of address 9

Misleading statements 10

Application for stock yard licence 11

Expiry of licence 12

Licence must be displayed 13

Licence not transferable 14

Repeals 15

Expiry 16

Coming into force 17

Definitions

1 In this Regulation,

(a) "Act" means the Livestock and Livestock Products Act;

(b) "inspector" means an inspector appointed under the Livestock

and Livestock Products Act;

(c) "local authority" means

(

i) a city, town, village, municipal district or

county, or specialized municipality, or

(ii) the Minister of Municipal Affairs, in the case of

an improvement district or a special area;

(d) "operator" means a person who operates a stock yard;

(e) "stock yard" means any area of land, including buildings, pens,

fences, gates, chutes, weigh scales and any other equipment located on the

land that is operated

(

i) as a public market for the purchase and sale, or

either of them, of livestock or for the receiving of livestock by a

licensed livestock dealer on consignment, or

(ii) to assemble livestock for shipment by any form of

transportation and includes any premises maintained with respect to the

movement of livestock by a common carrier as a convenience to the public

but does not include the following:

(iii) a facility that is associated with an abattoir for

the purpose of holding livestock for slaughter;

(iv) any area of land or facility used in respect of the

sale of livestock by a producer or feedlot operator where the livestock

offered for sale have been held on that land for maintenance, feeding or

fattening purposes;

(

v) any area of land or facility used for the purpose

of holding a sale of registered purebred livestock;

(vi) any area of land or facility used for the purpose

of holding a sale of livestock on behalf of members of recognized 4-H

clubs.

Licence required

2 No person shall operate a stock yard unless that person holds

(

a) a stock yard operator's licence issued under this Regulation,

(

b) a livestock dealer's licence issued under the Livestock Dealers

and Livestock Dealers' Agents Regulation (AR 66/98), and

the stock yard that the person intends to operate is licensed under

section

Location of stock yard

3(1) A stock yard operator's licence issued under this Regulation must

state the location of the stock yard that the holder of the licence may

operate under the authority of that licence.

(2) A person must obtain a separate stock yard operator's licence for each

stock yard that is operated by that person.

Application for stock yard operator's licence

4 An application for a stock yard operator's licence must

(

a) be made to the Minister in the form prescribed under the

Application and Licence Form Regulation, and

(

b) be accompanied with the fee required under the Fees Regulation

under the Act.

Application refused or licence suspended or cancelled

5(1) The Minister may

(

a) refuse an application made under

section 4 where the applicant

has failed to comply with the provisions of

(

i) the Brand Act,

(ii) the Livestock Identification and Brand Inspection

Act,

(iii) the Livestock Diseases Act, or

(iv) the Livestock and Livestock Products Act;

(

b) cancel or suspend a stock yard operator's licence where the

holder of that licence fails to comply with the provisions of

(

i) the Brand Act,

(ii) the Livestock Identification and Brand Inspection

Act,

(iii) the Livestock Diseases Act, or

(iv) the Livestock and Livestock Products Act.

(2) Where the Minister cancels or suspends a stock yard operator's

licence, the Minister shall serve the person with written notice of that

cancellation or suspension

(

a) by means of personal service, or

(

b) by sending it by registered mail to the latest address of that

person on file with the Minister.

Notice of closure

6(1) Where a person's stock yard operator's licence is cancelled or

suspended, an inspector may place on the livestock receiving chutes of the

stock yard operated by that person signs reading "Premises Closed By Order

of the Minister".

(2) The signs placed on the livestock receiving chutes of a stock yard

under subsection (1) must be removed by an inspector if a person presents

the inspector with a new or reinstated stock yard operator's licence

permitting the operation of that stock yard.

(3) No person shall operate a stock yard during the time that a sign

referred to in subsection (1) remains on a livestock receiving chute of

that stock yard.

Records

7 Every operator of a stock yard shall

(

a) keep a detailed record of each transaction relating to

livestock that takes place at that stock yard, and

(

b) retain the record for 24 months from the date that the

transaction took place.

Request for information

8 Every operator shall, not later than the 10th day of each month,

forward to the Minister such information as may be requested by the

Minister.

Change of address

9 Every operator shall notify the Minister in writing of any change in

that operator's address.

Misleading statements

10(1) No operator shall publish in any form or by any medium a statement

that misrepresents in any manner the goods or services offered by that

operator.

(2) No operator shall make or permit an employee or a person who is under

contract to the operator to make any statement or representation that is

likely to deceive or mislead or that is intended to deceive or mislead any

person with respect to a transaction that takes place at or in respect of

that stock yard.

Application for stock yard licence

11(1) An application for a stock yard licence must

(

a) be made to the Minister in the form prescribed under the

Application and Licence Form Regulation, and

(

b) be accompanied with the fee required under the Fees Regulation

under the Act.

(2) Where a person applies for a licence in respect of a stock yard that

was not licensed in the immediately preceding year, that person must

provide the Minister with a written statement

(

a) from the local authority in which the stock yard is located

certifying its approval of the location of the stock yard,

(

b) from the Minister of Transportation and Utilities approving the

location of the stock yard and the entrances to and exits from the stock

yard, where that stock yard is situated adjacent to a highway as defined in

the Public Highways Development Act, and

(

c) from a veterinarian licensed to practice in the province of

Alberta that the facility, in the veterinarian's professional opinion, does

not create an undue hazard to livestock being handled and complies with all

applicable construction and sanitation requirements under the Livestock

Market Regulation (AR 344/79) and the Livestock Assembling Station

Regulation (AR 269/79).

(3) If the Minister is satisfied that the stock yard conforms to the

requirements of the Act and the regulations under the Act and that the

appropriate approvals have been given under subsection (2), the Minister

shall issue a stock yard licence.

Expiry of licence

12 A stock yard operator's licence or a stock yard licence issued under

this Regulation expires on December 31 of the year in which the licence was

issued.

Licence must be displayed

13 The holder of a stock yard licence must display the licence at all

times in a prominent location within the stock yard.

Licence not transferable

14 A licence under this Regulation is not transferable.

Repeals

15 The following regulations are repealed:

(

a) Stock Yard Operators Licensing Regulations (AR 93/77);

(

b) Stock Yard Licensing Regulations (AR 92/77).

Expiry

16 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 December 31, 2003.

Coming into force

17 This Regulation comes into force on November 1, 1998.

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

Alberta Regulation 198/98

Livestock and Livestock Products Act

SECTION 6.1 LIVESTOCK DESIGNATION REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 424/98) pursuant to

section 6.1 of the Livestock and Livestock Products Act.

Application

Section 6.1 of the Livestock and Livestock Products Act applies only

to cattle.

Repeal

2 The

Section 6.1 Livestock Designation Regulation (AR 256/95) is

repealed.

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 December 31, 2003.

Coming into force

4 This Regulation comes into force on November 1, 1998.

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

Alberta Regulation 199/98

Livestock and Livestock Products Act

LIVESTOCK PATRONS' CLAIMS REVIEW TRIBUNAL

AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 425/98) pursuant to

sections 15 and 15.1 of the Livestock and Livestock Products Act.

1 The Livestock Patrons' Claims Review Tribunal Regulation (AR 257/97) is

amended by this Regulation.

Section 13(1) is amended by striking out "Tribunal is satisfied" and

substituting "Administrator is satisfied".

Section 14 is amended

(

a) in clause (

b) by striking out "Tribunal" and substituting

"Administrator";

(

b) in clause (

m) by striking out "patron" and substituting

"dealer".

Section 34 is amended by striking out "December 31, 2002" and

substituting "December 31, 2003".

5 This Regulation comes into force on November 1, 1998.

Alberta Regulation 200/98

Stray Animals Act

HORSE CAPTURE AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 427/98) pursuant to

section 23 of the Stray Animals Act.

1 The Horse Capture Regulation (AR 59/94) is amended by this Regulation.

Section 13 is repealed and the following is substituted:

Expiry

13 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 December 31, 2003.

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

Alberta Regulation 201/98

Stray Animals Act

STRAY ANIMALS AMENDMENT REGULATION

Filed: October 7, 1998

Made by the Lieutenant Governor in Council (O.C. 428/98) pursuant to

section 23 of the Stray Animals Act.

1 The Stray Animals Regulation (AR 301/96) is amended by this Regulation.

Section 3(1)(

e) is repealed and the following is substituted:

(

e) where the person uses special equipment to carry out the work

or service,

(

i) the actual rental cost of the special equipment,

supported by receipts, or

(ii) an amount equivalent to the cost referred to in

subclause (i), where the person owns the special equipment;

Section 7 is amended by striking out "January 1, 2002" and substituting

"December 31, 2003".

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

Alberta Regulation 202/98

Alberta Housing Act

SOCIAL HOUSING ACCOMMODATION AMENDMENT REGULATION

Filed: October 8, 1998

Made by the Minister of Municipal Affairs (M.O. H:090/98) pursuant to

section 34(1) of the Alberta Housing Act.

1 The Social Housing Accommodation Regulation (AR 244/94) is amended by

this Regulation.

Section 1(1) is amended

(

a) by adding the following after clause (i)(iv):

(

v) a live-in aide;

(

b) by adding the following after clause (i):

(i.1) "live-in aide" means an individual who, in the

opinion of the management body, is required to live as a member of the

household to provide services or assistance to enable other members of the

household to be functionally independent;

(

c) in clause (

n) by adding ", except a live-in aide," after "all

sources of all members of the household".

3 The following is added after

section 6(5):

(6) If a household includes a live-in aide, the rent prescribed

under

section 6.1 must be added to the basic rent set for and charged to

the household under this section.

4 The following is added after

section 6:

Rent for live-in aide

6.1 The rent to be charged a live-in aide is $150 for each month.

Alberta Regulation 203/98

Agricultural Service Board Act

FORMS REGULATION

Filed: October 14, 1998

Made by the Lieutenant Governor in Council (O.C. 430/98) pursuant to

section 23 of the Agricultural Service Board Act.

Forms prescribed

1 The forms in the

Schedule are the forms prescribed for the purposes of

the sections indicated on them.

Repeal

2 The Forms Regulation (AR 501/81) is repealed.

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 June 30, 2003.

SCHEDULE

FORM A

AGRICULTURAL SERVICE BOARD ACT

(Section 16(3))

To the Registrar of Land Titles for the ______________ Land Registration

District.

Take notice that a by-law (or order, as the case may be) has been passed

(or made) declaring that possession and control of the following land has

been vested in the council of (municipal name) or the Minister of

Municipal Affairs, as the case may be) under the authority of

section 16 of

the Agricultural Service Board Act.

(Insert description of lands)

Dated at _____________ the ______ day of ____________, 19 ___

Council of

By Signing Officer

Minister of Municipal Affairs,

By (as the case may be)

Form B

AGRICULTURAL SERVICE BOARD ACT

(Section 19(1))

To the Registrar of Land Titles for the ______________ Land Registration

District.

Take notice that the by-law (or order, as the case may be) declaring that

possession and control of

(here describe land)

has been vested in the council of (municipal name) or the Minister of

Municipal Affairs, as the case may be) has been rescinded in so far as it

affects the following land:

(here describe land)

Dated at _____________ the ______ day of ____________, 19 ___

Council of

By Signing Officer

Minister of Municipal Affairs,

By (as the case may be)

Document details

CollectionAlberta — Gazette
Citation1031 ii
Typegazette
Volume / chapter1031 ii
Languageen
Formathtml
SourcePROVINCIAL
Identifierfbcb29c76fb5d174d70c587feba5d526af2a9acf

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