LICENCES ACT, 2010

Arrangement of Sections

PART I

PRELIMINARY

1. Short title.

2. Interpretation.

PART II

SEYCHELLES LICENSING AUTHORITY

3. Establishment of the Authority.

4. The Board.

5. CEO of the Authority.

6. Deputy Chief Executive Officer.

7. Staff of the Authority.

8. Guiding principles.

9. Functions of the Authority.

10. Powers of the Authority.

11. Powers of the Minister.

12. Meetings of the Board.

13. Disclosure of interest by members.

14. Delegation of powers.

15. Funds of the Authority.

16. Accounts and audit.

17. Appeals.

18. Appeals Board.

19. Decision on appeal.

PART III

LICENCES

20. Licences.

21. Application for a licence.

22. Payment of licence fee.

23. Powers of entry etc,.

24. Offences.

25. Penalties.

26. Revocation of licence upon conviction.

27. Compounding of offences.

28. Regulations.

29. Transfer of assets and liabilities.

30. Repeal.

SCHEDULE

23 of 2010.

SI 32 of 2011.

AN ACT to repeal and replace the Licences Act, 1986 and to provide for connected matters.

[Date of commencement: 27th September 2010]

PART I

PRELIMINARY

1. Short title.

This Act may be cited as the Licences Act, 2010.

2. Interpretation.

(1) In this Act—

“Appeals Board” means the board appointed under section 19;

“Authority” means the Licensing Authority established by section 3(1);

“Board” means the Board of the Authority provided for in section 4;

“Chairperson” means the Chairperson of the Board appointed under section 4(2);

“Chief Executive Officer” means the Chief Executive Officer of the Authority appointed under section 5(1);

“licence” means the permission that a person shall obtain before engaging in a licensable business activity;

“licensable business activity” means a business activity listed in the Schedule;

“Member” means a member of the Board and includes the Chairperson;

“Minister” means the Minister responsible for Finance.

PART II

SEYCHELLES LICENSING AUTHORITY

3. Establishment of the Authority.

(1) There is established for the purposes of this Act the Seychelles Licensing Authority.

(2) The Authority shall be a body corporate.

4. The Board.

(1) The Authority shall be administered by a Board which shall consist of not less than five members appointed by the President by notice published in the Official Gazette for such term and on such conditions as the President may determine.

(2) The President shall appoint one of the members to be the Chairperson of the Board.

5. CEO of the Authority.

(1) There shall be a Chief Executive Officer of the Authority appointed by the President for such term and on such conditions as the President may determine.

(2) The Chief Executive Officer has, in addition to such other functions which the Board may from time to time assign to the Chief Executive Officer and, subject to the direction of the Board, the supervision over and direction of the affairs of the Authority.

[Note: There was no subsection 5(3) in the Gazette.].

(4) Subject to any direction of the Board and, unless prevented by reasons which appear to be reasonable to the Board, the Chief Executive Officer shall attend and participate in the meetings of the Board but shall have no right to vote at the meetings.

6. Deputy Chief Executive Officer.

(1) The President may appoint a Deputy Chief Executive Officer for such term and on such conditions as the President may determine.

(2) The Deputy Chief Executive Officer shall—

(a) discharge the functions of the Chief Executive Officer when the Chief Executive Officer is absent on leave or delegates them to the Deputy Chief Executive Officer; and

(b) perform such other functions as may be assigned to the Chief Executive Officer by the Board.

7. Staff of the Authority.

The Authority may, on such terms and conditions as may be determined by the Board, employ such persons as are necessary for the Board to perform its functions.

8. Guiding principles.

The Authority shall be guided by the following principles in performing its functions—

(a) The regulation of licensable activities shall aim to set minimum standards relating to such activities and to ensure—

(i) public safety and hygiene;

(ii) national security; and

(iii) environmental protection;

(b) Licence fees will cover the administrative costs relating to issuing licences;

(c) Applications for licences shall be dealt with within 14 days after they are received;

(d) Licences shall be issued on the basis of clearly defined and transparent criteria;

(e) An application shall only be disallowed for sufficient reason and the applicant shall be entitled to appeal against the decision.

9. Functions of the Authority.

(1) Where a licence is required under this Act, the Authority may—

(a) grant a licence or renew a licence;

(b) attach or vary conditions of a licence;

(c) subject to subsection (3), suspend a licence; or

(d) in accordance with subsection (7), revoke a licence.

(2) Where the Authority deems it fit to consult any other public authority before exercising its powers under subsection(1), the Authority shall consult such authority.

(3) Notwithstanding subsection (1)(c)—

(a) where any activity, business, trade, profession, premises, animals, goods, vehicles or vessels in respect of which a licence is granted by the Authority is under the control, superintendence or management of another public authority, the Authority may for a breach of any conditions of the licence or for any other reasonable cause suspend the licence for a period not exceeding 60 days where, after giving the holder of the licence an opportunity to show cause, the other public authority is of the opinion that such action is necessary in the interests of such activity, business, trade, profession, premises, animals, goods, vehicle or vessels, and informs the Authority of such opinion;

(b) where pursuant to a conviction of any person by a court for any offence, the court is empowered by any Act to suspend, cancel or revoke a licence issued by the Authority, the court may temporarily suspend the licence for a period of 21 days and shall inform the Authority of such action.

(4) Where a person complains to the Authority against a licensee the Authority may, where it does not consider the complaint frivolous or vexatious—

(a) inquire into the complaint; and

(b) subject to this Act, take such measures against the licensee as the Authority considers appropriate.

(5) The Authority shall ensure that a licensee complies with the conditions of the licence.

(6) The Authority shall keep a record of all the licences it has granted.

(7) Where the Authority is satisfied upon such enquiry as it may consider necessary, that the holder of a licence—

(a) has furnished false, misleading or inaccurate information or has concealed or failed to disclose a material fact in the application; or

(b) has contravened any written law or any condition of the licence,

the Authority may revoke the licence:

Provided that the decision to revoke the licence shall not take effect within 15 days from the date of the decision, or if an appeal is lodged under section 17, pending the determination of the appeal.

(8) The Authority shall, before it decides under subsection (1) to suspend, revoke or refuse to grant a renewal of a licence, give the holder of the licence an opportunity of showing cause against such action.

10. Powers of the Authority.

(1) In the exercise of its functions under this Act, the Authority may—

(a) require any person to furnish any information on any matter relating to a licence;

(b) summon a person to appear before the Authority to answer questions and to produce such documents as the Authority may specify in the summons;

(c) administer an oath to a person appearing before it or allow that person to make an affirmation or declaration;

(d) nominate, appoint or authorise any person or any other public authority to enquire and report on any matter relating to—

(i) an application for a licence;

(ii) the alleged breach of a condition of a licence;

(iii) the renewal, revocation or suspension of a licence; or

(iv) a complaint against a licensee;

(e) where the Authority has reasonable grounds to believe that any activity, business, trade or profession is being engaged in or carried on or any animals, goods, vehicles or vessels are kept, used or possessed or any premises are kept or managed in breach of this Act, and has given the holder of the licence an opportunity to show cause, order—

(i) the closure of the premises in which such activity, business, trade or profession is engaged in or carried on or which are kept or managed;

(ii) the seizure of any material, equipment, animals, goods, vehicles or vessels used in connection with the breach;

(f) call for and obtain the assistance of any police officer, public officer or other person, and use such force as may be necessary, in carrying out any order under paragraph (e).

(2) Where in the exercise of the powers of the Authority under subsection (1)(e), any premises have been closed or any material, equipment, animal, goods, vehicle or vessel has been seized and no prosecution in relation to the premises, material, equipment, animal, goods, vehicle or vessel has been instituted within 60 days after the closure or seizure—

(a) the premises shall be released from closure;

(b) subject to subsection (3), the material, equipment, animal, goods, vehicle or vessel shall be released to the person from whom they were seized.

(3) Where any goods seized under subsection (2) are of a perishable nature or where the custody of goods or animals seized under that subsection would involve unreasonable expense and inconvenience, the goods or animals may be disposed of in such manner as the Authority thinks fit and—

(a) where no prosecution has been instituted in relation to the goods or animals within 60 days after the seizure, the Authority shall pay to the person who claims those goods or animals their market value;

(b) where a prosecution has been instituted in relation to the goods or animals within the period of 60 days after the seizure, the Authority shall comply with the order of the court in which the prosecution has been instituted in respect of the goods or animals.

(4) Where in the exercise of its powers under subsection (1)(e)(i) the Authority orders the closure of any premises, the Authority shall affix upon a conspicuous part of the premises a copy of the closure order.

(5) Upon being so affixed such notice shall be deemed to be notice to all persons that the premises are the subject of a closure order.

(6) Save with the permission of the Authority, no person shall enter, open or allow to be kept open any premises at any time while a closure order is in force in respect of those premises.

11. Powers of the Minister.

(1) Subject to subsection (2), the Minister may give the Authority directions of a general character in writing as to the exercise of its functions and powers in relation to matters concerning the public interest and the Authority shall comply with those directions.

(2) In the exercise of the Minister’s powers under subsection (1), the Minister shall not give a direction to the Authority with respect to a particular application, licence or case.

12. Meetings of the Board.

(1) The Board shall meet at such time and at such place as the Chairperson may determine.

(2) The Chairperson or, in the absence of the Chairperson, any member elected by the members present, shall preside at any meeting of the Board.

(3) Half, or where the Board comprises an odd number of members, half of the members plus one shall constitute a quorum for a meeting of the Board.

(4) Questions arising at a meeting of the Board shall be decided by a majority of the votes of the members present and, in the event of an equality of votes, the Chairperson or the member presiding shall have a second or casting vote.

(5) Subject to this section, the Board shall regulate its own proceedings.

13. Disclosure of interest by members.

A member or the Chief Executive Officer attending a meeting of the Board, who has a direct or indirect interest in any matter which falls to be decided by the Board—

(a) shall disclose the nature of such interest at a meeting of the Board; and

(b) shall not take part in any deliberation or decision in respect of that matter.

14. Delegation of powers.

(1) The Board may, subject to such conditions and restrictions as it may impose, delegate to the Chief Executive Officer such of its powers as are necessary to enable the Chief Executive Officer to transact effectively the day-to-day affairs of the Authority.

(2) The Chief Executive Officer may, subject to the approval of the Board, delegate to an officer of the Board, any of the Chief Executive Officer’s functions.

15. Funds of the Authority.

(1) The funds of the Authority shall consist of money appropriated by an Appropriation Act and paid to the Authority.

(2) The Authority shall apply its funds for the purpose of meeting expenditures incurred by the Authority in the performance of its functions, the payment of emoluments to the members, officers and staff and meeting such other expenses as may be authorised by the Board.

16. Accounts and audit.

(1) The Authority shall keep proper accounts of the Authority and records in relation to the accounts and shall prepare, in respect of each financial year of the Authority, a statement of accounts in such form as the Auditor-General may direct.

(2) The accounts and statement of accounts of the Authority shall be audited by the Auditor-General.

(3) As soon as the accounts and statement of accounts of the Authority in respect of any financial year have been audited, the Authority shall furnish to the Minister a copy of the statement together with a copy of any report made by the Auditor-General on that statement or on the accounts of the Authority.

(4) The Authority shall prepare in respect of each financial year of the Authority a report of its activities and submit a copy of the report to the Minister and the Minister shall cause the report to be presented to the National Assembly.

(5) The financial year of the Authority shall be the year ending on 31st December.

17. Appeals.

A person aggrieved by any decision of the Authority may submit a notice of appeal in writing to the Appeals Board.

18. Appeals Board.

(1) There shall be an Appeals Board to hear and determine appeals against the decisions of the Authority.

(2) The Appeals Board shall consist of the following members appointed by the President—

(a) a chairperson;

(b) a representative of the Attorney-General;

(c) a representative of the Fair Trading Commission;

(d) a representative of a non-governmental organisation that represents the interests of the private sector.

(3) A person appointed as a member of the Appeals Board shall have experience in legal, administrative, economic or financial matters.

(4) A member of the Appeals Board shall be appointed on such terms and conditions as the President may determine.

(5) The Chairperson and other members of the Appeals Board shall hold office for three years and shall be eligible for reappointment.

(6) The President shall at any time terminate the appointment of a member who has been found guilty of—

(a) any misconduct, default or breach of trust in the discharge of that member’s duties; or

(b) an offence of such nature as renders it desirable that the member’s appointment be terminated.

(7) The Appeals Board may regulate its own proceedings.

19. Decision on appeal.

The Appeal Board may, where it entertains a notice of appeal, decide the appeal by—

(a) confirming the decision of the Authority;

(b) varying the decision;

(c) quashing the decision;

(d) ordering the Authority to reconsider the Authority’s decision as directed by the Appeals Board.

PART III

LICENCES

20. Licences.

(1) Notwithstanding anything in any other Act, no person shall—

(a) engage in or carry on any activity, profession, trade or business specified in the Schedule;

(b) keep or manage any premises specified in the Schedule,

except under and in accordance with a licence granted by the Authority.

(2) Regulations may provide for all matters in respect of a licence under subsection (1) including the levy of a fee or other charge in respect of the licence.

(3) The regulations presently governing the activities, professions, trades and businesses referred to in Part II of the Schedule shall continue to apply until they are amended or replaced by regulations made under this Act.

[Note to section 20(3): Clause 3 of SI 32 of 2011 attempted to retrospectively save a number of statutory instruments by adding them to the Schedule to Act 23 of 2010. Those instruments did not appear in the Schedule at the time the Act was gazetted and could not therefore be saved by section 20(3) of the Act (refer section 29(2) of the Interpretation and General Provisions Act). The relevant statutory instruments are as follows:

Licences (Broadcasting and Telecommunication) Regulations, 1988

Licences (Complimentary Health Care Services) Regulations, 2004

Licences (Professional Services) Regulations, 1996

Licences (Fisheries) Regulations, 1987

Licences (Employment Agency) Regulations, 1995

Licences (Pig Breeding) Regulations, 1987

Licences (Poultry Keeper) Regulations, 1987

Licences (CoCo-de mer Dealers) Regulations, 1987

Licences (Building and Maintenance Contractors) Regulations, 1999

Licences (Ship Chandler) Regulations, 1993

Licences (Shipping Agents) Regulations, 2000

Licences (Newspaper Publisher and Printer) Regulations, 1987

Licences (Tourist Guide) Regulations, 1996

Licences (Tour Operator and Travel Agent) Regulations, 1987

Licences (Betting) Regulations, 1994

Licences (Motor Vehicle Dealers) Regulations, 1996]

Licences (Coin-operated Machines) Regulations.

Licences (Road Transport) Regulations.

(4) Where, for any purpose specified in another Act, a licence is required under that other Act, it may be provided by or under that Act that this Act shall apply to such licence and, notwithstanding anything to the contrary in that other Act, the Authority may exercise its functions and powers in respect of such licence as if it were a licence required under this Act.

21. Application for a licence.

(1) An application for a licence shall be made to the Authority and shall contain such particulars as may be prescribed.

(2) The Authority may, in writing, direct—

(a) a person who is required by this Act to hold a licence to apply for a licence not later than a date specified in the direction;

(b) an applicant for a licence to furnish such particulars as the Authority may consider necessary,

and such person or applicant, as the case may be, shall comply with the direction.

22. Payment of licence fee.

(1) Where a licence under this Act is granted—

(a) for a period of one year, the licence fee for that year shall, subject to paragraph (c), be paid before the grant of the licence;

(b) for a period in excess of one year—

(i) the licence fee for the whole period may be paid before the grant of the licence;

(ii) the licence fee for the first year of the period shall, subject to paragraph (c), be paid before the grant of the licence; and

(iii) the licence fee for each year subsequent to the first year shall, subject to paragraph (c), be paid on or before the beginning of each subsequent year;

(c) the Authority may permit the holder of the licence to pay the licence fee in such installments as may be determined by the Authority.

(2) Where the holder of a licence fails to pay the licence fee or any installment thereof in accordance with subsection (1), the licence shall cease to be valid on the date the fee or the installment of the fee is due, without prejudice to the right of the Authority to recover the fee or installment due on the date the licence ceased to be valid.

23. Powers of entry etc,.

(1) The Authority may authorise an officer of the Authority to exercise any of the powers pursuant to subsection (2).

(2) An officer so authorised may, where the officer has reason to believe that an offence under this Act has been, or is being, committed—

(a) enter and search any premises, vehicle or vessel;

(b) call for and examine any licence, book or other document;

(c) take copies of or extracts from any book or document or any entry of the book or document.

(3) An officer shall, if so requested, produce the officer’s Authority to exercise powers under this section.

24. Offences.

(1) Any person who without lawful authority or reasonable excuse communicates to another person information which the person has acquired while acting as a member, officer, employee or agent of the Authority is guilty of an offence.

(2) Any person who without lawful authority or reasonable excuse—

(a) wilfully fails to furnish any information when required by the Authority to do so;

(b) wilfully fails to comply with a summons issued or an order made by the Authority;

(c) wilfully fails to answer a question put to the person by a member in the course of proceedings of the Authority held under this Act;

(d) knowingly gives false evidence before the Authority;

(e) wilfully obstructs a member, officer, employee or agent of the Authority exercising functions under this Act; or

(f) acts in contempt of the Authority,

is guilty of an offence.

(3) A person who in any application for a licence under this Act or pursuant to any requirement under section 10(1)(a) or 24(2) makes any statement which the person knows to be false in a material particular is guilty of an offence.

(4) A person who contravenes section 20(1) or, when directed by the Authority, contravenes section 21(2) or contravenes any condition of a licence or contravenes any regulation is guilty of an offence:

Provided that, where a person is charged with contravening section 20(1), the burden of proving that the person is the holder of a licence shall be on that person.

(5) Any person who without reasonable excuse enters, opens or allows to remain open any premises in respect of which a closure order is in force is guilty of an offence.

(6) Any person who removes or otherwise tampers with a closure notice shall be guilty of an offence.

(7) Any person who without a valid licence solicits, advertises, invites or offers for hire or rent any licensable services for a fee is guilty of an offence.

25. Penalties.

Any person who is guilty of an offence under this Act shall on conviction be liable—

(a) subject to paragraph (c), in the case of an offence under section 24(4), to a fine of not less than R5,000 and not exceeding R50,000;

(b) in the case of an offence under section 24(1), (2), (5), (6) or (7), to a fine of R50,000 and to imprisonment for five years;

(c) in the case of an offence constituted by the selling of lapire or baka otherwise than under a licence issued in that behalf, to a fine of not less than R8,000.

26. Revocation of licence upon conviction.

The Board may revoke a licence where the holder of a licence granted by the Board—

(a) is convicted of an offence under this Act; or

(b) is convicted of an offence under any other law which disqualifies the person upon conviction from holding the licence or which allows on conviction the revocation of the licence.

27. Compounding of offences.

(1) If the Chief Executive Officer is satisfied that a person has committed an offence against this Act and if that person admits that fact and agrees in writing to the matter being dealt with under this section the Chief Executive Officer may—

(a) compound such offence by accepting from such person a sum of money not exceeding the maximum fine specified for that offence; and

(b) deal with the sum of money received under this section as though it were a fine imposed by the court.

(2) In any proceedings brought against any person for an offence against this Act, it shall be a good defence if the person proves that the offence has been compounded under this section.

28. Regulations.

(1) The Minister may make regulations for carrying into effect the principles and provisions of this Act.

(2) The Minister may by regulations amend the Schedule.

29. Transfer of assets and liabilities.

The movable and immovable property vested in and managed by, and the assets, rights, privileges, liabilities and obligations of, the Seychelles Licensing Authority constituted under the Licences Act, 1986 shall stand transferred to the Authority established by this Act upon the coming into operation of this Act.

30. Repeal.

(1) The Licences Act, 1986 is repealed.

(2) Notwithstanding subsection (1), any licence granted under that Act and in force on the day immediately prior to the date of coming into operation of this Act shall, unless earlier revoked, continue in force for the period for which the licence was granted.

(3) The Authority may exercise any of its functions and powers under this Act in respect of such a licence as if it were a licence granted under this Act.

SCHEDULE

PART I

1. Keeping a Cafe;

2. Providing Catering Services;

3. Keeping a Hotel;

4. Keeping a Restaurant;

5. Keeping a Self-Catering Establishment;

6. Keeping a Guesthouse;

7. Keeping a Discotheque;

8. Engaging in a Take-away Business;

9. A Bottler’s Licence;

[Item 9 rep and subs by reg 2 of SI 32 of 2011 w.e.f. 18 April 2011.]

10. Off-Liquor Licence;

11. Public Bar;

12. Members Club Licence;

13. Lapire/Baka Licence

14. Dive Centre

15. Dive Operator

16. Hairdresser

17. Beautician

18. Labour Contractor

19. Garage Operator;

20. Importation and Distribution of Pesticides;

21. Import/Wholesale/Retail

22. Hirer of self-drive Public Omnibus

23. Storage and Retail of Petroleum Products

24. Operator of Casino

25. Licensing of Drivers

[Item 25 rep and subs by reg 2 of SI 32 of 2011 w.e.f. 18 April 2011.]

26. Registration

27. Use of Vehicles on Public Roads

PART II

Licences (Accommodation, Catering and Entertainment Establishment) Regulations, 2001

Licences (Manufacturing) Regulations, 1999

Licences (Liquor and Out-Door Entertainment) Regulations, 1998

Licences (Diving Business) Regulations, 1991

Licences (Miscellaneous Services) Regulations, 2000

Licences (Trades) Regulations, 1987, amended in 1992

Licences (Petroleum Storage and Sale) Regulations, 1987

Licences (Casino) Regulations, 1987, amended in 1994

Licences (Gaming Machines) Regulations, 1994

Licences (Game of Chance) Regulations, 1994

[Note: The amendments made to Part II of the Schedule by reg 3 of SI 32 of 2011 are not reflected in this book. See the note to S 20(3) of the Act above.]

SUBSIDIARY lEGISLATION

Licences (Petroleum Storage and Sale) Regulations

Arrangement of Regulations

1. Citation.

2. Petroleum warehouse licence.

3. Bodies to be consulted.

4. Petroleum pump licence.

5. Bodies to be consulted.

6. Licence to deal in or sell petroleum.

7. Documents to accompany and bodies to be consulted.

8. Fees to accompany application.

9. Validity and transferability of a licence.

10. Display of licence.

SCHEDULE

SI 19 of 1987,

3 of 1992,

24 of 2012.

[Date of commencement: 31st March 1987]

1. Citation.

These Regulations may be cited as the Licences (Petroleum Storage and Sale) Regulations.

2. Petroleum warehouse licence.

(1) An application to licence a petroleum warehouse shall be in the form provided by the Authority.

(2) Subregulation (1) shall not apply to a Government petroleum warehouse.

3. Bodies to be consulted.

Before granting a licence in respect of an application under regulation 2, the Authority shall consult—

(a) the Ministry responsible for Planning as to whether the warehouse is positioned and constructed in accordance with the Petroleum Act;

(b) the person in charge of the Fire and Rescue Services Agency as to whether the warehouse is equipped with the necessary fire protection equipment and as to whether necessary precautions against fire had been taken in respect of the warehouse; and

[Reg 3(b) am by reg 2(a) of SI 24 of 2012 w.e.f. 7 May 2012.]

(c) the Ministry responsible for Defence;

4. Petroleum pump licence.

An application to licence a petroleum supply pump shall be in the Form provided by the Authority.

5. Bodies to be consulted.

Before granting a licence in respect of an application under regulation 4 the Authority shall consult—

(a) in the case of a fixed supply pump, the Ministry responsible for Planning as to whether the pump and the storage tank to be used in connection with it are positioned and constructed in accordance with the Petroleum Act;

(b) in the case of a movable supply pump, the Ministry responsible for Planning as to whether the pump and the tank accompanying it are constructed in accordance with the Petroleum Act and the Ministry approves the places where the pump will be placed;

(c) the person in charge of the Fire and Rescue Services Agency as to whether the necessary fire protection equipment and fire protection precautions have been installed and taken; and

[Reg 5(c) am by reg 2(b) of SI 24 of 2012 w.e.f. 7 May 2012.]

(d) the Ministry responsible for Defence.

6. Licence to deal in or sell petroleum.

(1) An application for a licence to deal in or sell petroleum shall be in the Form provided by the Authority.

(2) Subregulation (1) shall not apply to a dealing in or sale of kerosene by retail.

7. Documents to accompany and bodies to be consulted.

(1) Where the petroleum is to be stored in a warehouse or a pump, an application under regulation 6 shall be accompanied by the petroleum warehouse licence or the petroleum pump licence, as the case may be.

(2) Where the petroleum is not to be stored in a warehouse or in a pump, the Authority, before granting a licence, shall consult—

(a) the Ministry responsible for Planning as to whether the containers and the building where the petroleum is to be stored are in conformity with the Petroleum Act;

(b) the person in charge of the Fire and Rescue Services Agency as to whether necessary fire protection equipment and precautions have been installed and taken; and

[Reg 7(2)(b) am by reg 2(c) of SI 24 of 2012 w.e.f. 7 May 2012.]

(c) the Ministry responsible for Defence.

8. Fees to accompany application.

(1) An application under regulation 2, regulation 4 or regulation 6 shall, subject to subregulation (2), be accompanied by the fees set out in the Schedule in respect of each licence applied for.

(2) A person who was the holder of a licence and who applies, after the expiration of the licence, for the same type of licence shall, unless the Authority is satisfied that he had, during the period between the expiration of his previous licence and his application, ceased to carry on the activity for which he was previously licenced, be liable, in addition to the licence fee and any other penalty under the Act, to a surcharge equal to 10% of the licence fee for each month or part thereof which has elapsed from the date of the expiration of the previous licence and the date of the lodging of his application.

(3) Where the application is refused the Authority shall refund the licence fee and the surcharge to the applicant.

9. Validity and transferability of a licence.

(1) A licence granted under these Regulations shall be valid for a period of five years unless revoked by the Authority.

[Reg 9(1) rep and subs by reg 2(d) of SI 24 of 2012 w.e.f.
7 May 2012.]

(2) A licence to deal in or sell petroleum may, with the permission of the Authority, and subject to such conditions as the Authority may impose, be transferred.

10. Display of licence.

The holder of a licence under these Regulations shall display the licence at a conspicuous place at his principal place of business.

SCHEDULE

[Regulation 8(1)]

[Sch rep and subs by reg 2(e) of SI 24 of 2012 w.e.f. 7 May 2012.]

FEES

1. Licence fee for 5 years

SCR

(i)

petroleum warehouse

1,200

(ii)

fixed supply pump to store petroleum other than kerosene

500

(iii)

fixed supply pump to store kerosene

500

(iv)

movable supply pump to store petroleum other than kerosene

500

(v)

movable supply pump to store kerosene

500

(vi)

dealing in or sale of petroleum where storage capacity exceeds 1000 litres

2,000

(vii)

dealing in or sale of petroleum where storage capacity is less than 1000 litres

250

 

Licence (Trade) Regulations

Arrangement of Regulations

1. Citation.

2. Application for a licence.

3. Form of licence.

4. Bodies to be consulted.

5. Conditions of trade licence under regulations 3(1)(d), (e), (f), (g) and (h).

6. Processing fees to accompany application.

7. Validity and non-transferability of licence.

SCHEDULE

SI 22 of 1987,

12 of 1992,

47 of 1992,

102 of 1992,

16 of 1996,

102 of 1996,

61 of 2005,

11 of 2008,

*74 of 2014.

[Date of commencement: 31st March 1987]

[*Note:

(1) There are currently two Licence (Trade) Regulations in force, as SI 23 of 2012 (reproduced below) did not repeal and replace SI 22 of 1987.

(2) The most recent amendment to these Regulations, SI 74 of 2014, purports to amend “SI 22 of 1987 as last amended by SI 23 of 2012”. As the text of the amendments in SI 74 of 2014 do not make sense when applied to SI 23 of 2012, but do make sense when applied to SI 22 of 1987, they have been made in SI 22 of 1987 for the purposes of this book.]

1. Citation.

These Regulations may be cited as the Licence (Trade) Regulations.

2. Application for a licence.

An application for a licence to trade shall be in the Form provided by the Authority.

3. Form of licence.

(1) The licence to trade shall be a licence to trade—

(a) ...

[Reg 3(1)(a) rep by reg 2(a)(i) of SI 74 of 2014 w.e.f.
13 October 2014.]

(b) as a wholesaler;

(c) as a retailer;

(d) as a hirer of—

(i) self-drive hire vehicles;

(ii) public omnibus,

(iii) omnibus for public hire,

[Reg 3(1)(d)(iii) ins by reg 2(a) of SI 11 of 2008 w.e.f.
1 January 2008.]

to which the Road Transport Act applies;

(e) as a hirer of hirecraft to which the Control of Hire Craft Act applies;

(f) as an operator of paragliding or commercial ski boat, or hirer of water sports equipment, to which the Beach Control Act applies;

(g) as a hirer of films including video films;

(h) as a hirer of any goods or vehicles other than a hirer referred to in paragraphs (d), (e), (f) or (g).

(2) The Licence to trade shall—

(a) in the case of a licence to trade referred to in subregulation (1)(b) or (c), specify the category or class of goods for which the licence is granted and the address where the trade is to be carried on;

[Reg 3(2)(a) am by reg 2(a)(ii) of SI 74 of 2014 w.e.f.
13 October 2014.]

(b) in the case of a licence to trade referred to in subregulation (1)(d), (e), (f), (g), or (h), specify the category or class of operation or hiring for which the licence is granted and the address where the trade is to be carried on.

(3) The Authority may grant a licence to trade in more than one class of trade specified in subregulation (1).

4. Bodies to be consulted.

Before granting the licence, the Authority shall consult—

(a) the Ministry responsible for Planning as to whether the trade premises comply with all requirements of planning under the laws of Seychelles;

(b) the Ministry responsible for Health as to whether the trade premises conform to the public health requirements under the laws of Seychelles;

(c) where necessary, the officer in charge of the Fire Brigade as to whether the trade premises comply with all planning requirements relating to fire protection under the laws of Seychelles;

(d) the Ministry responsible for Defence;

(e) in the case of a licence under regulation 3(1)(b) or (c), the Seychelles Marketing Board on matters within its purview;

[Reg 4(e) am by reg 2(b) of SI 74 of 2014 w.e.f.
13 October 2014.]

(f) in the case of a hirer under regulation 3(1)(d), the Ministry responsible for Transport;

(g) in the case of a hirer under regulation 3(1)(e), the Harbour Master as to whether the hirecraft complies with the requirements under the Control of Hire Craft Act and, where a hire craft is required to be fitted with a wireless receiver or transmitter, whether there is a valid licence for the receiver or transmitter;

(h) in the case of a hirer under regulation 3(1)(f), the Ministry responsible for the administration of the Beach Control Act as to whether the requirements under that Act have been complied with;

(i) in the case of a hirer under regulation 3(1)(g), the Ministry for Information on matters within its purview;

(j) in the case of a hirer under regulation 3(1)(h), the Ministry or Department having the control or management of goods, or vehicles as to whether all the requirements of law have been complied with.

5. Conditions of trade licence under regulations 3(1)(d), (e), (f), (g) and (h).

(1) The licence under regulation 3(1)(d) shall be subject to the condition that the holder of the licence shall comply with the provisions of the Road Transport Act and the Regulations made under that Act relating to the vehicles.

(2) The Authority may, in a licence under regulation 3(1)(e) specify—

(a) conditions—

(i) restricting the number of passengers;

(ii) restricting the area of operation;

(iii) requiring additional equipment;

(iv) relating to standard of accommodation and tourist amenities;

(v) requiring the licensee to take out and keep in force a policy of insurance to the satisfaction of the Authority covering the passenger and the crew of the hirecraft, and the public, for personal injury and for damage to their property.

(b) rates for charter of hirecraft approved by the Minister responsible for Tourism;

(c) any other conditions which the Authority may deem fit to impose;

(3) A licence under regulation 3(1)(e) shall—

(a) be subject to the condition that the holder of the licence shall comply with the Control of Hirecraft Act and any statutory instrument made thereunder; and

(b) in the case of a hirecraft which is more than 12 metres long, authorise the holder of the licence to—

(i) provide meals,

(ii) subject to any written law regulating the sale of liquor and tobacco, sell refreshments, liquor, cigars, cigarettes, tobacco and matches, to passengers on board the hirecraft for consumption on board the hirecraft.

(4) The Authority may, in a licence under regulation 3(1)(f), specify—

(a) conditions—

(i) to ensure the safety of a skier, flyer, boat crew and land crew;

(ii) to ensure the safety of the public and other users of the beach and inshore waters;

(iii) restricting or otherwise specifying the area and time of operations;

(iv) specifying the necessary equipment including tow rope, harness, boat or safety equipment, suitable engines for the proper and safe operation of water skiing and paragliding;

(v) requiring the licence to take out and keep in force a policy of insurance to the satisfaction of the Authority covering the water skier, paraglider, the ski boat and paragliding crew and the public, for personal injury or damage to their property.

(b) any other condition which the Authority may deem fit to impose.

(5) A licence under regulation 3(1)(f) shall be subject to the condition that the holder of the licence shall comply with the provisions of the Beach Control Act and Regulations made under that Act.

(6) The Authority may in a licence under regulation 3(1)(g), specify—

(a) conditions—

(i) requiring the licensee to submit the films before hiring for the approval of the Ministry responsible for Information which is hereby empowered to call for, examine and rate any film and approve it with or without excision therefrom;

(ii) prohibiting the hiring of films which have not been approved by the Ministry responsible for Information or otherwise than in accordance with its approval;

(b) any other condition which the Authority may deem fit to impose.

(7) The Authority may in a licence under regulation 3(1)(h), specify—

(a) conditions—

(i) requiring the licensee to take out and keep in force a policy of insurance to the satisfaction of the Authority covering—

A. the passengers in the vehicle and the public for personal injury and damage to their property; and

B. damage to goods being carried by the vehicle;

(ii) in relation to storage of goods, their disposal and quality control;

(b) any other condition which the Authority may deem fit to impose.

6. Processing fees to accompany application.

(1) An application for a licence to trade shall, subject to subregulation (2), be accompanied by the fees set out in the Schedule.

(2) A person who was the holder of a licence and who applies, after the expiration of the licence, for the same type of licence shall, unless the Authority is satisfied that he had, during the period between the expiration of the licence and his application, ceased to carry on the activity for which he was previously licenced, be liable, in addition to the licence fee and any other penalty under the Act, to a surcharge equal to 10% of the licence fee for each month or part thereof which has elapsed from the date of the expiration of the previous licence and the date of the lodging of his application.

(3) Where an application for a licence is refused, the Authority shall refund the licence fee and the surcharge to the applicant.

7. Validity and non-transferability of licence.

(1) A licence to trade shall be valid for a period of 12 months from the date of grant unless earlier revoked by the Authority and is, subject to subregulation (2), non-transferable.

(2) The Authority may, on the application of the holder of a licence and after consulting the relevant bodies specified in regulation 4, authorise, subject to such conditions as it thinks fit, the holder of the licence to transfer the activities under the licence to another premises.

SCHEDULE

[Regulation 6(1)]

FEES

1.

Processing an application for a licence other than a licence to trade as a retailer

R. 50

 

2.

Processing an application for a licence to trade as a retailer

R. 25

 

3.

Licence fee

1 year

3 years

(i)

...

R1000

R2500

[Sch item 3(i) rep by reg 2(c) of SI 74 of 2014 w.e.f. 13 October 2014.]

(ii)

wholesaler (in respect of each premises where the trade is carried on)

R2200

R6200

(iii)

retailer—

   

 

(a) of handicrafts

R200

 

 

(b) of other goods (in respect of each premises where the trade is carried on)

R400

R1130

[Sch item (3)(iii) rep and subs by reg 2 of SI 16 of 1996 w.e.f. 26 February 1996.]

(iv)

...

   

[Sch item (3)(iv) rep by reg 2(a) of SI 102 of 1996 w.e.f. 1 January 1997.]

(v)

hirer of hirecraft to which the Control of Hire Craft Act applies—

   

 

A. where the hirecraft belongs to a Seychellois—

   

 

AA. the craft, not being a beach-craft does not exceed 3m

R500

R1,410

 

AB. the craft, not being a breach-craft, exceeds 3m but does not exceed 12m

R1,500

R4,230

 

AC. the craft, not being a beach-craft, exceeds 6m but does not exceed 9m

R4,000

R11,280

 

AD. the craft, not being a beach-craft, exceeds 9m but does not exceed 12m

R6,000

R16,920

 

AE. the craft, not being a beach-craft, exceeds 12m but does not exceed 20m

R8,000

R22,560

 

AF. the craft, not being a beach-craft, exceeds 20m

R10,000

R28,200

 

AG. the hirecraft is a beach craft (including wind-surfing boards, sail boards
and the beach sport crafts)

R 100

R 280

 

B. where the hirecraft does not belongs to a Seychellois, each of the fees
specified in sub-subitem A is doubled.

 

 

(vi)

operator of paragliding, commercial ski boat and hirer of water sports equipment

R.400

R1130

(vii)

Hirer of films (in respect of each premises where the trade is carried on)

R.400

R1130

(viii)

Hirer of bullock carts

R.20

R 60

(viii)

Hirer of one omnibus

R 6500

[Sch item 3(viii) ins by reg 2(b) of SI 11 of 2008 w.e.f. 1 January 2008.]

[Note: This item inserted by SI 11 of 2008 as a second item 3(viii)]

(ix)

Hirer of loaders and excavators

R.400

R1130

(x)

Hirer of other goods not otherwise specified (in respect of each premises
where the trade is carried on)

R.400

R1130

4.

Licence fee for hirer of self-drive hire vehicles

R5 per hire vehicle
for each day

[Sch item 4 ins by reg 2(b) of SI 102 of 1996 w.e.f. 1 January 1997.]

 

Licences (Diving Business) Regulations

Arrangement of Regulations

1. Citation.

2. Interpretation.

3. Diving business licence and fees.

4. Qualification for a licence.

5. Conditions of a licence.

5A. Change of ownership etc.

5B. Duties in respect of hirecraft.

5C. Documents for Diving business (Power Diving) licence application.

6. Validity of licence.

6A. Suspension, revocation, non-renewal of licence.

7. Powers of entry.

8. Surcharge and refund of fee.

9. Scope of licence.

10. Offence.

11. Branch dive centres.

SCHEDULE 1

SCHEDULE 2

SI 48 of 1991,

65 of 1996,

27 of 2003.

[Date of commencement: 1st September 1991]

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