Consumer Safety (Jersey)
Law 2006
A LAW to protect consumers from goods
that are not safe and for connected purposes.
Adopted by the
States 27th September 2005
Sanctioned by
Order of Her Majesty in Council 19th July 2006
Registered by the
Royal Court 28th
July 2006
THE STATES, subject to the sanction of Her Most Excellent Majesty in Council, have
adopted the following Law –
PART 1
PRELIMINARY
1 Interpretation
(1) In
this Law, unless the context otherwise requires –
“Committee” means
the Economic Development Committee;
“commercial activity”
includes any business, trade or professional activity and any activity of a
professional or trade association, whether or not any of these activities are
carried on for the purpose of profit;
“consumer” means a
consumer acting otherwise than in the course of a commercial activity;
“consumer safety inspector”
has the meaning assigned by Article 10;
“customs officer”
means the Agent of the Impôts or any other officer of the Impôts;
“distributor” means
any person who is carrying on a commercial activity in the supply chain that
does not affect the safety properties of goods;
“general safety requirement”
means the requirement in Article 4(1);
“information”
includes accounts, estimates and returns;
“personal injury”
includes any disease and any other impairment of a person’s physical or
mental condition;
“premises” includes
any place and any ship, aircraft or vehicle;
“prescribed” means
prescribed by Order made by the Committee;
“producer”
means –
(a) if
the manufacturer of consumer goods is established in Jersey, that manufacturer
and any person who –
(i) presents himself
or herself as the manufacturer by affixing to those goods his or her name,
trade mark or other distinctive mark, or
(ii) reconditions the
goods;
(b) if
the manufacturer of consumer goods is not established in Jersey –
(i) if the
manufacturer has a representative established in Jersey, that representative,
or
(ii) in any other
case, the importer of the goods, and
(c) any
other person carrying on a commercial activity in the supply chain insofar as
that activity may affect the safety properties of any consumer goods supplied;
“recall” means a
measure aimed at achieving the return of goods already supplied that are not
safe;
“records” includes any books or documents and any records in
non-documentary form;
“safety notice”
means a notice mentioned in Article 12, 13 or 14;
“Safety Order” means
an Order made under Article 9;
“safety provision”
means –
(a) the
general safety requirement;
(b) any
requirement of Article 5 or 6; or
(c) any
provision of a Safety Order or a safety notice;
“supplier” means
producer or distributor;
“supply” in relation
to goods means doing any of the following in the course of a commercial
activity –
(a) selling,
hiring out or lending the goods;
(b) entering
into a hire-purchase agreement to furnish the goods;
(c) the
performance of any contract for work and materials to furnish the goods;
(d) providing
the goods in exchange for anything of value other than money;
(e) providing
the goods in or in connection with the performance of any statutory function;
or
(f) giving
the goods as a prize or otherwise making a gift of the goods,
and also means any offer, agreement, exposure or possession for the
purposes of supply;
“tobacco” includes
any product of the tobacco plant or any substance used as a substitute for
tobacco;
“withdrawal” means a
measure aimed at preventing the supply or distribution of unsafe goods to the
consumer.
(2) Unless
the context otherwise requires, references in this Law to a contravention of a
safety provision shall, in relation to any goods, include references to
anything that would constitute such a contravention if the goods were supplied
to any person.
(3) References
in this Law to any goods in relation to which any safety provision has been or
may have been contravened shall include references to any goods that it is not
reasonably practicable to separate from any such goods.
2 Meaning
of “consumer goods”
(1) In
this Law “consumer goods” means any goods supplied or made
available in the course of a commercial activity that are intended for
consumers or likely under reasonably foreseeable circumstances conditions to be
used by them even if not intended for them.
(2) Goods
are consumer goods if they are made available in the context of providing a
service.
(3) It
is immaterial whether or not the goods are supplied or made available in
exchange for anything of value and whether they are new, used or reconditioned.
(4) The
following are not consumer goods –
(a) tobacco;
(b) second-hand
goods supplied as antiques; and
(c) second-hand
goods supplied for the purpose of repair or reconditioning before being used,
provided that the supplier notifies the person supplied with the goods that
they are for that purpose.
(5) The
States may, by Regulations, for any or all of the purposes of this Law, extend
or restrict this definition.
3 Meaning
of “safe”
(1) In
this Law “safe”, in relation to
any consumer goods, means that under normal or reasonably foreseeable
conditions of use, including –
(a) duration;
and
(b) where
applicable, putting the goods into service or their installation and
maintenance requirements,
the goods do not present any risk or only the minimum risks
compatible with the use of the goods, such risks being considered as acceptable
and consistent with a high level of protection for the safety and health of
persons.
(2) In
assessing whether or not consumer goods are safe, account shall be taken in
particular of –
(a) the
characteristics of the goods including their composition, packaging,
instructions for assembly and, where applicable, for installation and
maintenance;
(b) the
effect on other goods, where it is reasonably foreseeable that they will be
used with the goods;
(c) the
presentation of the goods, the labelling, any warnings and instructions for use
and disposal and any other indication or information regarding the goods; and
(d) the
categories of consumers at risk when using the goods, in particular children
and the elderly.
(3) The
fact that higher levels of safety may be obtained or other goods presenting a
lesser degree of risk may be available shall not of itself cause the goods not
to be considered safe.
PART 2
SAFETY
4 The
general safety requirement
(1) Any
consumer goods that are supplied must be safe.
(2) If consumer
goods comply with the requirements of any other enactment or any Safety Order
that must be satisfied in order for the goods to be supplied, the goods are
regarded as safe in respect of the matters covered by those requirements.
(3) In
circumstances other than those referred to in paragraph (2), whether
consumer goods comply with the general safety requirement shall be assessed by
taking into account –
(a) any
safety requirements of the law of the United Kingdom or the European
Communities;
(b) any
voluntary standards of safety established in Jersey;
(c) any
voluntary national standards of the United Kingdom, including those giving
effect to a European standard;
(d) any
recommendations of the European Commission setting guidelines on the safety of
goods;
(e) any
codes of good practice in respect of safety in the sector concerned with those
goods;
(f) the
state of the art and technology; and
(g) reasonable
consumer expectations concerning safety.
(4) The
fact that consumer goods comply with criteria designed to ensure that the
general safety requirement is met, in particular the provisions mentioned in paragraphs
(2) and (3), does not prevent the Committee or a consumer safety inspector
taking any measure considered appropriate to restrict the supply of, or require
the withdrawal or recall of, the goods if there is evidence that, despite such
compliance, the goods are not safe.
5 Duties
of producers
(1) A
producer must not supply any consumer goods that are not safe.
(2) Within
the limits of his or her activities, a producer must provide consumers
with the relevant information to enable them –
(a) to
assess the risks inherent in any consumer goods throughout the normal or
reasonably foreseeable period of their use where any such risks are not immediately
obvious without adequate warnings; and
(b) to
take precautions against the risk.
(3) The
presence of warnings does not exempt any person from compliance with the other
requirements of this Law.
(4) Within
the limits of his or her activities, a producer must adopt such measures
commensurate with the characteristics of the consumer goods that he or she
supplies as will enable him or her to –
(a) be
informed of risks that the goods might impose; and
(b) take
appropriate action including, if necessary to avoid such risks, withdrawal from
supply, adequately and effectively warning consumers of the risks or, if other
measures would not be sufficient to protect consumers, recall of the goods.
(5) The
measures referred to in paragraph (4) must include whenever
appropriate –
(a) marking
the goods or batches of goods so that they can be identified;
(b) sample
testing of marketed goods;
(c) investigating,
and keeping a register of, complaints; and
(d) keeping
distributors informed of such monitoring.
6 Duties
of distributors
(1) A
distributor must act with due care to help ensure that consumer goods are safe.
(2) A
distributor must not supply consumer goods that he or she knows, or should have
presumed on the basis of the information in his or her possession and as a
professional, not to be safe.
(3) Within
the limits of his or her activities a distributor must participate in
monitoring the safety of consumer goods supplied, in particular by –
(a) passing
on information on risks posed by the goods;
(b) keeping
and providing the documentation necessary for tracing the origin of goods; and
(c) co-operating
efficiently in the action taken by a producer or by a consumer safety inspector
to avoid those risks.
7 Co-operation
with Chief Consumer Safety Inspector
(1) If
a supplier knows that he or she has supplied consumer goods that pose risks to
the consumer that are incompatible with the general safety requirement, the
supplier must forthwith inform the Chief Consumer Safety Inspector and give
details of the action that he or she proposes to take to prevent risk to the
consumer.
(2) A
supplier must, within the limits of his or her activities and where so
requested by the Chief Consumer Safety Inspector, cooperate with the Inspector
in such manner as the Inspector may request, on action taken to avoid the risks
posed by consumer goods that the supplier supplies or has supplied.
8 Functions
of the Committee
(1) The
Committee shall have such powers as are necessary to –
(a) ensure
that suppliers meet their obligations in such a way as to comply with the
general safety requirement; and
(b) monitor
the compliance of consumer goods with the general safety requirement.
(2) In
carrying out its functions under this Law, the Committee –
(a) shall
take such measures prescribed by this Law as are proportional to the
seriousness of the risk;
(b) may
establish procedures for dialogue with suppliers on issues relating to the
safety of consumer goods;
(c) may
encourage and promote voluntary action by suppliers; and
(d) may
develop codes of good practice.
(3) The
Committee may take such steps as the Committee considers appropriate to ensure
a high level of consumer health and safety protection, including –
(a) market
surveillance and monitoring;
(b) follow-up
and updating of scientific and technical knowledge;
(c) periodical
review and assessment of its activities and their effectiveness in pursuance of
its functions under this Law; and
(d) the
consideration of any complaints made to the Committee concerning the safety of
goods and any of its activities in pursuance of its functions under this Law.
9 Safety
Orders
(1) The
Committee may make Orders, to be known as Safety Orders, for the purpose of
securing –
(a) that
goods to which this Article applies are safe;
(b) that
goods to which this Article applies that are not safe, or would not be safe in
the hands of persons of a particular description, are not made available to
persons generally or, as the case may be, to persons of that description; and
(c) that
appropriate information is provided, and inappropriate information is not
provided, in relation to goods to which this Article applies.
(2) Without
prejudice to the generality of paragraph (1), a Safety Order may contain
provision –
(a) with
respect to the composition or contents, design, construction, finish or packing
of goods to which this Article applies, with respect to standards for such
goods and with respect to other matters relating to such goods;
(b) with
respect to the giving, refusal, alteration or cancellation of approvals of such
goods, of descriptions of such goods or of standards for such goods;
(c) with
respect to the conditions that may be attached to any approval given under the
Order;
(d) for
requiring such fees as may be determined by or under the Order to be paid on
the giving or alteration of any approval under the Order and on the making of
an application for such an approval or alteration;
(e) with
respect to appeals against refusals, alterations and cancellations of approvals
given under the Order and against the conditions contained in such approvals;
(f) for
requiring goods to which this Article applies to be approved under the Order or
to conform to the requirements of the Order or to descriptions or standards specified
in or approved by or under the Order;
(g) with
respect to the testing or inspection of goods to which this Article applies,
including provision for determining the standards;
(h) with
respect to the ways of dealing with goods of which some or all do not satisfy a
test required by or under the Order or a standard connected with a procedure so
required;
(i) for
requiring a mark, warning or instruction or any other information relating to
goods to be put on or to accompany the goods or to be used or provided in some
other manner in relation to the goods, and for securing that inappropriate
information is not given in relation to goods either by means of misleading
marks or otherwise;
(j) for
prohibiting persons from supplying goods to which this Article applies and
component parts and raw materials for such goods; and
(k) for
requiring information to be given to any such person as may be determined by or
under the Order for the purpose of enabling that person to exercise any
function conferred on the person by the Order.
(3) A
Safety Order may also contain provision –
(a) for
requiring consumer safety inspectors to have regard, in exercising their
functions in relation to any provision of the Safety Order, to matters
specified in a direction issued by the Committee with respect to that
provision;
(b) that
a person is not guilty of an offence of contravening any requirement of a
Safety Order unless it is shown that the goods in question do not conform to a
particular standard; and
(c) for
determining the persons by whom, and the manner in which, anything required to
be done by or under the order is to be done.
(4) Before
making a Safety Order the Committee shall consult –
(a) such
organisations as appear to the Committee to be representative of interests substantially
affected by the proposal; and
(b) such
other persons as the Committee considers appropriate.
(5) However,
paragraph (4) does not apply if –
(a) the
Committee considers that in order to protect the public the Order should be
made without delay; and
(b) the
Order provides for it to cease to have effect within 12 months of its
commencement.
(6) This
Article applies to all consumer goods except goods all aspects of the safety of
which are governed by any other enactment.
part 3
enforcement
10 Appointment
of consumer safety inspectors
(1) Every
person appointed pursuant to Article 2 of the Weights and Measures (Jersey) Law 1967[1] shall, by virtue of such
appointment, be a consumer safety inspector.
(2) The
Committee may appoint such other persons to be consumer safety inspectors as
the Committee thinks fit.
(3) The
persons appointed pursuant to Article 2 of the Weights and Measures (Jersey) Law 1967
as the Chief Inspector of Weights and Measures and Deputy Chief Inspector of
Weights and Measures shall, by virtue of such appointment, be the Chief
Consumer Safety Inspector and the Deputy Chief Consumer Safety Inspector
respectively.
11 Powers
of consumer safety inspectors
(1) A
consumer safety inspector may, for the purposes of carrying out any of the
functions of the Committee under this Law and subject to the production if so
required, of evidence of the inspector’s authority, at any reasonable
time enter any premises (other than premises used only as a
dwelling) –
(a) to
ascertain whether there has been any contravention of any safety provision;
(b) to
make such examination and investigation as may in the circumstances be
necessary;
(c) to
inspect any goods for the purpose of ascertaining whether there has been any
contravention of any safety provision and, if the inspector considers
appropriate, to purchase, take sample of or seize and detain any goods for the
purposes of subjecting them to safety checks;
(d) to
direct that any goods in the premises shall be left undisturbed (whether
generally or in particular respects) for so long as is reasonably necessary for
the purpose of any examination or investigation;
(e) to
take such measurements and photographs and make such recordings as the
inspector considers necessary for the purpose of any examination or investigation;
(f) to
require any person whom the inspector has reasonable cause to believe to be
able to give any information relevant to any examination or investigation to
answer (in the absence of persons other than a person nominated by that person
to be present and any persons whom the inspector may allow to be present) such
questions as the inspector thinks fit to ask and to sign a declaration of the
truth of the answers;
(g) to
require the production of, inspect, and take copies of or of any entry
in –
(i) any books or
documents that are required to be kept by virtue of any of the relevant
statutory provisions, and
(ii) any other books
or documents that it is necessary for the inspector to see for the purposes of
any examination or investigation;
(h) to
require any person to afford the inspector such reasonable facilities and
reasonable assistance with respect to any matters or things within that
person’s control or in relation to which that person has responsibilities
as are necessary to enable the inspector to exercise any of the powers
conferred on the inspector by this Article; and
(i) to
exercise any other power which is necessary for the purpose of this Article.
(2) If
the Bailiff or a Jurat is satisfied that there is reasonable ground for an inspector
to enter any premises (excluding premises used only as a dwelling) for any
purpose mentioned in paragraph (1) and either –
(a) that admission to the premises has been
refused, or a refusal is expected, and that notice of the intention to apply
for a warrant has been given to the occupier; or
(b) that an application for admission, or the
giving of such a notice, would defeat the object of the entry, or that the case
is one of urgency, or that the premises are unoccupied or the occupier is
absent,
the Bailiff or Jurat, as the case
may be, may issue a warrant, which shall continue in force for a period of one
month, authorizing an inspector to enter the premises for that purpose, if need
be by reasonable force.
(3) An inspector entering any premises by virtue
of this Article may –
(a) be accompanied by such other persons as the
inspector considers necessary to give adequate assistance; and
(b) take
along any equipment or materials required for any purpose for which the power
of entry is being exercised.
(4) If the premises are unoccupied the inspector
shall leave them as effectively secured against unauthorized entry as they were
prior to entry.
(5) A
person who is not an inspector who purports to act as such is guilty of an
offence and liable to imprisonment for a term of 6 months and a fine of
level 4 on the standard scale.
12 Action
in respect of consumer goods that may pose risks
(1) If
a consumer safety inspector has reasonable grounds for suspecting that any consumer
goods could pose risks in certain conditions, the inspector may serve on any
person either or both of the following notices –
(a) a
notice requiring the person to mark the goods with suitable and easily
comprehensible warnings of the risks; or
(b) a notice
requiring such conditions as the inspector considers would ensure that the
goods are safe, and which are specified in the notice, are met prior to the
goods being supplied.
(2) If
a consumer safety inspector has reasonable grounds for suspecting that any
consumer goods could pose risks for certain persons, the inspector may serve a
notice on any person requiring the person to give warning to those persons of
the risk in good time and in such form as the inspector may specify.
13 Action
in respect of consumer goods that may not be safe
(1) If
a consumer safety inspector considers that any consumer goods may not be safe,
the inspector may serve on any person a suspension notice.
(2) A
suspension notice suspends the person on whom it is served for the period
specified in the notice from supplying the goods without the consent of the
Committee for such period as is specified in the notice, which period shall not
exceed the period needed for the consumer safety inspector to check the safety
of the goods.
14 Action
in respect of consumer goods that are not safe
(1) If
a consumer safety inspector considers that any consumer goods are not safe, the
inspector may –
(a) in
the case of goods not yet supplied to the consumer, serve on any person a
prohibition notice; and
(b) in
the case of goods that have been supplied to the consumer –
(i) take such steps
as the inspector considers are appropriate to warn consumers of the risks, and
(ii) serve on any
person a withdrawal notice and, if no other steps would be sufficient to
protect consumers, a recall notice.
(2) A
prohibition notice prohibits the person on whom it is served from supplying the
goods without the consent of the Committee.
(3) A
withdrawal notice requires the person on whom it is served to take all
reasonable steps to remove the goods concerned from any place where they may be
supplied to a consumer.
(4) A
recall notice requires the person on whom it is served to take all reasonable
steps to recover the goods from the consumer and destroy them.
(5) If
the Committee considers that there has been undue delay in complying with a
withdrawal notice or a recall notice, or that the steps taken to comply with
the notice are not sufficient, the Committee may take such action as the
Committee considers appropriate to withdraw or recall the goods and the costs
of such action are recoverable as a debt against the person on whom the notice
was served.
15 General
provisions affecting safety notices
(1) Before
serving a safety notice a consumer safety inspector shall afford the person on
whom it is served a reasonable opportunity to make representations or to comply
with the matters set out in the notice on a voluntary basis unless it is in the
circumstances not expedient to do so.
(2) A
safety notice shall –
(a) describe
the goods to which it relates in a manner sufficient to identify them;
(b) set
out the grounds on which it has been served and any steps to be taken that will
result in the revocation of the notice; and
(c) state
that, and the manner in which, the person may appeal against the notice in
accordance with Article 21.
(3) A
safety notice may contain such supplementary conditions or requirements as the
Committee considers appropriate.
(4) A
person who contravenes a safety notice is guilty of an offence and liable to
imprisonment for a term of 6 months and a fine of level 4 on the standard
scale.
16 Power
to obtain information
(1) If
the Committee considers that in order to decide whether –
(a) to
make, vary or revoke a safety order; or
(b) a
safety notice should be served, varied or revoked,
further information is required that another person is likely to be
able to furnish, the Committee may serve an information notice on that person.
(2) An
information notice may require the person –
(a) to
furnish to the Committee, within a period specified in the notice, such
information as is specified; and
(b) to
produce such records as are specified in the notice at a time and place so
specified and to permit a consumer safety inspector to take copies of the
records at that time and place.
(3) A
person who –
(a) without
reasonable cause contravenes an information notice served on the person; or
(b) in
purporting to comply with a requirement that by virtue of paragraph (2)(a)
is contained in such a notice –
(i) furnishes
information that the person knows is false in a material particular, or
(ii) recklessly
furnishes information that is false in a material particular,
is guilty of an offence and liable to imprisonment for a term of 6
months and a fine of level 4 on the standard scale.
17 Power
of customs officer to seize and detain goods
(1) A
customs officer may, for the purpose of facilitating the exercise by the
Committee or a consumer safety inspector of any function conferred on either of
them by or under this Law, seize any imported consumer goods and detain them
for not more than 2 working days.
(2) Any
goods seized and detained under this Article shall be dealt with during the
period of their detention in such manner as the Agent of the Impôts may
direct.
(3) If
the Agent of the Impôts so directs, goods seized and detained under this Article
shall be treated as if their exportation had been prohibited in accordance with
an Order made under Article 19 of the Customs
and Excise (Jersey) Law 1999.[2]
(4) In paragraph (1)
“2 working days” means the period of 48 hours calculated from
the time when the goods in question are seized but disregarding any Saturday or
Sunday, Christmas Day, Good Friday or a day appointed as a public holiday or
bank holiday under the Public Holidays and
Bank Holidays (Jersey) Law 1951[3].
18 Forfeiture
(1) The
Committee may apply to the Royal Court for an order for the forfeiture of any
goods on the grounds that there has been a contravention of a safety provision
in respect of those goods.
(2) The
Committee shall serve a copy of the application on any person appearing to the
Committee to be the owner of, or otherwise to have an interest in, the goods
together with a notice advising the person of his or her rights under paragraph
(3).
(3) Any
person on whom notice is served under paragraph (2) and any other person
claiming to be the owner of, or otherwise to have an interest in, the goods is
entitled to appear at the hearing of the application and make representation as
to why the goods should not be forfeited.
(4) The
Court may infer for the purposes of this Article that there has been a
contravention of a safety provision in relation to any goods if it is satisfied
that any such provision has been contravened in relation to goods that are
representative of those goods, whether by reason of being of the same design or
part of the same consignment or batch or otherwise.
(5) Where
it is satisfied that there has been a contravention of a safety provision in
relation to any goods the Court shall order the goods to be forfeited.
(6) If
any goods are forfeited under this Article, the Court shall –
(a) order
their destruction in accordance with any directions it may give; or
(b) direct
that they be released to such person as the Court may specify on condition that
that person –
(i) does not supply
those goods to any person other than to a person carrying on the commercial
activity of buying goods of that description and repairing or reconditioning
them or to any person as scrap, and
(ii) complies with any
order to pay costs or expenses, including any order under Article 24, that
has been made against that person in the proceedings for the order for
forfeiture.
19 Offences
A person who –
(a) contravenes
any provision of Article 5, 6 or 7;
(b) contravenes
any requirement of a Safety Order; or
(c) in
giving any information that a Safety Order requires the person to
give –
(i) makes
a statement that he or she knows to be false in a material particular, or
(ii) recklessly
makes a statement that is false in a material particular,
is guilty of an offence and liable to imprisonment for a term of
6 months and to a fine of level 4 on the standard scale.
20 Obstruction
(1) A
person who –
(a) intentionally
obstructs any consumer safety inspector or customs officer acting in pursuance
of any provision of this Law;
(b) intentionally
contravenes any requirement of a consumer safety inspector under any provision
of this Law; or
(c) without
reasonable cause fails to give any consumer safety inspector who is so acting
any other assistance or information that the inspector may reasonably require
for the purposes of the exercise of the inspector’s functions under any
provision of this Law,
is guilty of an offence.
(2) A
person is guilty of an offence if, in giving any information which is required
of the person by virtue of paragraph (1)(c) the person –
(a) makes
any statement that the person knows is false in a material particular; or
(b) recklessly
makes a statement that is false in a material particular.
(3) A
person guilty of an offence under this Article is liable to imprisonment for a
term of 6 months and a fine of level 4 on the standard scale.
21 Appeals
against safety notices
(1) A
person on whom a safety notice has been served and any person having an interest
in any goods in respect of which a safety notice is for the time being in force
may appeal to the Royal Court within one month of the service of the notice or
the date on which the person might reasonably have been aware of the existence
of the notice, whichever is the later.
(2) Where
an appeal has been made in accordance with this Article the Court may direct
that the notice that is the subject of the appeal shall cease to have effect
until the determination of the appeal.
(3) On
an appeal under this Article the Court may either confirm, vary or revoke the
notice or substitute a different type of notice, and where it confirms it, may
do so in its original form or with such modification as the Court may in the
circumstances think fit.
22 Appeals
against detention of consumer goods
(1) Any
person having an interest in any consumer goods that are for the time being
detained under any provision of this Law by the Committee or a consumer safety
inspector may apply to the Royal Court for an order requiring the goods to be
released to that person or to another person.
(2) On
an application under this Article, an order requiring goods to be released
shall be made only if the Court is satisfied –
(a) that
proceedings –
(i) for an offence in
respect of a contravention in relation to the goods of any safety provision, or
(ii) for the
forfeiture of the goods under Article 18,
have not been brought or, having been brought, have been concluded
without the goods being forfeited; and
(b) where
no such proceedings have been brought, that more than 6 months have
elapsed since the goods were seized.
23 Compensation
where no fault
(1) If
a consumer safety inspector exercises any power under Article 11(1)(c) to
seize and detain goods or a notice under Article 14 has been served in
respect of any goods, the Committee is liable to pay compensation to any person
having an interest in the goods in respect of any loss or damage caused by
reason of the exercise of the power if –
(a) there
has been no contravention in relation to the goods of any safety provision; and
(b) the
exercise of the power is not attributable to any neglect or default by that
person.
(2) Any
disputed question as to the right to or the amount of any compensation payable
under this Article shall be determined by a single arbiter appointed by the
parties.
(3) If
the parties cannot agree on the appointment of an arbiter within a reasonable
period any party may apply to the Judicial Greffier who shall appoint an
arbiter.
24 Recovery
of expenses of enforcement
(1) This
Article applies where a court –
(a) convicts
a person of an offence in respect of a contravention in relation to any goods
of any safety provision; or
(b) makes
an order under Article 18 for the forfeiture of any goods.
(2) The
court may, in addition to any other order it may make as to costs or expenses,
order the person convicted or, as the case may be, any person having an
interest in the goods to reimburse the Committee for any expenditure which has
been or may be incurred by the Committee –
(a) in
connection with any seizure or detention of the goods by or on behalf of the
Committee; or
(b) in
connection with any compliance by the Committee with directions given by the
court for the purposes of any order for the forfeiture of the goods.
PART 4
MISCELLANEOUS
25 Power
of the Agent of the Impôts to disclose information
(1) If
the Agent of the Impôts thinks it appropriate to do so for the purpose of
facilitating the exercise by the Committee or a consumer safety inspector of
any functions conferred on either of them by or under this Law, the Agent of
the Impôts may authorize the disclosure to the Committee or the inspector
of any information obtained for the purposes of the exercise by the Agent of
the Impôt’s functions in relation to imported consumer goods.
(2) A
disclosure of information made to the Committee or a consumer safety inspector
under paragraph (1) shall be made in such manner as may be directed by the
Agent of the Impôts.
(3) Information
may be disclosed to the Committee or a consumer safety inspector under paragraph (1)
whether or not the disclosure of the information has been requested by or on
behalf of the Committee or that inspector.
26 Power
of Committee to disclose information
Subject to Article 27, the Committee may make available to the
public such information as the Committee has available relating to risks to
health and safety posed by consumer goods, including –
(a) product
identification;
(b) the
nature of the risk; and
(c) the
steps taken to avoid such risk.
27 Restrictions
on disclosure of information
(1) A
person who discloses any information that –
(a) was
obtained by the person in consequence of –
(i) its being given
to any person in compliance with any requirement imposed by a safety order,
(ii) the exercise by
the Committee of the power conferred by Article 16, or
(iii) the exercise by any
person of any power conferred by Part 3;
(b) consists
of a secret manufacturing process or a trade secret obtained by the person in
consequence of the inclusion of the information in any representations made in
connection with a notice, other than a disclosure to the Committee of
information relevant for ensuring the effectiveness of market monitoring and
surveillance activities; or
(c) was
disclosed to the person under Article 25,
is guilty of an offence and liable to imprisonment for a term of
2 years or a fine.
(2) However,
paragraph (1) shall not apply to a disclosure of information if –
(a) the
information has been –
(i) disclosed in any
civil or criminal proceedings, or
(ii) required to be
contained in a warning in pursuance of Article 12; or
(b) the
disclosure –
(i) relates to the
safety properties of consumer goods and is necessary to protect the health and
safety of consumers,
(ii) is made for the
purpose of facilitating the exercise of any function under this Law, or
(iii) is made in connection
with the investigation of any criminal offence or for the purposes of any civil
or criminal proceedings.
28 Defence
of due diligence
(1) Subject
to the following provisions of this Article, in proceedings against any person
for an offence to which this Article applies it is a defence for that person to
prove that he or she took all reasonable steps and exercised all due diligence
to avoid committing the offence.
(2) Where
in any proceedings against any person for such an offence the defence provided
by paragraph (1) involves an allegation that the commission of the offence
was due to –
(a) the
act or default of another; or
(b) reliance
on information given by another,
that person shall not, without the leave of the court, be entitled
to rely on the defence unless, not less than 7 clear days before the hearing of
the proceedings, he or she has served a notice under paragraph (3) on the
Connétable or the Attorney General as the case may be.
(3) A
notice under this paragraph must give such information identifying or assisting
in the identification of the person who committed the act or default or gave
the information as is in the possession of the person serving the notice at the
time it is served.
(4) A
person is not be entitled to rely on the defence provided by paragraph (1)
by reason of reliance on information supplied by another, unless he or she
shows that it was reasonable in all the circumstances to have relied on the
information, having regard in particular –
(a) to
the steps that the person took, and those which might reasonably have been
taken, for the purpose of verifying the information; and
(b) to whether
he or she had any reason to disbelieve the information.
(5) This
Article applies to any offence under Article 15(4) or 19.
29 Liability
of persons other than principal offender
(1) Where
the commission by any person of an offence to which Article 28 applies is
due to an act or default committed by some other person in the course of any
commercial activity of the person’s, the other person is guilty of the
offence and may be proceeded against and punished by virtue of this paragraph
whether or not proceedings are taken against the first-mentioned person.
(2) Where
an offence under this Law committed by a limited liability partnership or body
corporate is proved to have been committed (including as a result of paragraph (1))
with the consent or connivance of, or to be attributable to any neglect on the
part of –
(a) a
person who is a partner of the partnership, or director, manager, secretary or
other similar officer of the body corporate; or
(b) any
person who was purporting to act in any such capacity,
that person is also guilty of the offence and liable in the same
manner as the partnership or body corporate to the penalty provided for the
offence.
(3) Where
the affairs of a body corporate are managed by its members, paragraph (2)
applies in relation to the acts and defaults of a member in connection with the
member’s functions of management as if the member were a director of the
body corporate.
(4) Any
person who aids, abets, counsels or procures the commission of an offence under
this Law is also guilty of the offence and liable in the same manner as a
principal offender to the penalty provided for that offence.
30 Civil
proceedings
(1) An
obligation imposed by a Safety Order is a duty owed to any person who may be
affected by a contravention of the obligation and, subject to any provision to
the contrary in the Order and to the defences and other incidents that may be
applicable, a contravention of any such obligation is actionable –
(a) on
the ground of vice rédhibitoire; or
(b) as
a breach of statutory duty,
or both.
(2) This
Law shall not be construed as conferring any other right of action in civil
proceedings in respect of any loss or damage suffered in consequence of a
contravention of a safety provision.
(3) Subject
to any provision to the contrary in the agreement itself, an agreement is not
void or unenforceable by reason only of a contravention of a safety provision.
(4) Liability
by virtue of paragraph (1) cannot be limited or excluded –
(a) by
any contract term;
(b) by any
notice; or
(c) subject
to the power in paragraph (1) to limit or exclude it in a Safety Order, by
any other provision.
(5) Nothing
in paragraph (1) shall prejudice the operation of section 12 of the
Nuclear Installations Act 1965 of the United Kingdom (rights to compensation
for certain breaches of duties confined to rights under that Act) as extended
to Jersey by the Nuclear Installations
(Jersey) Order 1980[4].
(6) In
this Article “damage” includes personal injury and death.
31 Service
of documents
(1) Any
document required or authorized by virtue of this Law to be served on a person may
be so served –
(a) by
delivering it to the person or by leaving it at the person’s proper
address or by sending it by post to the person at that address;
(b) if
the person is a body corporate, by serving it in accordance with
sub-paragraph (a) on the secretary or clerk of that body, or in the case
of a limited liability partnership, on a member of the partnership; or
(c) if
the person is a partnership, by serving it in accordance with
sub-paragraph (a) on a partner or on a person having control or management
of the partnership business.
(2) For
the purposes of paragraph (1), and for the purposes of Article 7 of
the Interpretation (Jersey) Law 1954[5] (which relates to the
service of documents by post) in its application to paragraph (1), the
proper address of any person on whom a document is to be served by virtue of
this Law is the person’s last known address, except that –
(a) in
the case of service on a body corporate or its secretary or clerk, it is the
address of the registered or principal office of the body corporate (or in the
case of a limited liability partnership or a member of the partnership, the
address of the registered or principal office of the partnership);
(b) in
the case of service on a partnership or a partner or a person having the control
or management of a partnership business, it is the principal office of the
partnership,
and for the purposes of this paragraph the principal office of a
body corporate registered outside Jersey or of a partnership carrying on a
commercial activity outside Jersey is its principal office within Jersey.
32 Savings
for certain privileges
(1) Nothing
in this Law shall be taken as requiring any person to produce any records if
the person would be entitled to refuse to produce those records in any
proceedings in any court on the grounds that they are the subject of legal
professional privilege or as authorizing any person to take possession of any
records that are in the possession of a person who would be so entitled.
(2) Nothing
in this Law shall be construed as requiring a person to answer any question or
give any information if to do so would incriminate that person or that
person’s spouse.
33 Orders
(1) The
Committee may make Orders for the purposes of carrying this Law into effect and
in particular, but without prejudice to the generality of the foregoing power,
for prescribing any matter that is to be prescribed by any provision of this
Law.
(2) An
Order made under this Law may contain such incidental provisions as the
Committee may consider to be necessary or expedient.
34 Repeal
The Consumer Protection (Jersey)
Law 1964[6] is repealed.
35 Amendments
consequential upon move to Ministerial government
The Schedule has effect for the purpose of amending this Law in the
event of the commencement of Article 42(3) of the States of Jersey Law 2005[7].
36 Citation
and commencement
(1) This
Law may be cited as the Consumer Safety (Jersey) Law 2006.
(2) This
Law, apart from the Schedule, shall come into force on such day as the States
may by Act appoint and different days may be appointed for different purposes
or different provisions of this Law.
(3) Subject
to paragraph (4), the Schedule shall come into force, in respect of any
provision that it amends, on the same day as that provision.
(4) If
a provision of this Law that is amended by the Schedule is in force on the
commencement of Article 42(3) of the States of Jersey Law 2005, the Schedule
shall come into force, in respect of that provision, on the same day as Article
42(3).
A.H. HARRIS
Deputy Greffier of the States