CACERCanadian Energy Regulator Act, s. 95Primary legislationIn force

Orders

The Canadian Energy Regulator may issue orders requiring facility holders to repair, reconstruct, or alter regulated facilities to ensure safety, security, and environmental protection. Orders can be directed at Indigenous bodies, governments, third parties, and others. Non-compliance authorizes the Regulator to take direct action or engage third parties, with liability protection for good-faith interventions.

Last changed 4 hours ago.

Extracted view for reading · Original for compliance evidence

Orders

95 (1) To promote the safety and security of the operation of a regulated facility, the Commission may, by order, direct the holder to repair, reconstruct or alter part of the regulated facility and direct that, until the work is done, that part of the regulated facility not be used or be used in accordance with any conditions specified by the Commission. (2) The Commission may, by order, direct any of the following persons or bodies to take measures in respect of a regulated facility, an abandoned facility or any work or activity authorized under Part 5 that the Commission considers necessary for the safety and security of persons, the safety and security of the regulated facility or abandoned facility or the protection of property or the environment: (a) an Indigenous governing body; (b) the holder or any other person; (c) the federal government or a federal Crown corporation; (d) a provincial government or a provincial Crown corporation; (e) a local authority. (3) If a person or body does not comply with an order under subsection (2) or an order under section 109 in relation to an abandoned facility or to the abandonment of a pipeline, an offshore power line or any facility, equipment or system that is related to an offshore renewable energy project, the Commission may (a) take any action or measure the Commission considers necessary; (b) authorize an officer or employee, or class of officers or employees, of the Regulator to take the action or measure; or (c) authorize a third party to take the action or measure. (4) No action lies against the Regulator or an officer or employee of the Regulator or against a servant of the Crown, as those terms are defined in section 2 of the Crown Liability and Proceedings Act, in respect of any act or omission committed in taking an action or measure referred to in subsection (3). (5) A third party that is authorized under subsection (3) to take an action or measure is not liable in respect of any act or omission committed in good faith in taking the action or measure.

Source

https://laws-lois.justice.gc.ca/eng/acts/C-15.1/section-95.html

Canonical document at the regulator. Always cite this URL — not the Vantage detail page — in compliance evidence.

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