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STATUTORY INSTRUMENTS


2007 No. 1518

ENVIRONMENTAL PROTECTION

The Marine Works (Environmental Impact Assessment) Regulations 2007

  Made 21st May 2007 
  Laid before Parliament 25th May 2007 
  Coming into force 24th June 2007 


CONTENTS


PART 1

INTRODUCTION
1. Title and commencement
2. Interpretation
3. Extension of powers to require the payment of fees in respect of applications

PART 2

REGULATED ACTIVITY IN RELATION TO WHICH AN ENVIRONMENTAL IMPACT ASSESSMENT IS (OR MAY BE) REQUIRED
4. Environmental impact assessment
5. Requirement of assessment by agreement
6. Requirement of assessment by determination
7. Determination: Annex I projects
8. Determination: Annex II projects
9. Projects serving national defence purposes
10. Exceptions
11. Screening opinions

PART 3

ENVIRONMENTAL IMPACT ASSESSMENTS
12. Application for a regulatory approval in relation to a regulated activity
13. Scoping opinions
14. Provision of further information
15. Availability of information held by regulator
16. Publicity
17. Consultation on proposed regulated activity
18. Provision of information to affected EEA States
19. Provision of information to other EEA States
20. Consultation of EEA States
21. Consideration of representations from the public
22. The EIA consent decision
23. Notification and publication of decisions
24. Effect of EIA consent decision on application and regulatory decision

PART 4

OFFENCES
25. Provision of false etc information
26. Offences committed by bodies corporate
27. Offences committed by Scottish partnerships

PART 5

MISCELLANEOUS
28. Access to review procedure before a court
29. Revocation
30. Transitional and saving provisions

  SCHEDULE 1— MATTERS RELEVANT TO CONSIDERATION OF WHETHER OR NOT AN ANNEX II PROJECT IS LIKELY TO HAVE SIGNIFICANT EFFECTS ON THE ENVIRONMENT

  SCHEDULE 2— SCREENING OPINIONS

  SCHEDULE 3— INFORMATION TO BE INCLUDED IN AN ENVIRONMENTAL STATEMENT

  SCHEDULE 4— SCOPING OPINIONS

  SCHEDULE 5— CONSIDERATION OF REPRESENTATIONS FROM THE PUBLIC

These Regulations are made in exercise of the powers conferred by section 2(2) of the European Communities Act 1972[
1] and section 56 of the Finance Act 1973[2].

     The Secretary of State for Environment, Food and Rural Affairs has been designated for the purposes of section 2(2) of the European Communities Act 1972 in relation to measures relating to the requirement for an assessment of the impact on the environment of projects likely to have significant effects on the environment[3].

     The Secretary of State for Environment, Food and Rural Affairs, with the consent of the Treasury, makes the following Regulations:



PART 1

INTRODUCTION

Title and commencement
     1. These Regulations may be cited as the Marine Works (Environmental Impact Assessment) Regulations 2007 and come into force on 24th June 2007.

Interpretation
    
2. —(1) In these Regulations—

    (2) In these Regulations, any term used in the EIA Directive has the same meaning as in that Directive.

Extension of powers to require the payment of fees in respect of applications
     3. —(1) The power conferred upon a licensing authority by section 8(7) and (8) of the 1985 Act to require an applicant for a licence under Part 2 of the 1985 Act to pay reasonable fees in respect of administrative and other expenses also applies in relation to such an applicant in respect of expenses which the authority has incurred under these Regulations in its capacity as an appropriate authority.

    (2) An appropriate authority may require an applicant for a regulatory approval other than a licence under Part 2 of the 1985 Act to pay to it reasonable fees in respect of administrative and other expenses which the authority has incurred under these Regulations in its capacity as an appropriate authority.

    (3) Paragraphs (1) and (2) do not apply in relation to any expenses in respect of which a fee may be charged under any other provision of these Regulations.

    (4) Section 8(9) of the 1985 Act shall be treated as applying in relation to—



PART 2

REGULATED ACTIVITY IN RELATION TO WHICH AN ENVIRONMENTAL IMPACT ASSESSMENT IS (OR MAY BE) REQUIRED

Environmental impact assessment
    
4. Where an environmental impact assessment is required in relation to a regulated activity in accordance with the remaining provisions of this Part—

Requirement of assessment by agreement
    
5. An environmental impact assessment is required in relation to a regulated activity if the applicant so agrees with the appropriate authority.

Requirement of assessment by determination
    
6. An environmental impact assessment is required in relation to a regulated activity if the appropriate authority so determines under regulation 7 or 8.

Determination: Annex I projects
    
7. Subject to regulations 9 and 10, the appropriate authority must determine that an environmental impact assessment is required in relation to any regulated activity that is to be carried out in the course of an Annex I project.

Determination: Annex II projects
    
8. —(1) Subject to regulations 9 and 10, the appropriate authority must determine that an environmental impact assessment is required in relation to a regulated activity that is to be carried out in the course of an Annex II project, if it concludes that the project in question is likely, because of its size, nature or location, to have significant effects on the environment.

    (2) In reaching a conclusion as to whether or not an Annex II project is likely to have significant effects on the environment, the appropriate authority must have regard to the criteria set out in Schedule 1.

Projects serving national defence purposes
    
9. —(1) Where—

the Secretary of State may direct that that an environmental impact assessment is not required in relation to that regulated activity.

    (2) Before making any such direction, the Secretary of State shall notify—

    (3) As soon as practicable after making any such direction, the Secretary of State shall send a copy of the direction to—

Exceptions
    
10. —(1) An appropriate authority may determine that an environmental impact assessment is not required in relation to regulated activity that is to be carried out in the course of an Annex I project or an Annex II project, if it is satisfied—

    (2) Where the appropriate authority determines in accordance with paragraph (1) that an environmental impact assessment is not required in relation to a regulated activity, it shall notify—

    (3) Where the appropriate authority determines in accordance with paragraph (1)(a) that an environmental impact assessment is not required in relation to a regulated activity, the applicant must provide the appropriate authority with such information as it requires to comply with the obligations imposed on member States by Article 2(3) of the EIA Directive, namely—

    (4) Where the appropriate authority determines in accordance with paragraph (1)(b) that an environmental impact assessment is not required in relation to a regulated activity—

Screening opinions
    
11. —(1) An applicant may request a screening opinion from the appropriate authority at any time before he applies for a regulatory approval in relation to a regulated activity.

    (2) If the request is made and the applicant does not defer making his application until the screening opinion is given, the regulator must not deal with the application until after the appropriate authority has given its screening opinion.

    (3) If an applicant makes an application for a regulatory approval in relation to a regulated activity without having requested a screening opinion and the regulator considers that the regulated activity is one in relation to which it must be determined in accordance with regulation 7 or 8 that an environmental impact assessment is required, the regulator—

    (4) The procedures for requesting and giving screening opinions are set out in Schedule 2.

    (5) If the screening opinion is that an environmental impact assessment is not required for the project in the course of which the regulated activity would be carried out, the application may (subject to regulation 10(3) or (4), if either applies) proceed in accordance with the relevant legislation.

    (6) If the screening opinion is that an environmental impact assessment is required for the regulated activity, the regulator must reject the application unless it is one which is capable of being dealt with in accordance with Part 3 without changes being made to the application.

    (7) Where paragraph (2), (3), (5) or (6) applies in relation to an application under relevant legislation that provides that an applicant may proceed to carry out a regulated activity without further consent unless the regulator takes some step within a specified period—

    (8) Paragraphs (2), (3) (5), (6) and (7) apply notwithstanding any provision to the contrary in the relevant legislation.



PART 3

ENVIRONMENTAL IMPACT ASSESSMENTS

Application for a regulatory approval in relation to a regulated activity
    
12. —(1) Where an application is made for a regulatory approval in relation to a regulated activity to which this Part applies, neither the regulator nor the appropriate authority may deal with the application or exercise any functions under these Regulations in relation to it until the appropriate authority has received the following material from the applicant—

    (2) An environmental statement must—

    (3) The appropriate authority may specify—

    (4) The applicant must comply with any reasonable requirement made in accordance with paragraph (3) and, until this has been done—

    (5) Where an applicant has failed to comply with the requirements of paragraphs (1) and (2), or any requirements of the appropriate authority under paragraph (3), within such reasonable period as the appropriate authority has specified or such longer period as the appropriate authority may reasonably allow—

Scoping opinions
    
13. —(1) The applicant may request a scoping opinion from the appropriate authority.

    (2) The procedures for requesting and giving scoping opinions are set out in Schedule 4.

    (3) Where a scoping opinion is given—

unless the applicant has submitted an environmental statement containing all of the information specified in the scoping opinion.

Provision of further information
    
14. —(1) Where the appropriate authority reasonably considers that—

the appropriate authority must notify the applicant in writing of the matters on which it requires further information.

    (2) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until any further information required in accordance with paragraph (1) has been provided to the appropriate authority and to the regulator (if the regulator is not also the appropriate authority).

    (3) Where an applicant has failed to provide any information required in accordance with paragraph (1) within such reasonable period as the appropriate authority has specified, or such longer period as the appropriate authority may reasonably allow—

Availability of information held by regulator
    
15. —(1) The regulator and the appropriate authority (if the regulator is not also the appropriate authority) may make available to the applicant any information in their possession which may be relevant to—

    (2) Subject to paragraphs (3) and (4), the regulator and the appropriate authority (if the regulator is not also the appropriate authority) must make such information available if the applicant so requests.

    (3) Paragraph (2) does not require the disclosure of any excluded information.

    (4) Where an applicant requests information under paragraph (2), the regulator or the appropriate authority (as the case may be) may impose, as a condition of providing the information, a reasonable charge reflecting the cost of identifying, preparing and copying the information.

Publicity
    
16. —(1) The appropriate authority must—

    (2) The information referred to in paragraph (1)(a)(i) is—

    (3) The applicant must comply with any reasonable direction made in accordance with paragraph (1)(b) and neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, unless or until this has been done.

    (4) Where the applicant has failed to comply with a direction made in accordance with paragraph (1)(b) within such reasonable period as the appropriate authority has specified, or such longer period as the appropriate authority may reasonably allow—

    (5) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until the period for representations has expired.

Consultation on proposed regulated activity
    
17. —(1) The appropriate authority must either—

    (2) The appropriate authority may agree a longer consultation period with a consultation body where, in the opinion of the appropriate authority, it is reasonable to do so.

    (3) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until the applicant has complied with any direction made in accordance with paragraph (1)(b).

    (4) Where the applicant has failed to comply with a direction made in accordance with paragraph (1)(b) within such reasonable period as the appropriate authority has specified, or such longer period as the appropriate authority may reasonably allow—

    (5) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until the consultation period (including any extension agreed in accordance with paragraph (2)) has expired.

Provision of information to affected EEA States
    
18. —(1) The appropriate authority must supply the material set out in paragraph (3) to the authorities of any EEA State that it considers is affected by the application.

    (2) An EEA State is affected by an application for the purposes of paragraph (1) if the environment in that State is likely to be significantly affected by the project in the course of which the regulated activity to which the application relates is to be carried out.

    (3) The material referred to in paragraph (1) is—

    (4) The appropriate authority must provide this information to the authorities of the EEA State—

    (5) Paragraph (1) does not require the disclosure of any excluded information.

    (6) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until the period for consultation under regulation 20 has expired.

Provision of information to other EEA States
    
19. —(1) The appropriate authority must supply a copy of the environmental statement, and any additional information provided by the applicant pursuant to a notification under regulation 14(1), to the authorities of an EEA State if they request it.

    (2) The appropriate authority must provide the information referred to in paragraph (1) as soon as practicable after receiving such a request.

    (3) Neither the regulator nor the appropriate authority need deal further with, or exercise any functions under these Regulations in relation to, the application, and the regulator must not reach its regulatory decision, until—

Consultation of EEA States
    
20. The appropriate authority must—

Consideration of representations from the public
    
21. —(1) Subject to paragraph (2), the appropriate authority must apply the provisions of Schedule 5 in relation to each representation it receives pursuant to the statement referred to in regulation 16(2)(g).

    (2) To the extent that the appropriate authority considers that representations made to it pursuant to the statement referred to in regulation 16(2)(g) are similar in material respects or deal with similar or related issues, it may group such representations and apply the provisions of Schedule 5 to each such group.

The EIA consent decision
    
22. In reaching its EIA consent decision, the appropriate authority must—

Notification and publication of decisions
    
23. —(1) The appropriate authority must send written confirmation of its EIA consent decision to—

    (2) The written confirmation must include the following—

    (3) The appropriate authority must, as soon as possible after written confirmation is sent to the applicant pursuant to paragraph (1), ensure that—

Effect of EIA consent decision on application and regulatory decision
    
24. —(1) Where the appropriate authority has given EIA consent in respect of a regulated activity—

    (2) Where the appropriate authority has refused EIA consent in respect of a regulated activity, the regulator may not grant a regulatory approval for that regulated activity and must treat the application for that regulated activity as having been withdrawn.



PART 4

OFFENCES

Provision of false etc information
    
25. —(1) A person is guilty of an offence if, for the purpose of procuring or obtaining an EIA consent (whether for the benefit of himself, another or both), he—

    (2) A person guilty of an offence under paragraph (1) is liable—

Offences committed by bodies corporate
    
26. —(1) Where an offence under regulation 25 which has been committed by a body corporate is proved to have been committed with the consent or connivance of, or to be attributable to any neglect on the part of, a director, manager, secretary or other similar officer of the body corporate, or any person who was purporting to act in any such capacity, he as well as the body corporate is guilty of that offence and liable to be proceeded against and punished accordingly.

    (2) Where the affairs of a body corporate are managed by its members, paragraph (1) applies in relation to the acts and defaults of a member in connection with his functions of management as if he were a director of the body corporate.

Offences committed by Scottish partnerships
    
27. Where an offence under regulation 25 which has been committed by a Scottish partnership is proved to have been committed with the consent or connivance of, or to be attributable to any neglect on the part of, one or more of the partners or any person who was purporting to act in such capacity, he as well as the partnership is guilty of that offence and liable to be proceeded against and punished accordingly.



PART 5

MISCELLANEOUS

Access to review procedure before a court
    
28. In relation to Scotland, any non-governmental organisation promoting environmental protection and meeting any other requirements under the law shall be deemed to have an interest for the purposes of Article 10a(a) of the EIA Directive and rights capable of being impaired for the purposes of Article 10a(b) of the EIA Directive.

Revocation
    
29. Part 2 of, and Schedules 1 and 2 to, the Harbour Works (Environmental Impact Assessment) Regulations 1999[27] are revoked.

Transitional and saving provisions
     30. —(1) These Regulations shall not apply in relation to an application made before 24th June 2007.

    (2) The revocation made by regulation 29 does not affect the application of the provisions referred to in that regulation in relation to an application made before 24th June 2007.


Ben Bradshaw
Minister of State Department for Environment, Food and Rural Affairs

16th May 2007



We concur,


Alan Campbell

Frank Roy
Two of the Lords Commissioners of Her Majesty's Treasury

21st May 2007



SCHEDULE 1
Regulation 8(2)


MATTERS RELEVANT TO CONSIDERATION OF WHETHER OR NOT AN ANNEX II PROJECT IS LIKELY TO HAVE SIGNIFICANT EFFECTS ON THE ENVIRONMENT


Characteristics of the project
     1. The characteristics of the project, having regard, in particular, to—

Location of the project
     2. The environmental sensitivity of geographical areas likely to be affected by development under the project, having regard, in particular, to—

Characteristics of the potential impact
     3. The potential significant effects of development under the project in relation to the matters set out in paragraphs 1 and 2, having regard in particular to—



SCHEDULE 2
Regulation 11(4)


SCREENING OPINIONS


Request for a screening opinion
     1. —(1) A request for a screening opinion must be accompanied by—

    (2) Where the regulated activity comprises the whole of (or forms part of) a project in respect of which the applicant has made an application to a consenting authority other than the regulator, an applicant seeking a screening opinion must—

Payment of a fee for a screening opinion
     2. —(1) The appropriate authority may require an applicant to pay a reasonable fee in respect of—

    (2) If the appropriate authority considers that it is appropriate to do so, it may—

Procedure for reaching a screening opinion
     3. —(1) The appropriate authority must, if it considers that it has not been provided with sufficient information to enable it to give a screening opinion, notify the applicant in writing of the matters on which it requires further information and the applicant must supply that further information to the appropriate authority within such period as the appropriate authority may reasonably require.

    (2) The applicant must supply the appropriate authority with such number of additional copies of the documentation as the appropriate authority may reasonably require.

    (3) The appropriate authority need not deal further with the request for a screening opinion until the applicant has complied with the requirements of sub-paragraphs (1) and (2).

    (4) Where an applicant has failed to comply with the requirements of sub-paragraph (1) or (2) within such reasonable period as the appropriate authority has specified, or such longer period as the appropriate authority may reasonably allow—

Consultation
     4. —(1) The appropriate authority must consult such of the consultation bodies as it considers appropriate before giving a screening opinion.

    (2) When carrying out any consultation under sub-paragraph (1), the appropriate authority must allow the consultation body a reasonable period within which to respond, and that period must not be less than 28 days from the date of the letter to the consultation body from the appropriate authority or such other period as may be agreed between the consultation body and the appropriate authority.

Notification of a screening opinion
     5. The appropriate authority must, as soon as reasonably practicable, provide its screening opinion and a written statement of the reasons for its opinion to—

Availability of screening opinions for inspection
     6. —(1) Subject to sub-paragraph (2), the appropriate authority must ensure that, as soon as possible after being sent to the applicant, its screening opinion is—

    (2) Sub-paragraph (1) does not require disclosure of any excluded information.



SCHEDULE 3
Regulation 12(2)


INFORMATION TO BE INCLUDED IN AN ENVIRONMENTAL STATEMENT


     1. A description of the project and of the regulated activity, including details of the following matters—

     2. A description of the aspects of the environment likely to be significantly affected by the project and the regulated activity, including—

     3. —(1) A description, complying with sub-paragraph (2), of the likely significant effects of the project and the regulated activity on the environment resulting from—

    (2) The description should cover each of the following categories of effect—

     4. The forecasting methods used by the applicant to assess the main effects that the project and the regulated activity are likely to have on the environment.

     5. A description of the measures envisaged to prevent, reduce and offset any significant adverse effects of the project and the regulated activity on the environment.

     6. An outline of the main alternatives studied by the applicant and an indication of the main reasons for the applicant's choice, taking into account the environmental effects of those alternatives and the project as proposed.

     7. A non-technical summary of the information provided under paragraphs 1 to 6.

     8. Any difficulties, such as technical deficiencies or lack of knowledge, encountered in compiling any information of a kind specified in paragraphs 1 to 6.



SCHEDULE 4
Regulation 13(2)


SCOPING OPINIONS


Request for a scoping opinion
     1. A request for a scoping opinion must be accompanied by—

Information required where another application has been made
     2. Where the regulated activity is to be carried out in the course of a project in respect of which the applicant has made an application to a consenting authority other than the regulator, an applicant seeking a scoping opinion must—

Payment of a fee for a scoping opinion
     3. —(1) The appropriate authority may require an applicant to pay a reasonable fee in respect of—

    (2) If the appropriate authority considers that it is appropriate to do so, it may—

Procedure for reaching a scoping opinion
     4. —(1) The appropriate authority must, if it considers that it has not been provided with sufficient information to enable it to give a scoping opinion, notify the applicant in writing of the matters on which it requires further information and the applicant must supply that further information to the appropriate authority within such period as the appropriate authority may reasonably require.

    (2) The applicant must supply the appropriate authority with such number of additional copies of the documentation as the appropriate authority may reasonably require.

    (3) The appropriate authority need not deal further with the request for a scoping opinion until the applicant has complied with the requirements of sub-paragraphs (1) and (2).

    (4) Where an applicant has failed to comply with the requirements of sub-paragraph (1) or (2) within such reasonable period as the appropriate authority has specified, or such longer period as the appropriate authority may reasonably allow—

Matters to be considered in reaching a scoping opinion
     5. In reaching a scoping opinion, the appropriate authority must consider—

Consultation
     6. —(1) The appropriate authority must consult such of the consultation bodies as it considers appropriate before giving a scoping opinion.

    (2) When carrying out any consultation under sub-paragraph (1), the appropriate authority must allow the consultation body a reasonable period within which to respond and that period must not be less than 28 days from the date of the letter that the consultation body receives from the appropriate authority or such other period as may be agreed between the consultation body and the appropriate authority.

Notification of a scoping opinion
     7. The appropriate authority must, as soon as reasonably practicable, provide its scoping opinion and a written statement of the reasons for its opinion to—

Availability of scoping opinions for inspection
     8. —(1) Subject to sub-paragraph (2), the appropriate authority must ensure that, as soon as possible after being sent to the applicant—

    (2) Sub-paragraph (1) does not require disclosure of any excluded information.



SCHEDULE 5
Regulations 21 and 22(a)(iv)


CONSIDERATION OF REPRESENTATIONS FROM THE PUBLIC


     1. —(1) In relation to each representation made pursuant to the statement referred to in regulation 16(2)(g), the appropriate authority must consider whether or not the representation is capable of being dealt with in accordance with this Schedule.

    (2) If the appropriate authority concludes that the representation is not capable of being dealt with in accordance with this Schedule—

     2. —(1) If the appropriate authority concludes in accordance with paragraph 1(1) that the representation is capable of being dealt with in accordance with this Schedule, it must consider whether or not the representation is relevant to the EIA consent decision.

    (2) If the appropriate authority concludes that the representation is not relevant to the EIA consent decision, it must consider whether it is relevant in some other way to the project in the course of which the regulated activity is to be carried out.

    (3) If the appropriate authority concludes that the representation is not relevant to that project in any other way—

    (4) If the appropriate authority concludes that the representation is relevant in some other way to the project in the course of which the regulated activity is to be carried out—

     3. —(1) If the appropriate authority concludes in accordance with paragraph 2(1) that the representation is relevant to the regulated activity, it must consider whether the representation is capable of being addressed by an arrangement made between it, the applicant and the maker of the representation.

    (2) If the appropriate authority concludes that the representation is capable of being addressed by means of such an arrangement, it may invite the applicant and the maker of the representation to enter into discussions with it and each other with a view to making the arrangement.

    (3) If an arrangement is made—

     4. —(1) If either—

the appropriate authority must consider whether the representation gives rise to a dispute that calls for resolution of a question of fact in order to enable it to make its EIA consent decision.

    (2) If the appropriate authority concludes that the representation gives rise to such a dispute, it may, if it considers that it is appropriate to do so—

    (3) If the appropriate authority concludes that the representation does not give rise to such a dispute or if it does not think that it is appropriate to instigate a local inquiry or appoint a person to report to it—

     5. —(1) If the appropriate authority instigates a local inquiry in accordance with paragraph 4(2)(a)—

    (2) The appropriate authority must not reach its EIA consent decision until the inquiry has been completed.

    (3) The appropriate authority must have regard to the outcome of the inquiry when reaching its EIA consent decision.

     6. —(1) Subsections (2) to (5) of section 250 (power to direct inquiries) of the Local Government Act 1972[
28] apply in relation to an inquiry instigated under paragraph 4(2)(a) and held in England or Wales as they apply in relation to an inquiry held under that section.

    (2) Schedule A1 (provisions applicable to inquiries and investigations) to the Interpretation Act (Northern Ireland) 1954[29] applies in relation to an inquiry instigated under paragraph 4(2)(a) and held in Northern Ireland as it applies to an inquiry held under an enactment passed or made as mentioned in section 23 (inquiries and investigations) of that Act.

    (3) The Town and Country Planning (Inquiries Procedure) (Scotland) Rules 1997[30] apply in relation to an inquiry instigated under paragraph 4(2)(a) and held in Scotland as they apply to an inquiry held under those Rules.

     7. —(1) If the appropriate authority appoints a person to report to it in accordance with paragraph 4(2)(b), it must—

    (2) The appointed person must provide such opportunity for each of the applicant, the maker of the representation, the appropriate authority and the regulator (if the appropriate authority is not also the regulator) to address him orally or in writing, or both, as he considers expedient for the purposes of making his report.

    (3) The appropriate authority must not reach its EIA consent decision until either the appointed person has made his report or a reasonable period has expired.

    (4) The appointed person's report to the appropriate authority should contain his findings of fact on the subject-matter of the dispute and should be sent to the appropriate authority and the regulator (if the appropriate authority is not also the regulator) and copied to the applicant and the maker of the representation.

    (5) When reaching its EIA consent decision, the appropriate authority must—



EXPLANATORY NOTE

(This note is not part of the Regulations)


These Regulations implement, in relation to certain marine works, Council Directive 85/337/EEC on the assessment of the effects of certain public and private projects on the environment (OJ L 175, 5.7.1985, p.40), as last amended by Directive 2003/35/EC of the European Parliament and of the Council providing for public participation in respect of the drawing up of certain plans and programmes relating to the environment and amending with regard to public participation and access to justice Council Directives 85/337/EEC and 96/61/EC (OJ L 156, 25.6.2003, p.17). In its amended form, Directive 85/337 is referred to in these Regulations as "the EIA Directive" (regulation 2(1)).

The marine works in relation to which these Regulations implement the EIA Directive are those for which a regulatory approval (as defined in regulation 2(1)) is required. These include harbour works previously covered by the Harbour Works (Environmental Impact Assessment) Regulations 1999 (S.I. 1999/3445), as amended by the Harbour Works (Environmental Impact Assessment) (Amendment) Regulations 2000 (S.I. 2000/2391).

In relation to such works, these Regulations also implement the provisions of Directive 2003/35/EC.

Regulation 3 provides for charges to be made in relation to functions carried out under these Regulations. There are also specific charging provisions in regulation 15, to enable the regulator or appropriate authority to charge for providing information to an applicant, and in Schedules 2 and 4, to enable the appropriate authority to charge for expenses incurred in providing a screening opinion or scoping opinion.

Part 2 (regulations 4 to 11) specifies the circumstances in which an environmental impact assessment is required in relation to marine works. In the case of marine works to be carried out in the course of a project of a type listed in Annex I to the EIA Directive, an environmental impact assessment is required unless one of the exceptions in regulation 9 or 10 applies (regulation 7). In the case of marine works to be carried out in the course of a project of a type listed in Annex II to the EIA Directive, an environmental impact assessment is required if the project would have significant effects on the environment, unless one of the exceptions in regulation 9 or 10 applies (regulation 8). Schedule 1 sets out the criteria that are to be used in determining whether or not a project would have significant effects on the environment.

Regulation 11 and Schedule 2 provide for screening opinions to be provided in which determinations as to whether or not an environmental impact assessment is required are to be given. Regulation 11 also provides for the relationship between the screening opinion process and the procedures that would otherwise apply to the application for a regulatory approval.

Part 3 (regulations 12 to 24) provides for the environmental impact assessment process itself. Regulation 12 and Schedule 3 require certain information and documentation to be provided for an environmental impact assessment to be carried out. Regulation 13 and Schedule 4 provide for scoping opinions (defined in regulation 2(1)) to be provided, in which the information to be provided can be determined in advance. Regulation 14 provides for additional information to be provided where necessary in order for the environmental impact assessment to be carried out. Regulation 15 provides for information held by a regulator or an appropriate authority to be provided to an applicant. Regulation 16 provides for public participation in the environmental impact assessment process by requiring applications to be publicised, so as to enable representations to be made by members of the public. Regulation 21 and Schedule 5 provide for the way in which such representations are taken into account as part of the environmental impact assessment process. Regulation 17 provides for information regarding applications to be provided to bodies with environmental responsibilities and for consultation to be carried out with those bodies. Regulations 18 and 19 provide for information regarding applications to be provided to other EEA States and regulation 20 provides for consultation with other EEA States. Regulation 22 makes provision in relation to the decision as to whether or not EIA consent for marine works is to be given, and regulation 23 provides for that decision to be notified to those who have taken part in the process and publicised. Regulation 24 provides for the effect of the EIA consent decision on the application and the subsequent procedure in relation to the application.

Part 4 (regulations 25 to 27) creates an offence of providing false information for the purposes of obtaining a regulatory approval.

Part 5 (regulations 28 to 30) contains miscellaneous provisions. Regulation 28 applies to Scotland only and provides that certain non-governmental organisations are deemed to have title and interest to sue in relation to the environmental impact assessment of marine works. Regulations 29 and 30 contain revocations, transitional provisions and savings.

A full regulatory impact assessment of the effect that this instrument will have on the costs of business and the voluntary sector is available at
www.defra.gov.uk and is annexed to the Explanatory Memorandum which is available alongside this instrument on the OPSI website.


Notes:

[1] 1972 c.68. The enabling powers conferred by section 2(2) were extended by virtue of the amendment of section 1(2) of the European Communities Act 1972 by section 1 of the European Economic Area Act 1993 (c. 51). As regards functions transferred to the Scottish Ministers by the Scotland Act 1998 (c.46), these Regulations extend to Scotland pursuant to section 57(1) of that Act.back

[2] 1973 c.51.back

[3] S.I. 1988/785.back

[4] 1985 c.48.back

[5] The Department of the Environment is constituted for the purposes of the Northern Ireland Act 1998 (1998 c.47) by section 21 of that Act and is continued in existence by article 3(3) and (8) of the Departments (Northern Ireland) Order 1999 (S.I. 1999/283 (N.I. 1)) and Schedule 1 to that Order.back

[6] OJ No. L 175, 5.7.1985, p. 40, as last amended by Directive 2003/35/EC of the European Parliament and of the Council of 26th May 2003, OJ No. L 156, 25.6.2003, p. 17.back

[7] S.I. 2004/3391.back

[8] S.S.I. 2004/520.back

[9] 2000 c.36.back

[10] 2002 asp13.back

[11] 1951 c. 30.back

[12] 1964 c.40.back

[13] 1990 c.8.back

[14] 1997 c.8.back

[15] The Joint Nature Conservation Committee was re-constituted by section 31 of the Natural Environmental and Rural Communities Act 2006 (2006 c.16).back

[16] Natural England is constituted by section 1 of the Natural Environment and Rural Communities Act 2006 (2006 c.16).back

[17] Scottish Natural Heritage is constituted by section 1 of the Natural Heritage (Scotland) Act 1991 (1991 c.28).back

[18] The Countryside Council for Wales is constituted by section 128 of the Environmental Protection Act 1990 (1990 c.43).back

[19] 1998 c.47.back

[20] 1949 c.74.back

[21] 1862 c.69.back

[22] 1998 c.46.back

[23] 1964 c.29.back

[24] 1976 c.86.back

[25] 1987 c.49.back

[26] 2006 c.32.back

[27] S.I. 1999/3445.back

[28] 1972 c.70.back

[29] 1954 c.33 (N.I.).back

[30] S.I. 1997/796 (S.75).back



ISBN 978 0 11 077087 1


 © Crown copyright 2007

Prepared 31 May 2007


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