Friends of Grasslands and the Conservation Council ACT Region

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Nature Finance Policy Branch
Department of Climate Change, Energy, the Environment and Water
Email: NatureRepairMarket@dcceew.gov.au

Re: Discussion Paper: Nature Repair Market
Friends of Grasslands (FOG) is a community group dedicated to the conservation of natural temperate grassy ecosystems in south-eastern Australia. FOG advocates, educates and advises on matters to do with the conservation of native grassy ecosystems, and carries out surveys and other on-ground work. FOG is based in Canberra and its members include professional scientists, landowners, land managers and interested members of the public.
The Conservation Council ACT Region (Council) is the leading environmental advocacy organisation and hub for community groups in Canberra. Our mission is to protect nature and create a safe climate future in the ACT and region.
Thank you for the opportunity to comment on the Discussion Paper: Nature Repair Market
(Paper) considering Rules for the operation of the Market. Our submission looks in some detail at the questions you posed (enclosed). Our main points and concerns are outlined here.
We will support every effort by land managers working to ‘create’ complex native grassy ecosystems from degraded earth; we think of this as ‘rehabilitation’. Simultaneously, given their scarcity and high value, we argue as many as appropriate land managers caring for extant high conservation value remnant patches should be eligible to participate in the Market, to do what we call ‘restoration’ (which may include replanting, but may also include weed control, fencing, grazing management), e.g., protected area managers and those managing offset sites after any site’s ‘environmental offsetting purpose’ ends.
Our key concern is the Paper does not consider the standard of information that must accompany applications to the Regulator, an important determinant of the quality of information that will be available to the Regulator for decision-making. The Rules must be better than recipes listing ingredients but not quantities. For example, what standard of detail will be required concerning “regulatory or voluntary program requirements that are applicable to the project area or related to the proposed project activities”? Require too much and few land managers will apply. Require too little and the Market will lack integrity. Absent an appropriate level of detail and, even as the Market matures, additionality and hence the value of projects will be difficult to determine. The Rules need to set minimum standards.
The Paper does not consider how Rules might steer investment, for example, to encourage the restoration of small, diffuse but key remnants of critically endangered ecosystems like native grassy ecosystems. Scale matters. For anyone managing a small patch, while the environmental benefit might be significant, participating may not be worth the transaction cost.
Our uncertainties are not diminished by the Paper in key areas: whether projects can both enhance and protect; what ‘repair’ projects that will do no more than ‘protect’ (without management) will achieve; whether vital detail will be included in project plans; whether
registered projects can commence if a s 17 condition has been attached to a project registration; what it will say to land managers if the Regulator does not attach a s 17 condition to a project likely to impact a matter of national environmental significance.
This submission is also supported by a member of the Council, the Cooleman Ridge Park Care
Group.
For any further information about our submission, please email advocacy@fog.org.au.
Yours sincerely

Matt Whitting Dr Simon Copland
Committee member, Friends of Grasslands Chief Executive, Conservation Council ACT Region
8 October 2024 8 October 2024
Section of the Question
Paper
Requirements for Should existing projects be eligible to participate in the Nature Repair Market?
registration Given the declining state of Australia’s environment, the Market should be able to
operate in a wide range of situations. Here’s three situations that must be eligible.
Case #1. Most of Australia’s protected areas fit the Paper’s definition of ‘existing
projects’, i.e., many are managed under “a State or Territory Government conservation
scheme/ program”.
On the basis that, in general, all protected area managers are (and are increasingly)
resource constrained regardless of governance type, land in all types of protected area
should be eligible to participate in the Market.
The approach will enable protected areas to be included in biodiversity projects that
restore (enhance) at-risk ecological communities across multiple tenures in regional
landscape contexts.
Case #2. Historic ‘offset sites’ should also be eligible to participate in the Market, after
their dedication to an ‘environmental offsetting purpose’ ends.
 Section 76A stipulates biodiversity certificates must not be used for an
environmental offsetting purpose.
 Over the last two decades, few if any ‘offset sites’ have been dedicated to
conservation in perpetuity. Conditions attached to approvals typically require
the establishment (protection and/or management) of offset sites, and those
approvals have expiry dates. When the approvals expire, so do the offset
requirements.
 Some long-term approvals include offset conditions that have required:
specified works, e.g., construct a fence; and/or a specified magnitude of effort to
be completed over a shorter period; and/or the achievement of an improved
state or condition, e.g., from condition 4 to condition 5.
 Once all required works are complete and/or the new state is achieved,
regulators have routinely accepted that offset conditions have been satisfied in
full. These sites need ongoing care (protection and enhancement).
Case #3. Historic ‘offset sites’ where a new purpose has taken over:
 Continuing from Case #2, in some instances, approval conditions have required
the establishment of offset sites and stipulated an intention that the offset
arrangement continue in perpetuity. In such cases, the mechanism for ensuring
any offset site’s long-term future is a separate legal instrument like a gazettal
over Crown land or a conservation covenant over other tenures to establish
public and private protected areas, respectively.
 Over most of Australia’s land, gazettals and covenants are published and
executed as part of “a State or Territory Government conservation scheme/
program”.
 When a new legal instrument comes into legal effect establishing a protected
area, regulatory decision-makers have routinely accepted that conditions
requiring the establishment of the offset site have been satisfied in full. Implicit
in their decisions, decision-makers have accepted that the resources provided
by the approval holders to establish the offset sites will be adequate to
compensate for the impacts at the impact site for the duration of those impacts.
 The separate legal instruments ‘take over’ as the basis for the establishment of
the new protected area on the former offset site from the moment they are
published or gazetted.
In cases #2-3, where regulatory decision-makers have been satisfied offset requirements
have been met, our view is the Market’s Rules can and should consider that the offset
site’s ‘environmental offsetting purpose’ does not survive.

14/26 BARRY DRIVE CANBERRA ACT | GPO BOX 544 CANBERRA ACT 2601 | 02 62293200
info@conservationcouncil.org.au www.conservationcouncil.org.au
The implications of determining otherwise are seriously problematic. It would be to
suggest two decades of offsetting have been effective in robustly protecting and in
ensuring the effective management of offset sites. This is not the case.
This interpretation does not enable all existing or future offset requirements to be
satisfied by biodiversity certificates. Australia’s broken offsets system must be fixed
separately while simultaneously promoting the Market and compliance with s 76A. That
will entail interpreting the ‘secure protection’ of future offset sites separately and
appropriately, i.e., by ensuring solid evidence is needed before decisions to accept that
‘projected gains’ through future offsets (or Restoration Actions and Contributions etc)
will be delivered and maintained in other ways for the duration of impacts at impact
sites.
Do you agree that each registered project must include activities beyond those
required under a Commonwealth, State or Territory law?
Yes.
Having to address such a basic question is annoying when there is so much more that
should be included in, but is not considered in, the Paper. For example, the Paper could
have proposed a standard for the “detail” to be required of applicants addressing
additionality. This is needed because, in the absence of a standard, we can expect a
highly variable quality of information will account for the legal requirements that apply
in any proposed project area. Spatially, at which scale(s) must legal requirements be
detailed? Temporally, different applicants may be subject to different lease conditions
attached to leases granted at different times.
How, without creating an administrative quagmire for applicants and the CER, will the
CER and the Market know simply, and with confidence, what is already legally required?
Require too much detail and people will be less likely to apply. Require too little detail
and the market will lack integrity.
Absent a standard for this “detail” and it will not be possible for Market participants to
consider and compare additionality, nor to establish a suitable price they are willing to
pay for an uncertain magnitude of outcomes beyond existing legal requirements.
Matters related to project registration not included in the Paper
Regulatory approvals
The Act enables the CER to register a project subject to a condition about obtaining
regulatory approvals (s 17). Where this occurs, the Register will show whether the
project’s registration is subject to such a condition (ss 162(1)(f)). We note however that
ss 17(2) does not require that the condition specify the type of regulatory approval(s)
the CER considers should be obtained.
A notice about this form of conditional registration must state that “a biodiversity
certificate is not to be issued in respect of the project until all regulatory approvals are
obtained for the project”.
This construct does not prevent a Project proponent from commencing a registered
project. There are serious problems with this approach:
 The interaction with other regulatory requirements is vague and therefore
confusing. If, for example, the CER registers a biodiversity project and does not
impose a condition under s 17, Project proponents may conclude no other
regulatory approvals are needed. There is discussion below that suggests highly
variable information will be available to the CER as a basis for these decisions.
 In our view, it is not the CER’s role to be indicating, for example, that an EPBC
Act approval will (or will not) be needed; this is the Environment Minister’s
role.
 There is a risk some Project proponents will consider the registration of a
biodiversity project subject to a s 17 condition authorises them to commence
immediately, i.e., that the other regulatory approvals the CER considers must be

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required can be obtained later, at any time before the Project proponent(s)
applies for a Biodiversity certificate.
Can a registered biodiversity project enhance and protect?
It is not clear whether a biodiversity project can be registered to both enhance and
protect biodiversity. Paragraphs 284 & 288 of the Revised Explanatory Memorandum
indicate it is possible, i.e., that a registered biodiversity project can do both. The Act and
the Paper each appear to say the opposite (e.g., s 57(1)(a)). Which is it? Can a project do
both? The Rules must make this point clear.
How certain and confident will we be that projects providing protection will protect?
The Act provides that the Rules may set standards for Methods (ss 57(1)(j) and
ss 57(2)).
A Rule is needed to clarify the standard of information required to inform assessments of
the level of certainty and confidence additional protection will be provided by projects
that protect. The need arises because of the difference between s 57(1)(e)(v) and
s 57(1)(e)(vi) (the difference being the omission of the words “or assessed” in
s 57(1)(e)(vi)); this difference is not addressed in the Paper nor in paragraph 421 of the
Revised Explanatory Memorandum).
Information to Do you agree that the specified information should be mandatory at the accompany an application stage?
application The Paper suggests types of additional information that could be required by the Rules,
and we agree these types of information must all be provided. Project areas must be
identified by cadastral detail that enables its precise identification without charge in any
jurisdiction, and that cadastral detail must be maintained (kept up to date) on the
Register. The project area should also be identified by IBRA subregion(s).
However, the Paper does not consider suitable minimum standards for any of the types
of information (frequently described as ‘Detail’) to be required of applicants. The Paper’s
failure to consider a suitable standard for information to be provided about existing legal
requirements is discussed above. Other examples where a standard for information to be
provided is needed include:
 to demonstrate how the intended biodiversity outcome for the project will be
achieved, e.g., “the likelihood that activities will deliver the biodiversity outcome
in the project timeframes” – these assessments must be supported by evidence
 in proposed project-level monitoring – e.g., there is no confirmation applicants
will need to include corrective actions nor trigger values for those corrective
actions - this is required by DCCEEW’s Environmental management plan
guidelines (2024, p. 11).
Can project areas include land where no activity will occur?
The Paper leaves open the possibility project areas may include areas where no
activities will be undertaken. The Rules should confirm this is not permissible.
What type and standard of information will satisfy the CER that “all regulatory approvals
have been obtained for the project” (ss 17(1)(c))? Is this approach wise?
The Paper indicates (at p. 5) that s 12 of the Act states information about “any regulatory
approvals that apply to the project” is required to accompany a project registration
application. This is incorrect; s 12 does not state this.
A requirement like this could be included in the Rules, however, even if this information
is submitted by an applicant, it is an entirely unsatisfactory basis for decision-making by
the CER, i.e., for decisions under ss 17(1) about whether to attach a condition that
regulatory approvals should be obtained.
At minimum, if such a requirement is to be included in the Rules (we argue here and
above that the interaction between the Act and other statutes is vague and confusing):
the standard of evidence required in support of the claims made in the application must
be specified; and the information provided by the applicant must be published.

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Project plans In what ways could the project plan facilitate the registration and implementation
of a biodiversity project?
Project plans should include (but not be limited to) detailed monitoring plans and
assessments of risk that applicants and later Project proponents must maintain
throughout any registered biodiversity project’s permanence period.
We support the intention to publish on the Register the current and every historic
iteration of each registered biodiversity project’s Project plan.
Every Method should require a Project plan, even if all any project will do is protect a
project area. That is because every Project proponent should be managing the risk the
gains achieved during their registered project will be maintained throughout and
beyond any registered biodiversity project’s permanence period. Having a Project plan
that can be updated is an efficient way to do this.
Types of projects Should the listed project types be excluded from the Nature Repair Market?
unable to The Paper suggests two obvious project types be excluded from the Market. Of course participate in they should, i.e., no project should plant weeds nor derive private benefit from illegal scheme clearing.
No clarity is provided about the standard of proof that will be accepted that a plant
proposed for planting in any area will be regarded in that area as a weed. We submit
plants on published state and territory weed lists should not be planted in that
jurisdiction. Weed lists need to be refined, urgently, for application at the area level; area
lists could apply at the level of regional ecosystems and even, in time, ecological
communities.
If the CER can only prevent project registrations where a court has made a finding that
clearing was illegal, little will be prevented. That is because, generally speaking,
enforcement of vegetation clearing laws is weak right across the country, including
under the EPBC Act.
Transitioning for Should registered projects be required to transition to new or varied methods?
varied or ceased What exceptions, if any, should be allowed?
methods We agree with the comments of the Environmental Defenders’ Office on this point. See
here: https://www.edo.org.au/publication/submission-on-the-discussion-paper-nature-
repair-market/ , section 1.3.
Content of a Do you agree with the proposed content of the biodiversity certificate?
biodiversity The information proposed to be included on a Biodiversity Certificate includes facts and certificate one other matter, the “Biodiversity outcome defined by a set of project attributes”.
Additional facts needed include a list identifying the regulatory approvals and consents
required by the CER and obtained by the Project proponent(s).
The Biodiversity Certificate should include row below addresses what needs to be
included on a Biodiversity Certificate The content of the biodiversity certificate must
include the specified information and (at least):
- a list of regulatory approvals and consents that have been obtained (s 17, s 18
and s 18A)
- a concise summary of all existing land management activities that by law must
be undertaken in the project area at the time of registration, e.g., a specific weed
must be removed – this level of information is needed to enable rapid
assessments by Market participants of additionality and hence value.
Project attributes What specific project attributes should be included on a Biodiversity Certificate?
To answer this question, it would have been useful to see a draft “consistent set of
attributes” that will allow the Market “to compare and value certificates”.
Outcomes should be expressed in terms of the measurable improvement expected:
for enhancement projects

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- in an element(s) of, and/or in the quality(ies) of, and/or in an index of, the
identifiable ecological community(ies) the project will enhance in the project
area - this approach will work if a population(s) of one or more species is to be
enhanced
for protection projects
- in the protection of the project area – specifically, the mechanism that has been
executed, and the specific restrictions and/or obligations that are included in
the legal protection instrument made under the mechanism.
Project Do you agree with the proposed project information to be included on the information on Register?
the register We support the intention to publish all project information provided at registration on a
public Register (p. 5 of the Paper); we consider few if any exemptions should be
provided.
We note no discussion has been included concerning requests that information about a
project not be set out in the Register. In our view, all the ‘Information about biodiversity
projects proposed to be on the Register’ should be on the Register. No rules should be
made under ss 163A(c)(ii).
Certificate Do you agree with the proposed certificate information to be included on the information on Register?
the Register Significant reversals should be listed.
Category A Do you agree with the proposed content for Category A biodiversity project biodiversity reports?
project reports No comment.
Category B Should a Category B biodiversity project report be required every 5 years?
biodiversity No comment.
project reports
Audits at the time Do you agree with the proposed requirements and contents of an audit report at of certificate the time of certificate issuance?
issuance For investor confidence and Market integrity, we support ensuring the Regulator will
have good access to high-quality independent (e.g., auditors’) evidence that has
examined each claim by each Project proponent that “the project [is] sufficiently
progressed [such] that it has or is likely to achieve the biodiversity outcome”.
We would prefer such evidence be published; however, we recognise the Act does enable
this unless all the information in the audit is public or the Project proponent consents
(s 134–135); not likely.
Other independent evidence that may exist and could be provided to the Market includes
the publication of: alternative assurance agreements; and information obtained via the
associated assurance measures (where relevant). The Paper does not explain whether
information obtained by these alternative assurance measures will be published on the
Register; it should be published.
Audits to What factors should determine the number and timing of audits for Category A or accompany B biodiversity project reports?
biodiversity Relevant factors should include confidence in the Project proponent’s claims, in project reports biodiversity project reports and otherwise, about: the activity(ies) they have conducted
in the project area; their progress toward achieving the intended biodiversity outcome;
reasons given for any lack of progress; the existence of evidence and/or intelligence
suggestive of non-compliance; and the quality of information provided by alternative
assurance measures (where relevant).

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Should the CER have authority to set additional audits requirements, or should
these be limited to proponent consent?
Yes, the CER should have the authority to set additional audit requirements.
Under what circumstances should the CER require an audit with the next
biodiversity project report?
If any combination of any of the factors set out above raise concerns.
Notification – Do you agree with the proposed definitions of significant and not significant significant reversals of biodiversity outcomes for notification?
reversal No comment.

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