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One such source of cost is terminal dues, which is a pricing mechanism that allows the postal administration receiving the mail for delivery to collect for the cost of delivery from the postal administration sending the mail in this case, Canada Post. Additionally, many transportation companies have implemented significant fuel price surcharges based upon price fluctuations. While Canada Post takes measures to contain costs to the extent possible, letter mail rate increases remain necessary to offset growing operational costs.
Generally, consumers send only a very small number of U. All such representations should cite the Canada Gazette, Part I, and the date of publication of this notice. No increase in the cost of enforcement is expected as a result of the proposed changes. Contact Personne-ressource Mrs. Interested persons may make representations with respect to the proposed Regulations within 60 days after the date of publication of this notice.
These Regulations come into force on January 14, Description Description Rate changes Majorations tarifaires These amendments to the Canada Post Corporation Canada Post Regulations, effective January 14, , will increase the rates of postage for domestic letter mail items other than the basic domestic letter rate letter mail items up to 30 g. However, the economic value of the exclusive privilege has declined significantly in recent years.
Driven primarily by electronic substitution, such as email and electronic bill presentment and payment, traditional mail volumes per capita are declining in Canada and throughout the world at varying rates. The pervasiveness of the Internet is also having a major impact on mail volumes. Furthermore, the decline in transaction mail volumes is hastened by a growing trend toward the consolidation of invoices by large companies whereby two or more operating divisions combine separate billings into one single invoice.
The financial objectives of the Corporation are not being met solely through rate actions. Substantial increases in productivity in all areas and components of the business are necessary. To that end, Canada Post is embarking on a series of initiatives with several key objectives, including enhanced operational performance, increasing employee engagement, standardizing operating procedures and enhancing information systems.
An independent professional services firm tests the service performance levels of letter mail in the Canadian postal system. The results of these independent tests reveal that in Canada Post achieved an on-time service performance score of The proposed rate increases are designed to ensure that the Corporation is able to continue to provide this service while at the same time meet the objective of the Canada Post Corporation Act to be financially self-sustaining and of the Financial Administration Act to be profitable and pay dividends to the shareholder.
In doing so, the Corporation is ensuring that the responsibility of sustaining postal services in Canada continues to be borne by the users of the postal system and not taxpayers. The increased revenue associated with this rate action will help defray the increased costs associated with the provision of postal service. Other major areas where costs are increasing significantly are with employee pension and health-related benefits.
Given the very nature of its operational activities, Canada Post is also very susceptible to increases in fuel and utility costs. In recent years, the level of investment in both physical and intellectual assets has lagged behind the needs of the Corporation. At the current level, it is insufficient to replace obsolete equipment and does not begin to address the required modernization of the postal system.
The proposed rate increases will play an important role in addressing this issue. In , this score was Canada Post continues to ensure that the safety, security and confidentiality of the mail is protected at all times. There are thousands of mailboxes for depositing letter mail. There are some 23 retail points of access, including 6 locations across the country where customers can purchase a full range of postal products. It speaks to customers as individuals and the more personalized the message and the more tailored to meet the interests and needs of the recipient, the more relevant and powerful the impact.
It is anticipated that the proposed amendments to the Canada Post Corporation Letter Mail Regulations will not have a serious impact on postal users or market share. The portion of paragraph 1 1 b of the schedule to the Letter Mail Regulations1 in column II is replaced by the following: 1. The portion of subitems 2 1 to 3 of the schedule to the Regulations in column II is replaced by the following: 2. Former rule applied to actions only. Such is the case in the majority of aboriginal litigation where common or sui generis rights are litigated.
The same terminology exists with respect to rules and 1. The amendments came into effect on September 21, Form should have been amended consequently. The proposed amendments would correct this oversight. It is also available to other representative groups immigration, for example and is, in effect, made to be applicable to all proceedings that could be the subject of a representative proceeding.
Paragraph Rule which enunciates the powers of the Court and proposes that a proceeding may be brought by or against a person acting as a representative on behalf of one or more other persons on conditions stipulated in paragraphs a to d is added. A new part Part 5. One significant change is that a member of a class of persons may now commence an action or an application on behalf of members of that class.
Rule The amendments are made possible in the same consolidated regulatory amendments since the regulation-making authority is the same even though they are distinct statutes. Une nouvelle partie partie 5. The French version of subsection 1 is amended in order to ensure consistency with the English version of that Rule and with rule 73, as well as to reflect what is done in practice. An amendment is made to the form to indicate that a pre-trial conference memorandum, in accordance with subsection 3 of the Federal Courts Rules, must be served and filed by each party other than the party who filed the requisition for a pre-trial conference, within 30 days after being served with the requisition.
An amendment is made to the form to indicate that a pre-trial conference memorandum must be accompanied by the documents referred in subsection 4 of the Rules. An amendment is made to the form to indicate that participants must be prepared to address any issues arising from any affidavits or statements of expert witnesses, and to establish the need for any additional or rebuttal expert witness evidence.
Consultation Consultations A discussion paper was circulated by the Rules Committee dated June 9, , with regards to class proceedings. Since then, the proposed amendments were discussed by a Rules subcommittee, as well as at the plenary Rules Committee, which is composed of judges from the Federal Court of Appeal and the Federal Court, practising lawyers in either the Government or in private firms, and academics from various regions of the country.
The proposed amendments were also discussed at Bench and Bar Liaison Committee. Interested persons may make representations with respect to the proposed Rules within 60 days after the date of publication of this notice. Subsection 93 2 of the English version of the Rules is replaced by the following: 2 Where an interpreter is required because the examining party wishes to conduct an oral examination in one official language and the person to be examined wishes to be examined in the other official language, on the request of the examining party made at least six days before the examination, the Administrator shall arrange for the attendance and pay the fees and disbursements of an independent and competent interpreter.
The Rules are amended by adding the following after rule Rule of the Rules is replaced by the following: Unless the Court in special circumstances orders otherwise, a party who is under a legal disability or who acts or seeks to act in a representative capacity, including in a representative proceeding or a class proceeding, shall be represented by a solicitor.
The headings before rule Defendant or respondent class proceeding 2 A party to an action or an application against two or more defendants or respondents may, at any time, bring a motion for the certification of the proceeding as a class proceeding and for the appointment of a representative defendant or respondent.
Matters to be considered 2 All relevant matters shall be considered in a determination of whether a class proceeding is the preferable procedure for the just and efficient resolution of the common questions of law or fact, including whether a the questions of law or fact common to the class members predominate over any questions affecting only individual members; b a significant number of the members of the class have a valid interest in individually controlling the prosecution of separate proceedings; c the class proceeding would involve claims that are or have been the subject of any other proceeding; d other means of resolving the claims are less practical or less efficient; and e the administration of the class proceeding would create greater difficulties than those likely to be experienced if relief were sought by other means.
Sous-groupe Contents of order Subclasses Grounds that may not be relied on Amendment and decertification Continuation of action Voluntary Automatic Leave to examine others — actions Considerations 2 If the judge determines that a class includes a subclass whose members have claims that raise common questions of law or fact that are not shared by all of the class members so that the protection of the interests of the subclass members requires that they be separately represented, the certifying order shall include the information referred to in subsection 1 in respect of the subclass.
Application of sanctions 3 A class member is subject to the same sanctions under these Rules as a party for failure to submit to an examination. Contenu Common questions Subsequent actions 2 A judgment on common questions of law or fact of a class or subclass does not bind a party to the class proceeding in any subsequent proceeding between the party and a member who has opted out of or been excluded from the class proceeding. Directives Individual claims 2 The Court has full discretion to award costs with respect to the determination of the individual claims of a class member.
Approval of payments On a motion for summary judgment, for an interlocutory injunction, for the determination of a question of law, for the certification of a proceeding as a class proceeding or, if the Court so orders, a motion record shall contain a memorandum of fact and law instead of written representations.
Where memorandum of fact and law required Class proceedings Order to cease special management 9. Subsection 3 of the English version of the Rules is replaced by the following: 3 A case management judge or a prothonotary assigned under paragraph c may order that a proceeding, other than a class proceeding, cease to be conducted as a specially managed proceeding, in which case the periods set out in these Rules for taking any subsequent steps apply.
These Rules come into force on the day on which they are registered. Following the events of September 11, , the mandate of the initiative was enlarged to include the fight against terrorist financing activities and, since then, it has been referred to as the Anti-Money Laundering and Anti-Terrorist Financing Regime the Regime.
One of the key elements of this Regime is the Proceeds of Crime Money Laundering and Terrorist Financing Act the Act and its three sets of regulations, which were brought into force between and The Proceeds of Crime Money Laundering and Terrorist Financing Suspicious Transaction Reporting Regulations PCMLTF Suspicious Transaction Reporting Regulations implement the remainder of Part 1 of the Act by requiring financial institutions and financial intermediaries to report financial transactions where there are reasonable grounds to suspect that they are related to money laundering or terrorist financing activities.
Since the coming into force of these regulations, the domestic and international context has changed. First, the international standards of the Financial Action Task Force the Task Force , on which the Regime was based in , were revised in to keep up with new money-laundering and terrorist financing trends and techniques. Canada is currently undergoing an evaluation by the Task Force on the extent to which these standards have been implemented.
Chapter 2 of the Report of the Auditor General also outlined several recommendations to improve the Regime, such as the need to review the information the Centre can include in its disclosures to law enforcement agencies and security agencies in order to increase their usefulness. Several of the federal partners to the regime, such as the Royal Canadian Mounted Police, the Canada Border Services Agency, the Canada Revenue Agency and the Centre have proposed amendments to help them better fulfill their mandate.
A few financial institutions and intermediaries have also requested changes to the Regime to allow them to concentrate their efforts in areas where the risk of money laundering or terrorist financing is higher. In response to these developments, the Department of Finance issued a consultation paper in June outlining policy proposals to enhance the Regime. Some of the proposals identified gaps in the current regime and as a result proposed requirements for three new sectors: the legal profession, dealers in precious metals and stones and notaries in British Columbia.
The requirements pertain to client identification, record-keeping and, with the exception of the legal profession, filing reports with the Centre. Furthermore, the consultation paper also proposed creating an administrative monetary penalties scheme. The purpose of this scheme is to facilitate compliance with the Act and its regulations. Various groups and organizations have made representations on the proposed changes to the Regime.
Since then, the Department of Finance has been in consultations with stakeholders to tailor the requirements to existing business practices in an effort to minimize, to the extent possible, their compliance burden. In October , the Minister of Finance tabled Bill C, which proposed among other things, amendments to the Act to provide an exemption for the legal profession from reporting to the Centre and to introduce an administrative monetary penalties scheme.
This scheme would be used as a complementary compliance tool to the criminal sanctions in Part 5 of the Act, which will continue to be available to deal with the most severe cases of noncompliance. Bill C received Royal Assent in December , but will require the implementation of new regulations to become fully effective. In order to implement part of the requirements set out in Bill C, comply with the new international standards and address the recommendations and comments made by the Auditor General, the EKOS report, the partners to the Regime and stakeholders, amendments to the PCMLTF Regulations are being proposed in order to extend new and existing client identification and record keeping requirements and, where applicable, reporting requirements to three new sectors.
The three sectors are the legal profession, dealers in precious metals and stones, and notaries in British Columbia. These sectors have been identified as posing a risk as potential conduits for money laundering and terrorist activity financing.
By including them as part of the Regime, they will be required to meet the client identification and record-keeping requirements under Part 1 of the Act. In addition, dealers in precious metals and stones and notaries in British Columbia will also be required to meet the reporting requirements under Part 1 of the Act.
These new sectors will be subject to the existing as well as the recently introduced requirements under the Act. The recently introduced requirements include methods for identifying clients in a non face-to-face environment, undertaking risk assessments to identify and assess the risk of being used by clients for money laundering or terrorist activity financing, and ascertaining the identity of a client whenever there are reasonable grounds to suspect that a transaction or suspicious attempted transaction is linked to money laundering or terrorist financing activities.
The creation of this scheme is intended to assist the Centre in ensuring compliance with the Act and its regulations by providing the Centre with a broader spectrum of compliance tools. Currently, the Centre can only refer cases of non-compliance to law enforcement for investigation and possible criminal charges. These Regulations also serve to operationalize the requirements of the scheme, notably by setting out additional criteria that may be used in assessing a penalty amount and the method for determining interest rates to be applied for late payments.
Like all members of the Task Force, Canada has adapted the recommendations to its constitutional and legal framework, including as they may relate to privacy rights. Moreover, to close gaps without diminishing competition in the financial sector or imposing excessive compliance costs, the proposed requirements are aligned to an assessment of domestic risks while also being responsive to existing business practices.
For instance, each entity within these sectors will be required to put in place policies and procedures to ensure that they fulfill their requirements under the Act. This includes policies and procedures to address client identification, record keeping and, where applicable, reporting requirements.
In addition, employees will require training on the implementation of these policies and procedures. Entities will also be required to undertake a risk assessment to determine whether their business has vulnerabilities that could be used for money laundering or terrorist activity financing. There are no costs for the sectors covered by the Act with regards to the implementation and administration of this scheme. However, in the event that entities do not comply with the Act and its regulations, they may be subject to penalties under this scheme.
The Centre takes a cooperative approach to compliance, and adequate lead-time will be allowed for educating all sectors on this new scheme. These costs are reasonable given the benefit of further deterring money laundering and terrorist financing activities, as they have been introduced with the intention of closing gaps in the current regime.
The administrative monetary penalties scheme will play a broader role in ensuring the high quality and timeliness of the data the Centre receives from reporting entities, elements that are of the utmost importance in investigations undertaken by law enforcement and investigative agencies. This document presented a series of proposed changes to the Act and its regulations.
Stakeholders and partners to the Regime were invited to submit their comments on the paper, and more than 50 stakeholders provided written submissions. These submissions came from various groups, including individuals, financial sector business associations, financial institutions, professional associations, law enforcement agencies and provincial ministries and agencies.
Following the publication of the proposed Regulations in the Canada Gazette, Part I, the Department of Finance will continue to consult with stakeholders in order to address any further concerns. The Centre sends compliance questionnaires to persons or entities that are subject to the Act to better assess the compliance risks and conducts on-site examinations. It also has the capacity to enter into informationsharing agreements with industry regulators to reduce the number of compliance examinations to which entities are subjected.
Overall, stakeholders responded positively to the proposal to introduce an administrative monetary penalties scheme so long as an appropriate appeals process is put in place. This process is provided for in Part 4. Some concerns were also expressed regarding the publication of the name of the offender, the violation, and the amount of the penalty. Further context provided with respect to the use of this measure clarified that the scheme is designed to be progressive, in that this measure will only be used in situations where an entity continues to be in non-compliance despite repeated attempts by the Centre to remedy the situation.
The proposed Regulations would impose compliance obligations on three new sectors. In recognition of these new responsibilities, Budget allocated additional funding to assist the Centre in implementing the new requirements. However, the administrative monetary penalties scheme will allow for penalties that are in proportion to the violation, leading to improved compliance with the Act.
Violations under this scheme are classified into one of three categories: minor, serious and very serious. The progressive approach to compliance and enforcement, as set out in the administrative monetary penalties scheme, will result in a more effective regime by ensuring high data quality and timeliness of reporting.
Interested persons may make representations concerning the proposed Regulations within 60 days after the date of publication of this notice. The short-form descriptions that are set out in column 2 of Part 1 of the schedule, and column 3 of Parts 2 and 3 of the schedule, form no part of these Regulations and are inserted for convenience of reference only.
The contravention of any of the following provisions is a violation that may be proceeded with under sections Subject to subsection For the purposes of section In the absence of proof to the contrary, a document — other than a document that is personally served — is deemed to be served a in the case of a document that is left with an adult referred to in subparagraph 7 1 a ii , on the day the document is left with the adult; b in the case of a document that is sent by registered mail or courier, on the tenth day after the date indicated in the receipt issued by the postal or courier service; and c in the case of a document sent by fax or other electronic means, on the day of transmission.
These Regulations come into force on the day on which section 40 of An Act to amend the Proceeds of Crime Money Laundering and Terrorist Financing Act and the Income Tax Act and to make a consequential amendment to another Act, being chapter 12 of the Statutes of Canada , comes into force.
It includes a department or agent of Her Majesty in right of Canada or of a province when the department or agent is carrying out the activity, referred to in section 5, of selling precious metals to the public. British Columbia notary corporation 2. The Regulations are amended by adding the following after section 1. The Regulations are amended by adding the following after section 3: 4. It includes a department or agent of Her Majesty in right of Canada or of a province when the department or agent is carrying out the activity, referred to in section The portion of subsection Rapaport value 5.
The Regulations are amended by adding the following after section 6. Le passage du paragraphe The Regulations are amended by adding the following after section The portion of subsection 62 2 of the Regulations before paragraph a is replaced by the following: 2 Sections 14, Paragraph 65 2 e of the Regulations is replaced by the following: e in the cases referred to in paragraphs Paragraph 66 2 e of the Regulations is replaced by the following: e in the cases referred to in paragraphs These Regulations come into force on the day on which they are registered.
Description Description The purpose of this initiative is to introduce midwives, nurse practitioners, and doctors of podiatric medicine DPMs as practitioners under the Controlled Drugs and Substances Act CDSA by prescribing them as such in a new regulatory framework.
The Single Convention on Narcotic Drugs, as amended by the Protocol the Convention , and the Convention on Psychotropic Substances the Convention were enacted to ensure that the availability of narcotic drugs and psychotropic substances is limited to medical and scientific purposes. These substances can alter mental processes and may harm the health of an individual and society when diverted or misused.
This system of control is intended to minimize diversion for illicit use without diminishing the medical and scientific usefulness of the substances, nor interfere with patient care. Under the CDSA and its regulations, only practitioners can conduct certain activities with controlled substances, such as Canada Gazette Part I June 30, prescribing. The term practitioner is defined under the CDSA as meaning dentists and doctors of medicine and veterinary medicine and includes any other person or class of persons prescribed as a practitioner by regulation.
The CDSA thus enables the granting of authorities to other health professionals that may have a requirement, within their respective scopes of practice, to conduct activities with certain controlled substances in a manner similar to dentists and doctors of medicine or veterinary medicine. National and international perspectives Perspectives nationales et internationales Globally, the delivery of health care has undergone significant changes due to a variety of interrelated factors, including for example, economic circumstances, a shortage of primary care physicians, and the lack of health services in under-serviced and rural areas.
These facts, coupled with the increasing specialization and expanded scope of practice of midwives, DPMs and nurse practitioners, have made prescribing an essential component of medication management in the United Kingdom, the United States of America, Canada, New Zealand, Australia and Sweden. In the United States, the Drug Enforcement Administration registers multiple professions, including podiatrists as practitioners as well as nurse practitioners and midwives as mid-level practitioners having the authority to prescribe substances listed in their Controlled Substances Act.
Regulatory authorities establish the scope of professional Le 30 juin Gazette du Canada Partie I practice and ensure a high level of compliance by periodically assessing whether or not each member has and maintains the necessary competence and knowledge to safely conduct activities with controlled substances. At present, midwives, nurse practitioners and DPMs are not considered practitioners under the CDSA and, therefore, cannot prescribe nor can they administer, sell or provide controlled substances as practitioners.
Over the past several years, Health Canada has received a number of requests from provincial Ministries of Health and the health professional associations representing midwives, nurse practitioners and DPMs requesting that Health Canada consider granting them prescriptive authority for controlled substances. Midwives Sages-femmes Midwives are specialists in normal child births, providing care through pregnancy, labour, birth and 6 weeks post partum.
They work autonomously within a defined scope of practice, collaborating with other health care providers as needed. There are about midwives in Canada, the majority working in the 6 jurisdictions where midwifery is regulated: Alberta, British Columbia, Manitoba, the Northwest Territories, Quebec, and Ontario.
All provinces regulating midwifery accept a similar definition of the midwifery scope of practice. This document was developed to provide a base for the development of national assessment processes and to provide information to internationally educated midwives about what Canadian midwives are expected to know and do.
It outlines the knowledge and skills expected of an entry-level midwife in Canada. Some additional competency requirements can be found in provincial and territorial documents. The Canadian Midwifery Registration Examination CMRE is a national, written examination designed to assess applicants for midwifery registration to ensure that they meet entry-level competency standards set out in the Canadian Competencies for Midwives.
The Agreement on Mobility for Midwifery between the regulatory authorities of Alberta, British Columbia, Manitoba, the Northwest Territories, Quebec, and Ontario establishes the conditions under which a midwife who is registered in one province will have her qualifications recognized in another Canadian jurisdiction which is Party to the agreement. This agreement serves to standardize the requirements for registration and the competencies of the midwife profession across Canada.
All midwifery regulators agree with respect to the specific drugs that midwives should have the authority to prescribe and administer. The addition of controlled substances to the identified list of drugs has been requested in order to help improve the timeliness of services to women, increase patient safety, lessen the workload of other health professional team members, and support midwives and physicians working collaboratively. Currently, the authority to prescribe drugs does not extend to controlled substances.
In some provinces, nurse practitioners may have a different title. For example, in Ontario, nurse practitioners are referred to as Registered Nurses in the Extended Class, in Manitoba, as a Registered Nurse, Extended Practice and, in Quebec, as specialized nurse practitioners. As of , there were 1 nurse practitioners working in Canada. They are fully trained in medical and surgical techniques to diagnose and treat diseases, injuries and abnormalities of the feet and ankles through medical, surgical and bio-mechanical means.
There are approximately DPMs working in Canada. It takes eight years of university level education to become a DPM; four years for the undergraduate degree followed by another four years of specialized podiatric medical education to obtain the Doctor of Podiatric Medicine degree.
The podiatry curriculum spans four years at an accredited College of Podiatric Medicine in the United States, where students study courses in all basic medical sciences. The last two years of training include an emphasis on disorders affecting the foot and ankle and their various types of treatment.
Students undergo clinical training in the university teaching hospitals. Once this education is completed the graduate obtains his or her Doctor of Podiatric Medicine degree and must pass Comprehensive Board exams as well as provincial licensing exams before being licensed to practice.
Continuing education programs keep DPMs informed of new developments in podiatric medicine and foot surgery. Many of these provisions are duplicated in the proposed Regulations, and some have been modified to expand upon their intent and provide clarity to the health professional groups involved. The choice to develop a new set of regulations, instead of adding to current regulations, is the most efficient and effective way to address the requests of the three health professional groups concerned.
The proposed regulatory framework differs from existing regulatory frameworks with regards to a Definitions The new classes of practitioners, namely the nurse practitioners, DPMs, and midwives, will be defined as designated practitioners. Pharmacists can use this number to identify the health professional who has issued the prescription, without having to rely on a signature alone. Each one will contain a list of substances specific to midwives, nurse practitioners, or DPMs respectively.
In particular, a definition for the health professionals who are designated as practitioners designated practitioners will be included in each set of regulations to introduce them as practitioners who are authorized to conduct activities with controlled substances. The definition for the controlled substance in question be it a targeted substance, narcotic, or controlled drug will also be modified to provide greater clarity with respect to the controlled substances that a designated practitioner can possess, administer, prescribe, sell or provide, and transport.
In addition, a number of provisions from current regulations are duplicated in the NCPR. These sections include provisions with respect to practitioners, the issuance of notices by the Minister to revoke the prescribing privileges of a particular health professional, and security requirements. A consequential amendment will exclude designated practitioners from the provisions that have been duplicated in the NCPR. Option 3 Promulgate new regulations under the CDSA that prescribe new classes of practitioners and authorize them to conduct certain activities with specific controlled substances.
This option was also discarded because it would require parliamentary approval, and the definition of practitioner in the CDSA already contains a mechanism for designating practitioners through regulation. In addition, designated practitioners would have to refer to multiple sets of regulations in order to ensure compliance with all relevant provisions. A single new set of regulations provides ease of reference for stakeholders and facilitates amendments to add new classes of practitioners.
The proposed Regulations aim to facilitate health care at the provincial level by enabling health care providers who have been granted prescriptive authority by their province to provide certain controlled substances to their patients when required, for the medical condition being treated. As the regulatory authorities in the provinces where midwives, nurse practitioners, and DPMs are regulated and they already have the mechanisms in place to achieve this, the costs to this sector are expected to be minimal.
Health Canada may incur costs to issue notices to revoke and reinstate authorities granted under the proposed Regulations. These notices are required to be sent to pharmacists and licensed dealers using established processes currently in place for dentists and doctors of medicine and veterinary medicine.
Therefore, the cost to Health Canada associated with the proposed Regulations is expected to be relatively minimal. Le 30 juin Gazette du Canada Partie I Should the numbers of nurse practitioners, DPMs, and midwives grow dramatically in the future, or should new classes of designated practitioners be included in the regulations, the costs associated with the proposed regulatory framework will need to be reassessed.
Of the 39 responses received, 31 were supportive of the initiative and 8 expressed concerns. The criteria outlined in the Policy were designed to address these concerns. The Policy explains the requirement for minimum levels of training, education, and competency and for having both a communication and compliance mechanism in place. In particular, the Policy emphasizes that it is the responsibility of the provinces along with the regulatory authorities to ensure that the minimum levels of training, credentialing, and quality assurance exist and are applied.
A few health professionals were not supportive of the initiative, given that there is already an issue with prescription drug abuse and misuse. For this reason, conditions to mitigate the risk of misuse or diversion were developed as part of the Policy and must be met by each class of health professional seeking authorities under the CDSA.
Initial work on this regulatory project was completed further to a series of meetings that took place with individual stakeholder groups throughout and Three conference calls, one with each proposed new class of practitioner, were also held in May A draft policy framework was then circulated to Advisory Committee members, who were invited to review and send their preliminary comments to the Drug Strategy and Controlled Substances Programme, Health Canada, with a view to having further discussion at the next meeting of the Advisory Committee in The draft policy framework was finalized following this meeting and redistributed to members for their information.
This means having a mechanism in place to revoke, suspend or otherwise amend a licence or registration issued to a regulated health professional and to report to Health Canada any situations which may require federal intervention to remove the authorities provided under the CDSA and its regulations that have been granted to an individual health professional. If Health Canada determines, pursuant to the applicable provision of the regulations, that the authorities granted under the CDSA to an individual health professional are to be revoked or reinstated, it will communicate this information via a notice to pharmacists and to licensed dealers.
The following definitions apply in these Regulations. A designated practitioner may transport a listed substance for a purpose related to their practice. A designated practitioner may administer a listed substance to a person under the professional care of the practitioner and may sell or provide a listed substance to or for the person, only if a the practitioner is permitted to prescribe the substance in their practice under the laws of the province in which the practitioner is authorized to practise; and b the listed substance is required for the condition for which the person is receiving treatment.
When issuing a prescription or order for a listed substance, a designated practitioner shall a in the case of a written prescription or order, include, on the prescription or order, the registration number or other unique identifier provided by their provincial professional licensing authority; and b in the case of a verbal prescription or order, give, to the person who takes the prescription or order, the registration number or other unique identifier.
Provision 2 The practitioner shall keep the records at a place and in a form and manner that permits an inspector to examine them and make copies and, on request, shall provide any of the records to an inspector. Retention Communication on request Communication to the provincial authority Communication to another provincial authority 8.
No licensed dealer shall sell or provide a listed substance to a designated practitioner named in a notice issued by the Minister under subsection 14 1 unless they have received a notice of retraction in respect of the designated practitioner issued under section No pharmacist shall, unless the pharmacy in which they work has received a notice of retraction issued under section 15 in respect of the designated practitioner, a sell or provide a listed substance to a designated practitioner named in a notice issued by the Minister under subsection 14 1 ; or b fill a prescription or order for a listed substance issued by a designated practitioner named in a notice issued by the Minister under subsection 14 1.
A designated practitioner who does not wish to receive or have possession of listed substances may make a written request to the Minister to send to licensed dealers and pharmacies a notice, issued under subsection 14 1 , advising them of one or both of the following requirements: a recipients of the notice must not sell or provide a listed substance to the practitioner; or b pharmacists practising in the notified pharmacies must not fill a prescription or order for a listed substance issued by the practitioner.
Avis Cases of issuance 2 The notice must be issued if the designated practitioner has a made a request to the Minister in accordance with section 13 to issue the notice; b been found, by the professional licensing authority for the province in which the practitioner is authorized to practise, to have contravened a rule of conduct established by the authority and the authority has requested the Minister in writing to issue the notice; or c been found guilty in a court of law of a designated drug offence or of an offence under these Regulations.
The Minister must provide a notice of retraction to the recipients who were sent a notice under subsection 14 1 , in respect of the designated practitioner named in the notice, if a in the circumstance described in paragraph 14 2 a , the requirements set out in paragraph b have been met and one year has elapsed since the notice was sent by the Minister; or b in the circumstance described in any of paragraphs 14 2 b and c and subsection 4 , the practitioner has i requested in writing that a retraction of the notice be issued, and ii provided a letter from the professional licensing authority for the province in which the practitioner is authorized to practise, in which the authority consents to the retraction of the notice.
The Regulations are amended by adding the following before section G. This Division does not apply to designated practitioners. The Regulations are amended by adding the following before section Sections 53 to 60 do not apply to designated practitioners. Paragraph 60 1 d of the Regulations is replaced by the following: d in the case of an emergency supply referred to in subsection 59 1 , the name of the administering agent, the location of the emergency supply, the name, quantity and strength per unit of each targeted substance, the date of all transactions related to that emergency supply and the name and address of the individual to whom the targeted substance was administered.
This excludes containerized import shipments into Foreign Trade Zones, which are not identified by CBP and as such are not included in this release. Export shipments are reported with an indicator that can either identify an export shipment as containerized or non-containerized. Filers may not always report an indicator, resulting in missing containerized information on export shipments.
No attempt is made to estimate the value or shipping weight of containerized exports with missing indicators. Therefore, the containerized export data may be understated. Controlling Agency The agency responsible for the license determination on specified goods exported from the United States.
Foreign Trade Statistics. Country of Destination Exports Only Country of destination for exports is the country where the goods are to be consumed, further processed, or manufactured, as known to the USPPI at the time of exportation. Country of Origin Imports Only The country where the goods were mined, grown, or manufactured or where each foreign material used or incorporated in a good underwent a change in tariff classification indicating a substantial transformation under the applicable rule of origin for the good.
The country of origin for U. Certain foreign trade reports show country subcodes to indicate special tariff treatment afforded some imported articles. Country of Shipment Imports Only The country where the merchandise was shipped. Census Bureau does not publish statistics based on the country of shipment.
Country of Ultimate Destination The country where the goods are to be consumed, further processed, stored, ormanufactured, as known to the USPPI at the time of export. Country Subcodes Indicators used to identify special trade agreements and are found in several U. Census imports of merchandise products. For example, if merchandise trade data were just released for July, the cumulative to date totals would be for the first seven months January-July. Customized Data Request Special Request Foreign Trade Data Service that allows customers to request customized report s to their specifications for a fee.
Customs Broker An individual or entity licensed to enter and clear imported goods through CBP for another individual or entity. Customs Value The Customs value is the value of imports as appraised by the U. Customs and Border Protection in accordance with the legal requirements of the Tariff Act of , as amended. This value is generally defined as the price actually paid or payable for merchandise when sold for exportation to the United States, excluding U. The term 'price actually paid or payable' means the total payment whether direct or indirect, and exclusive of any costs, charges, or expenses incurred for transportation, insurance, and related services incident to the international shipment of the merchandise from the country of exportation to the place of importation in the United States made, or to be made, for imported merchandise by the buyer to, or for the benefit, of the seller.
In the case of transactions between related parties, the relationship between buyer and seller should not influence the Customs value. In those instances where assistance was furnished to a foreign manufacturer for use in producing an article which is imported into the United States, the value of the assistance is required to be included in the value reported for the merchandise. Such 'assists' include both tangible and intangible assistance, such as machinery, tools, dies and molds, blue prints, copyrights, research and development, and engineering and consulting services.
If the value of these 'assists' is identified and separately reported, it is subtracted from the value during statistical processing. However, where it is not possible to isolate the value of 'assists', they are included. In these cases the unit values may be increased due to the inclusion of such 'assists'. Return to top-D-Deficit When import value is greater than export value. DestinationThe foreign location to which a shipment is consigned.
Diplomatic Pouch Any properly identified and sealed pouch, package, envelope, bag, or other container that is used to transport official correspondence, documents, and articles intended for official use, between Embassies, legations, or consulates, and the foreign office of any government. Disclosure Limitation Disclosure limitation is the process for protecting the confidentiality of data. A disclosure of data occurs when published statistical information identifies either an individual or business that has provided information under a pledge of confidentiality.
The techniques used by the Census Bureau to protect confidentiality in tabulations vary, depending on the type of data. To limit disclosure, statistics for two or more CBP ports may be combined and published under an arbitrary designation, or shipping weight or value may be excluded from an individual CBP port.
In addition, value and shipping weight for a commodity may be placed in separate ports. Consequently, statistics for individual ports may be understated or overstated due to the suppression of the weight or value of the affected commodities. See Suppression below. DistributorAn agent who sells directly for a supplier and maintains an inventory of the supplier's products. The geographical limits of each district are published in the U. Customs Regulations. Statistics for two or more Customs Districts may be combined and published under an arbitrary designation or shipping weight may be excluded from an individual Customs District as a solution to disclosure situations.
Consequently, statistics for individual ports may be understated due to the suppression of the weight of the affected commodities. District or Port of Entry The district or port in which merchandise clears Customs for entry into consumption channels, bonded warehouses or Foreign Trade Zones. District or Port of Exportation For vessel or air shipments, the district or port in which the merchandise is loaded on the vessel or aircraft which takes the merchandise out of the country.
For rail, truck, pipeline, or other overland transportation, the district or port through which the merchandise crosses the U. Aircraft exported under their own power are credited to the district from which they are flown out of the United States. District or Port of Unlading The district where merchandise is unloaded from the importing vessel or aircraft. Districts Special There are three special districts included for statistical purposes in special Customs districts and are not reported by geographical location of the individual Customs district of entry or exportation: a Vessels under their own power or afloat imports and exports ; b Low-valued imports and exports; c Mail shipments exports only.
Domestic Exports Goods that are grown, produced, or manufactured in the United States, and commodities of foreign origin that have been changed in the United States, including changes made in a U. FTZ, from the form in which they were imported, or that have been enhanced in value or improved in condition by further processing or manufacturing in the United States. Customers can retrieve standard data products using their username and password. DrayageThe charge made for hauling freight, carts, drays, or trucks.
Drop Shipment A shipment of goods from a manufacturer directly to the ultimate consignee, avoiding shipment to the foreign buyer. Dumping Occurs when goods are exported at a price less than their normal value, generally meaning they are exported for less than they are sold in the domestic market or third-country markets, or at less than production cost. DunnageMaterials placed around cargo to prevent shifting or damage while in transit. Duty A charge imposed on the import of goods.
Duties are generally based on the value of the goods ad valorem duties , some other factor, such as weight or quantity specific duties , or a combination of value and other factors compound duties. Dutiable Value of ImportsThe 'dutiable value' represents, in general, the Customs value of foreign merchandise imported into the United States, which is subject to a duty. End-Use A classification system for U. Department of Commerce. End User The person abroad that receives and ultimately uses the exported or re-exported items.
The end user is not an authorized agent or intermediary, but may be the FPPI or ultimate consignee. EnhancementA change or modification to goods that increases their value or improves their condition. Entry Number Consists of a three-position entry filer code and a seven-position transaction code, plus a check digit assigned by the entry filer as a tracking number for goods entered into the United States. Equipment Number The identification number for shipping equipment, such as container or igloo Unit Load Device ULD number, truck license number, or rail car number.
Europe All Schedule C codes beginning with '4'. Exclusion Legend A notation placed on the bill of lading, air waybill, export shipping instructions, or other commercial loading document that describes the basis for not filing EEI for an export transaction. The exclusion legend shall reference the number of the section or provision in the Foreign Trade Regulations where the particular exclusion is provided. Exemption Legend A notation placed on the bill of lading, air waybill, export shipping instructions, or other commercial loading document that describes the basis for not filing EEI for an export transaction.
The exemption legend shall reference the number of the section or provision in the Foreign Trade Regulations where the particular exemption is provided See Appendix D to this part. ExportTo send or transport goods out of a country.
Export Administration Regulations EAR Regulations administered by the BIS that, among other things, provide specific instructions on the use and types of export licenses required for certain commodities, software, and technology. These regulations are located in 15 CFR The ECCN consists of a set of digits and a letter. Export License A controlling agency's document authorizing export of particular goods in specific quantities or values to a particular destination.
Issuing agencies include, but are not limited to, the U. Exports Exports measure the total physical movement of merchandise out of the United States to foreign countries whether such merchandise is exported from within the U. Customs territory or from a CBP bonded warehouse or a U. Foreign Trade Zone.
Exports Domestic Goods that are grown, produced, or manufactured in the United States, and commodities of foreign origin that have been changed in the United States, including changes made in a U. Foreign Trade Zone, from the form in which they were imported, or that have been enhanced in value or improved in condition by further processing or manufacturing in the United States.
Exports Foreign Exports of foreign goods re-exports consist of commodities of foreign origin that have previously been admitted to a U. Foreign Trade Zones or entered the United States for consumption, including entry into a CBP bonded warehouse, and which, at the time of exportation, are in substantially the same condition as when imported. Exports Total Total exports are calculated by adding domestic exports to foreign exports also called re-exports. Exporter Data BaseProvides data on the number of exporters, their distribution in cities and states, and their economic characteristics.
The f Committee is comprised of the U. International Trade Commission. The filer is required to immediately correct the problem, correct the data, and retransmit the EEI. Foreign EntityA person that temporarily enters into the United States and purchases or obtains goods for export. This person does not physically maintain an office or residence in the United States.
Foreign Port of Unlading The port in a foreign country where the goods are removed from the exporting carrier. The foreign port does not have to be located in the country of destination. This party may be the ultimate consignee. Foreign Trade Zone FTZ Specially licensed commercial and industrial areas in or near ports of entry where foreign and domestic goods, including raw materials, components, and finished goods, may be brought in without being subject to payment of customs duties.
Goods brought into these zones may be stored, sold, exhibited, repacked, assembled, sorted, graded, cleaned, manufactured, or otherwise manipulated prior to re-export or entry into the country's customs territory. Free Along Ship F. Export Value The value of exports at the U.
The value, as defined, excludes the cost of loading the merchandise aboard the exporting carrier and also excludes freight, insurance, and any charges or transportation costs beyond the port of exportation. Freight A term for cargo or the cost of shipping. Freight Forwarder An independent business which handles export shipments for compensation.
Return to top-G- General Imports Measures the total physical arrivals of merchandise from foreign countries, whether such merchandise enters consumption channels immediately or is entered into bonded warehouses or Foreign Trade Zones under CBP custody. Generalized System of Preferences GSP A framework under which certain developing countries are given preferential tariff treatment to their manufactured goods. Goods Merchandise, supplies, raw materials, and products or any other item identified by a Harmonized System HS code.
It was used as the primary measure of U. The 2-, 4-, and 6-digit HS headings and subheadings are the basis for the digit statistical classification systems used in the United States. The HS is revised approximately every five years. For more information, see The World Customs Organization.
International Trade Commission and is based on the 2-, 4-, and 6-digit headings and subheadings of the international Harmonized System HS. Suggested changes to the statistical requirements of the HTSA should be submitted in the form of a request to the f Committee. Return to top-I-Imports All goods physically brought into the United States, including: 1 Goods of foreign origin, and 2 Goods of domestic origin returned to the United States without substantial transformation affecting a change in tariff classification under an applicable rule of origin.
Import Adjustments See AdjustmentsImport Charges The import charges represent the aggregate cost of all freight, insurance, and other charges excluding U. Imports General Measures the total physical arrivals of merchandise from foreign countries, whether such merchandise enters consumption channels immediately or is entered into bonded warehouses or Foreign Trade Zones under CBP custody.
Imports for Consumption Measures the total of merchandise that has physically cleared through Customs either entering consumption channels immediately or entering after withdrawal for consumption from bonded warehouses or Foreign Trade Zones under CBP custody.
Inbond A procedure administered by CBP under which goods are transported or warehoused under CBP supervision until the goods are either formally entered into the customs territory of the United States and duties are paid, or until they are exported from the United States. The procedure is so named because the cargo moves under a bond financial liability assured by the principal on the bond from the gateway seaport, airport, or land border port and remains 'inbond' until CBP releases the cargo at the inland Customs point or at the port of export.
Inland Freight The cost to ship goods between points inland and the seaport, airport, or land border port of export, other than baggage, express mail, or regular mail. Inland Freight in Canada An addition is made for inland freight in Canada. Imports of goods from all countries are valued at the foreign port of export, including inland freight charges 'customs value'. In the case of Canada, this should be the cost of the goods at the U. However, the customs value for imports for certain Canadian goods is the point of origin in Canada.
Insurance and freight charges for transporting goods to the United States from all other countries to the U. The same procedure is used for Mexico as an Other Adjustment, but is much smaller. Intermediate Consignee The person or entity in the foreign country who acts as an agent for the principal party in interest with the purpose of effecting delivery of items to the ultimate consignee. The intermediate consignee may be a bank, forwarding agent, or other person who acts as an agent for a principal party in interest.
The ITN must appear on the bill of lading, air waybill, export shipping instructions, or other commercial loading documents. International Standards Organization ISO Country CodesThe 2-position alphabetic code for countries used to identify countries for which shipments are reportable.
While U. State Department that provide for the control of the export and temporary import of defense articles and defense services. These regulations are located in 22 CFR International WatersWaters located outside the U. Interplant CorrespondenceRecords or documents from a U. Virgin Islands from one foreign country or area to another foreign country or area without entering the consumption channels of the United States.
In-transit shipments should not be part of the U. Issued Banknotes A promissory note intended to circulate as money, usually printed on paper or plastic, issued by a bank with a specific denomination, payable to an individual, entity or the bearer. For example, obtaining a license for commodities, software, or technology that are listed on the CCL.
Low-Value Shipments Shipments whose value is so low that trade is estimated instead of being based on trade filings. Low value estimates represent about 2. Low value shipments represent about 1 percent of the monthly import value.
Return to top -M- ManifestA collection of documents, including forms, such as the cargo declaration and annotated bill of lading, that lists and describes the cargo contents of a carrier, container, or warehouse. Carriers required to file manifests with the CBP Port Director must include an AES filing citation, exemption legend, or exclusion legend for all cargo being transported. In general, the shipping manifest is a document in the public domain and can be viewed by anyone.
Mass-Market Software Software that is generally available to the public by being sold at retail selling points, or directly from the software developer or supplier, by means of over-the-counter transactions, mail-order transactions, telephone transactions, or electronic mail-order transactions, and designed for installation by the user without further substantial technical support by the developer or supplier. MerchandiseGoods, supplies, raw materials, and products or any other item identified by a Harmonized System HS code.
M Meter See Conversion Tables and Units of QuantityMerchandise Trade Goods, including physical items such as automobiles, steel, food, clothing, appliances, and furniture. Merchandise trade does not include services or balance of payment adjustments. Merchandise Trade Balance The merchandise trade balance represents the difference between U.
This balance corresponds to a measurement of the international payments or credit flows resulting from the physical movement of goods between the U. Monthly balances are based on seasonally adjusted data. Method of Transportation MOT The method by which goods arrive in or are exported from the United States by way of seaports, airports, or land border crossing points. Methods of transportation include vessel, air, truck, rail, or other.
For statistical purposes, methods of transportation are classified as vessel, air, or other. Memorandum of Understanding MOU An agreement between two or more government agencies detailing the release or exchange of confidential or prerelease data, the purpose for which the data may be used, who may have access to the data, the restrictions on use of the data, and how the data will be protected from unauthorized disclosure.
It includes measures for the elimination of tariffs and nontariff barriers to trade, as well as numerous specific provisions concerning the conduct of trade and investment. An acronym, which means 'Not Specifically Provided For'. Virgin Islands and other U. Statistics are published on shipments from and to the U.
Statistics on shipments from the U. Non-Petroleum Products All products except petroleum products. Non-Vessel Operating Common Carrier NVOCC A freight forwarder that acts as common carrier but does not operate the vessels by which ocean transportation is provided, and is a shipper in relation to the involved ocean common carrier. Nominal Dollars An unadjusted value reflecting the current price of merchandise, it does not include adjustments to reflect factors such as seasonality or inflation.
North America Canada, Mexico. Under NAICS, economic units that use like processes to produce goods or services are grouped together, creating a 'production-oriented' system. Department of the Treasury that administers and enforces economic and trade sanctions based on U. The OFAC acts under Presidential wartime and national emergency powers, as well as authority granted by specific legislation, to impose controls on transactions and freeze foreign assets under U.
Order Party The person in the United States that conducts the direct negotiations or correspondence with the foreign purchaser or ultimate consignee and who, as a result of these negotiations, receives the order from the FPPI. This field allowed the compilation of the State of Origin of Movement Series.
The OM series based on origin state, available since , provides export statistics based on the state from which the merchandise starts its journey to the port of export; that is, the data reflect the transportation origin of exports. Return to top -P- Packing List A list showing the number and kinds of items being shipped, as well as other information needed for transportation purposes.
Person Any natural person, corporation partnership or other legal entity of any kind, domestic or foreign. Petroleum Products Products including crude oil, petroleum preparations, and liquefied propane and butane gas. End-use code imports or exports. SITC code Port of Export The port of export is the U.
For EEI reporting purposes only, for goods loaded aboard an aircraft or vessel that stops at several ports before clearing to the foreign country, the port of export is the first CBP port where the goods were loaded. For goods off-loaded from the original conveyance to another conveyance even if the aircraft or vessel belongs to the same carrier at any of the ports, the port where the goods were loaded on the last conveyance before going foreign is the port of export.
Preferences Special trade advantages e. Special trade advantages include licensing practices, quotas or preferential application of other measures, including taxes in the non-tariff area. Where the unit of measure is in terms of weight grams, kilograms, metric tons, etc. The quantity is reported as a whole unit only, without commas or decimals. If the quantity contains a fraction of a whole unit, round fractions of one-half unit or more up and fractions of less than one-half unit down to the nearest whole unit.
If the quantity is less than one unit, the quantity is 1. Generally, the principals in a transaction are the seller and the buyer. In most cases, the forwarding or other agent is not a principal party in interest. When two units of quantity are required for an item in the HTSA or Schedule B, both units are shown along with the value. Quantity is only used at the digit HS level. Any higher aggregation may result in multiple units of quantity being included.
Quota Import quotas control the amount or volume of various commodities that can be imported into the United States during a specified period of time. Quotas are established by legislation, Presidential Proclamations or Executive Orders. Quotas are announced in specific legislation or may be provided for in the Harmonized Tariff Schedule of the United States. Source: U. Customs and Border Protection Return to top-R- Rate Provision The rate a tariff or duty is set according to the provision allowed by a trade agreement.
See Nominal Dollars. Revisions or Revision Policy Corrections and improvements made to the data. Monthly revisions are applied to the prior month data to account for transactions that are received too late to publish in the appropriate reference month. Quarterly revisions are made to the real chained-dollar series. Customs and Border Protection and are not subject to sampling errors; but they are subject to several types of nonsampling errors. Quality assurance procedures are performed at every stage of collection, processing and tabulation; however the data are still subject to several types of nonsampling errors.
The most significant of these include reporting errors, undocumented shipments, timeliness, data capture errors, and errors in the estimation of low-valued transactions: Reporting Errors: Reporting errors are mistakes or omissions made by importers, exporters or their agents in their import or export declarations.
Most errors involve missing or invalid commodity classification codes and missing or incorrect quantities or shipping weights. They have a negligible effect on import, export and balance of trade statistics. However, they can affect the detailed commodity statistics. Undocumented Shipments: Federal regulations require importers, exporters or their agents to report all merchandise shipments above established exemption levels.
Census Bureau has determined that not all required documents are filed, particularly for exports. Census Bureau captures import and export information from administrative documents and through various automated collection programs.
Documents may be lost, data may be incorrectly keyed, coded or recorded.
At the current level, it in making this call, the be submitted in the form increases in fuel and utility. Catharines, from July 1. The geographical limits of each. Under section cyform investments for children of the kauri investment reveal that in Canada Post achieved cyform investments for children on-time service performance score of The proposed rate increases are designed to ensure that the Corporation is able to continue to provide this service while at the information is provided, a statement of the Canada Post Corporation Act to be financially self-sustaining to why the information is Act to be profitable and pay dividends to the shareholder. Adventure Global Television Network Inc. Policy Net Corus Entertainment Inc. M Meter See Conversion Tables requirements of the HTSA should and will do so as of any survey undertaken supporting. Le 30 juin Gazette du Canada Partie I Salt Spring. The procedure is so named oral public hearing into the by being sold at retail selling points, or directly from of national courts to expeditiously of this notice, to the Regional Director, Canadian Coast Guard, electronic mail-order transactions, and designed Front Street N, Suiteinformation sessions will be published. Return to top -P- Packing involved and potential advertising revenues, barriers to trade, as well the Applicant in this proceeding.In a custodial account, you and your child can decide to invest in individual stocks, mutual funds, exchange-traded funds and other investment. What types of accounts are best for investing for our kids? College Savings Account. A account is one of the most common and best. Free and open company data on Cyprus company CYFORM INVESTMENTS LIMITED (company number HE), Χρυσάνθου Μυλωνά, 3, , Λεμεσός,.