Chapter 4
The monitoring and compliance of windfarms
4.1
This chapter addresses issues relating to the current standards and
processes for monitoring and ensuring the ongoing compliance of wind farms in
Australia. The committee has received evidence from several stakeholders that:
-
the current standards to monitor noise and environmental impacts
are too lax;
-
even these insufficient standards are not adequately monitored or
properly enforced by the relevant authority in each jurisdiction;
-
the Clean Energy Regulator (CER) is potentially in breach of its
legislative requirements by awarding certificates to operators that are
operating contrary to their planning approval;
-
current monitoring and compliance frameworks in some state
jurisdictions place considerable pressure on the resources of local councils
and fail to utilise the expertise of State Environment Protection Authorities
(EPAs); and
-
there needs to be a better complaint handling mechanism.
Structure of the chapter
4.2
This chapter addresses the following issues:
-
the current standards for monitoring noise and environmental
impacts wind farms in Australia;
-
the current role of State Governments and local councils in
monitoring noise and environmental impacts from wind farms;
-
the view of local Councils on their monitoring responsibilities;
-
the view of State Governments and State EPAs on their monitoring
responsibilities;
-
wind farm operators' views on the adequacy of current monitoring
and compliance arrangements;
-
the role of—and the limitations on—the CER;
-
the need to ensure independent and competent monitoring of wind
farms;
-
the case for State EPAs to take prime responsibility for the
monitoring of wind farms;
-
a fee-for-service licencing system;
-
the case for greater transparency in the monitoring of wind
farms; and
-
the need for a complaints Ombudsman.
The committee's interim report recommends that there needs to
be substantive reform in the way that wind farms are monitored in all
Australian jurisdictions. These recommendations are in Box 4.1.
Box 4.1: Interim report
recommendations relating
to monitoring and compliance of wind farms
Recommendation 4
The
committee recommends that eligibility to receive Renewable Energy
Certificates should be made subject to general compliance with the National
Wind Farm Guidelines and specific compliance with the NEPM. This should
apply immediately to new developments, while existing and approved wind
farms should be given a period of no more than five years in which to
comply.
Recommendation 5
The
committee recommends that the Commonwealth Government establish a National
Wind Farm Ombudsman to handle complaints from concerned community
residents about the operations of wind turbine facilities accredited to
receive renewable energy certificates. The Ombudsman will be a
one-stop-shop to refer complaints to relevant state authorities and help
ensure that complaints are satisfactorily addressed.
Recommendation 6
The
committee recommends that the Commonwealth Government impose a levy on wind
turbine operators accredited to receive renewable energy certificates to
fund the costs of the Independent Expert Scientific Committee on
Industrial Sound—including the funding of additional research—and the
costs of a National Wind Farm Ombudsman.
Recommendation
7
The
committee recommends that the data collected by wind turbine operators
relating to wind speed, basic operation statistics including operating
hours and noise monitoring should be made freely and publicly available on
a regular basis. The proposed Independent Expert Scientific Committee
should consult with scientific researchers and the wind industry to
establish what data can be reasonably made freely and publicly available
from all wind turbine operations accredited to receive renewable energy
certificates.
Current noise monitoring standards and the need to monitor infrasound
4.3
Currently, State Government planning regulations require a noise monitoring
regime as part of wind farm development approvals.[1]
State Guidelines also set out these requirements at both approval and operation
stages.
4.4
The Victorian Government uses 'the New Zealand Standard' as the basis
for its noise monitoring of wind farm. The Victorian Government's 2015 Policy
and Planning Guidelines for Development of Wind Energy Facilities in Victoria
state:
A wind energy facility should comply with the noise limits
recommended for dwellings and other noise sensitive locations in the New
Zealand Standard NZS 6808:2010 Acoustics – Wind Farm Noise (the Standard). The
Standard specifies a general 40 decibel limit for wind farm sound levels, or
the sound should not exceed the background sound level by more than five
decibels, whichever is the greater. Under section 5.3 of the Standard, a ‘high
amenity noise limit’ of 35 decibels applies in special circumstances. All wind
farm applications must be assessed using section 5.3 of the Standard to
determine whether a high amenity noise limit is justified for specific
locations, following procedures outlined in clause C5.3.1 of the Standard. Compliance
with the higher standard can typically be achieved by a change in the location,
number of operating mode of the turbines. Planning permit conditions should
require post installation noise compliance to be monitored and demonstrated to
the satisfaction of the responsible authority...
Certification of a whether a wind energy facility complies
with the Standard and other applicable noise requirements must be undertaken by
an acoustic engineer. The wind energy facility operator must provide the
responsible authority with appropriate documentation signed by an independent, appropriately
qualified and experienced person. The certifier must be able to demonstrate to
the responsible authority appropriate independence, qualifications and
experience to carry out the task. Measurement and compliance assessment methods
are set out in the Standard.[2]
4.5
South Australia and New South Wales use a noise standard developed by
the South Australian Environment Protection Authority.[3]
The Queensland Government's draft wind farm code proposes a noise standard similar
to the South Australian EPA's standard.[4]
The 2009 South Australian EPA's Wind farms environmental noise guidelines
state:
The predicted equivalent noise level (LAeq,10), adjusted for
tonality in accordance with these guidelines, should not exceed:
-
35dB(A) at relevant receivers in
localities which are primarily intended for rural living, or
-
40dB(A) at relevant receivers in
localities in other zones, or
-
the background noise (LA90,10) by
more than 5dB(A),
whichever is the greater, at all relevant receivers for wind
speed from cut-in to rated power of the WTG and each integer wind speed in
between.
The background noise should be as determined by the data
collection and regression analysis procedure recommended under these guidelines
(Section 3). It should be read from the resultant graph at the relevant integer
wind speed. Compliance with the noise criteria should also be demonstrated for
the approved developments in the zone adjacent to the wind farm.[5]
4.6
The Queensland Government recently released a draft state wind farm code
(see chapter 3) which based noise limits on the South Australian EPA
Guidelines.[6]
The New South Wales Government has developed draft noise guidelines for wind
farms based on the South Australia guidelines and the New Zealand Standard:
In developing this guideline, consideration has been given to
guidelines developed for overseas jurisdictions as well as those used regularly
in Australia including the New Zealand and South Australian guidelines. In
particular this document closely follows methodologies and practices presented
in the 2009 South Australian document Wind farms - environmental noise guidelines
and Australian Standard AS4959 – 2010 Acoustics – Measurement, prediction and
assessment of noise from wind turbine generators.[7]
4.7
Dr Kim Forde argued in her submission that:
Monitoring on wind farms should be to the recognised
international standards. The New Zealand and South Australian standards, that
are commonly used, are recognised internationally as being of the highest
levels, and therefore should continue to be implemented. Any changes should be
justified based on valid research or evidence; or at least compared to one of
those two standards, to ensure that it is valid.[8]
4.8
However, the committee expresses its fundamental concern that the
current standards for monitoring wind farm noise in Australia are inadequate
and incomplete. There are two limbs to the argument. The first is that there
are concerns with the New Zealand Standard which many believe need to be
reviewed in light of Australian conditions and current wind turbine technology.
The second is that infrasound standards must be set and monitored.
Concerns with the New Zealand
Standard
4.9
The committee notes that there are mixed views as to the adequacy of the
New Zealand Standard. Acoustician Dr Bruce Rapley prepared a submission for the
committee titled 'Systemic Failure of a Noise Standard: A Case Study of
NZS6808:2010'. In the submission, he argued:
In its current form, NZS6808:2010 can in no way protect those
who live in standard New Zealand (or Australian) homes in close proximity to
industrial wind turbines (less than 10 km). Given also that many homes are
within less than 5 km of industrial wind turbines, it is easy to understand why
so many complaints of adverse health effects have been lodged. The same
situation is mirrored throughout the world, wherever industrial wind turbines
have been built in close proximity to dwellings.[9]
[T]he majority of the power in the acoustic spectrum is
concentrated towards the low end. The egregious error that NZS6808:2010 makes
is the assumption that this portion of low-frequency and infrasound has no
effect on human receivers. Nothing could be further from the truth, yet many
standards for wind turbine noise continue to perpetuate this myth.[10]
In comparison to environmental noise at similar sound
pressure levels, wind turbine emissions are more annoying and disturbing than
aircraft noise, road or rail traffic.[11]
4.10
Another eminent acoustician, Mr Les Huson cautioned against using the
standard of another country:
In Victoria reference is made to a New Zealand standard. The
problem with referring to a standard from a different country is that within
that standard it refers to legislation from another country. In my view, that
is fundamentally wrong because you cannot implement the requirement completely
because it is a different set of legislation. More fundamentally, the process
is based upon the ETSU-R-97 methodology from the UK. There are any number of
references that have shed significant doubt on its ability to protect people
from noise nuisance.[12]
4.11
Victorian witnesses pointed to the need to revise the New Zealand standard
given the new breed of larger turbines. Mr Tim Brew, for example, told the
committee: 'It is obvious that the New Zealand standards of the 1990s for
turbines a quarter of the size of the current ones are not working'.[13]
Mr Andrew Gabb argued that the New Zealand Standard was not protecting rural
residents and is now 'obsolete'.[14]
The Pyrenees Shire Council observed:
Most of the permits issued were prior to the 2011 period,
which included standards in the conditions and requirements to comply with the
New Zealand standard 6808, 1988, which does have a fairly limited scope and
direction on how to assess issues such as special aural characteristics. This
has created difficulties and issues for those responsible for enforcing the
permits and, in a lot of cases, in determining compliance in that marginal
range around the low 30s to 40 dBa noise contour.[15]
Infrasound
4.12
Chapter 2 discussed in some detail the issue of infrasound (measured
below 20 hertz) and the need for independent research into the effects of infrasound
from wind turbines on human health. It highlighted the significant findings of
acoustician Mr Steven Cooper at Cape Bridgewater.
4.13
This chapter highlights the absence of a standard on infrasound and the
need for this standard to be introduced if monitoring and compliance activities
are to be taken seriously.
4.14
The New Zealand Standard relates only to audible noise. As Mr Steven
Cooper told the committee:
...there is a wind turbine signature that is generated and that
the dBA level which appears in permits, conditions and guidelines-so the New
Zealand standard-do not cover infrasound and low-frequency noise.[16]
4.15
The South Australian EPA's Guidelines essentially dismiss the presence
of wind farm infrasound:
The EPA has consulted the working group and completed an
extensive literature search but is not aware of infrasound being present at any
modern wind farm site.[17]
4.16
However, the committee highlights a study published last year by
researchers from the University of Adelaide which showed that, in contrast to
the South Australian EPA's findings at the Waterloo wind farm[18]:
...there is a low frequency noise problem associated with the
Waterloo wind farm. Therefore, it is extremely important that further
investigation is carried out at this wind farm in order to determine the source
of the low frequency noise and to develop mitigation technologies. In addition,
further research is necessary to establish the long‐term effects of low frequency noise and
infrasound on the residents at Waterloo. This research should include health
monitoring and sleep studies with simultaneous noise and vibration
measurements.[19]
4.17
The inadequacy of a wind farm standard based on the New Zealand Standard
is well recognised. The Tarwin Valley Coastal Guardians, for example, wrote in
its submission:
The noise standard for BHWEF [Bald Hills Wind Energy Facility]
is still NZS 6808: 1998. The slightly updated but still deficient 2010 version
does not apply to the BHWEF permit. However, neither reiteration of NZS 6808
measures low frequency and infrasound. Both are constrained to the measurement
of audible sound – noise, and wholly inadequate to regulate the full spectrum of
WEF acoustic emissions. Their testing methodology for audible sound is flawed
and neither version addresses the pressing need to specify acoustic monitoring instrumentation.[20]
4.18
Similarly, Mrs Theresa Grima of Lidsdale in New South Wales wrote:
Not only is there an issue with noise that the NSW EPA
regulates but there is an issue with high levels of infrasound and low
frequency noise that the various regulatory authorities fail to measure, regulate,
and act upon to prevent serious harm to human and animal health. This needs to
be addressed to adequately protect the health of the communities.[21]
4.19
South Australian resident Ms Mary Morris also argued the need to monitor
infrasound:
Currently, low frequency noise is not measured, noise
monitoring results are not provided to affected residents, noise monitoring is
not a transparent, open and honest process.
A thorough review of audible and inaudible noise measurements
and monitoring relating to wind farms is long overdue and should be undertaken
immediately by experts independent of the industry to protect residents where
wind farms are planned.[22]
4.20
The committee has sought evidence on whether emissions in the range of
zero to 20 hertz can be monitored. Dr Geraldine McGuire drew the committee's
attention to the complexities of measuring the sound of wind farms:
In terms of monitoring, wind farms are complex. I have worked
in the mining and oil and gas industry for over 20 years and the monitoring
there is complex, but from what I am learning about wind farms it is even more
complex. It is not just about decibels; it is to do with how we measure the
infrasound. It is not just about distances away—because of mountains being the
shape they are and wind being the way it behaves, it is much more complicated
than just how far away you are from the wind farms. It is really a lot to do
with the shape of the mountains and your proximity to that particular aspect.[23]
4.21
Acoustician Mr Geoff McPherson told the committee that there are
techniques available to conduct this monitoring. The committee asked whether
the equipment required would be expensive, to which he responded:
I think you pay for what you get. That equipment is
available. The expertise is available, particularly in southern Australia. I do
not think you should be looking too closely within Queensland for that...[24]
4.22
The committee draws attention to the following comment and recommendation
of New Zealand psychoacoustician Dr Daniel Shepherd:
A handicap of current noise standards, including the New
Zealand standard (NZS6808R, 2010) which is used in some Australian states, is
the use of the dBA metric. Zwicker (1999), a recognised global authority on
noise measurement and noise abatement, questions the “enthronement” (p. 66) of
the dBA scale in noise measurement practice. He demonstrates that, frequently,
dBA measures are of no intrinsic use, and can produce misleading measurements.
He also warns against the exclusive use of physical sound measures such as dBA
in noise control situations.
Current noise standards relying upon dBA measures, such as
NZS6808R, are not fit for purpose and should not be utilised. Instead,
Australia should embrace the opportunity to produce a gold standard set of
guidelines that are in line with modern research.[25]
4.23
Chapter 6 of this report makes a recommendation along these lines.
The role of State Governments and local
councils in monitoring wind farms
4.24
As with planning arrangements, there are various State-based
arrangements for monitoring and ensuring the compliance of wind farms.
-
In Victoria, the State Environment Protection Authority is not
permitted to monitor wind turbine noise. This responsibility rests with local councils
although the State Government is the decision-maker where there is evidence of
a breach of compliance conditions. The State Government is responsible for
front-end planning matters including issuing permits for new wind farms (see
chapter 3).
-
In South Australia, the State EPA regulates wind farms under the
general protection duty in section 25 of the South Australian Environment
Protection Act 1993. There is no licencing system in South Australia
although every wind farm in the State has had a noise impact assessment
undertaken at pre- and post-construction phases by independent acoustic
consultants. In 2013, the State EPA conducted an extensive study at the
Waterloo wind farm in response to complaints from concerned residents.
-
In Queensland, the councils are currently responsible for
monitoring and compliance although it is not clear whether this situation will
remain under the State's new wind farm regime.[26]
In certain cases, the monitoring role has been left to an agreement between the
council and the company with the company conducting the monitoring (see below).
-
The New South Wales Government decided in 2013 to transfer
responsibility for regulating large-scale wind farms from local councils to the
State EPA. The State's wind farms have been brought within the EPA's
established environmental protection licencing regime. The main environmental
issue that the NSW EPA regulates via a wind farm licence is operational noise.
However, the licence may also address other environmental issues during the
construction phase, such as construction noise, dust and sedimentation.[27]
Chapter 6 of this report discusses these arrangements in more detail and
recommends that all State Governments consider implementing a licencing system
to regulate wind farms.
The view of local Councils on current monitoring arrangements
4.25
The committee has received evidence from various local councils
commenting on their monitoring and compliance responsibilities. The Municipal
Association of Victoria (MAV) emphasised the impost that these responsibilities
currently have on its members' precious resources:
Councils have reported that they are receiving noise
complaints under the Planning and Environment Act and noise-related nuisance
complaints under the Public Health and Wellbeing Act. Compliance with the
planning permit is determined by assessing applications against the planning
permit conditions and the relevant noise standards.
...Over the past few years it has become clear that community
confidence in the assessment of noise compliance is a principal concern for
councils. Currently councils are largely responsible for undertaking this task
despite its being well beyond the expertise provided by the functions of local
government. A council is required to engage an acoustic engineer to peer review
noise reports at a financial cost ranging from $8,000 to $10,000 per
assessment.[28]
4.26
One of the MAV's members, the Moorabool Shire Council, emphasised that
council revenue from rates is inadequate for councils to monitor wind farm operations.
The Council stated:
The wind energy operators claim that the rate income (or
income in lieu of rates) generated for each tower is adequate compensation for
Councils that will incur additional costs. The costs for MSC in attracting and
retaining staff who are qualified and skilled in town planning interpretation,
noise monitoring of noise data and scientific analysis is estimated to cost
$200,000 in year one alone. With the addition of assets repairs mentioned
above, the rate income is estimated to be a small proportion of the costs
incurred by Council.[29]
4.27
The Glenelg Shire Council highlighted the difficulties inherent in current
arrangements whereby the local councils have responsibility for compliance and
monitoring, but the State Government—inexperienced in compliance—is the
decision-maker. In response to a question on notice, the Shire stated:
Undertaking the ongoing enforcement of wind farm permits is problematic
for Council where the decision is made by State Government. The decision makers
are unlikely to have had any significant experience in ongoing operational
compliance of wind farms. In this scenario there is low confidence in
compliance of the wind farm being achievable. Further if the rules changed,
this would need to consider how existing wind farm permits would be impacted.
For example if new rules found the $1 billion Macarthur Wind Farm (in Moyne
Shire Council) non-compliant, would there seriously be an expectation that a
small rural Council be taking legal action to shut down such a major private
investment? In Council's submission it was stated that having national
guidelines would assist Councils in both monitoring and addressing complaints against
state legislation. This will provide consistency for industry, residents and responsible
authorities in developing and operating wind energy facilities.[30]
4.28
The Regional Council of Goyder explained that while the South Australian
EPA has the lead role in monitoring and compliance, the council has requested
the EPA's involvement where specific complaints have been made:
As far as the enforcement goes, that is basically left to the
EPA in South Australia, which—perhaps I should not say it here—seems to me to
be fairly poorly funded. I would like to see a lot more monitoring of noise
levels at specific points. We have strips of wind farms that run along three
adjoining ranges. It would certainly be very interesting to have a lot more
monitoring of the noise levels between those wind farms. It is left to the EPA.
If we have a problem then we ask them to put a monitoring device in there to
try to get some sort of idea as to whether or not the noise levels are being
exceeded.[31]
4.29
The Council of Goyder added:
What I would like to see...is that where there are persistent
complaints about noise there should be a full-time monitoring arrangement,
probably financed by the owners themselves, and where noise exceeds a certain
level in certain conditions, then those turbines should be shutdown for a
period of time. They do not like that idea, but it is a cheaper way than
actually removing or shifting the turbines altogether.[32]
4.30
The Tablelands Regional Council (TRC) in far north Queensland expressed
its frustration at the current situation with compliance and monitoring
arrangements in the State:
...one of the real concerns we have is about the monitoring and
compliance conditions. We know, from our Windy Hill experience, which cost far
more than any little council can pay, that the flow-on effect from that is
that, if we cannot take them on, how can the residents?
We have complainant residents, which is why Tablelands
Regional Council set about its task of trying to make them comply. All of the
business you heard about 'We've done so much testing,' is a nonsense. The first
testing which we required after the complaints in 2011, when RATCH bought the
property—they did six hours of testing. They were supposed to test over a
three-month period. Our council said, 'That's not good enough. Do it properly.'
In the end, we had to go to the Planning and Environment Court, hundreds of
thousands of dollars later.[33]
4.31
The TRC argued that local councils could and should do monitoring and
compliance work but that they need to be properly resourced to do so:
...you heard Mr Chemello [the Queensland Government] say he has
no acousticians and no experts—just a planning department doing all this
important noise stuff. Councils can do that but they have to be funded to do
it, and what needs to happen is there needs to be security for costs in the
approvals process, so that councils can properly monitor. We hear yet again
that this monitoring is probably going to be in the hands of the developer. We
saw what happened there with Windy Hill: it does not work. We need proper
funding to enable us to do it.[34]
4.32
The MAV told the committee that its discussions with the State
Government has been through a Working Group:
The working group is made up of two layers. There is the CEOs
and mayors group, which is focused primarily around advocacy—the arrangement
that we have brokered with the Environmental Protection Authority came from
that group—and there is a wind farm officers group, which is really focusing on
providing a networking opportunity for officers who are dealing with assessing
applications under the previous regime but also dealing with monitoring and
compliance issues.[35]
4.33
The committee's interim report flagged the committee's interest in these
discussions and in particular, MAV's proposal of a fee for service licencing
system. This issue is covered later in this chapter and again in chapter 6.
State Governments' views on current monitoring arrangements
4.34
The Queensland Government noted that it was yet to develop a system to monitor
compliance for infrasound. Mr Greg Chemello of the State Department of Local
Government and Planning told the committee:
If we get the state-wide system and the state-wide code, one
of the advantages of that is when research gets to the point where we have the
evidence, which I think we talked about earlier on—that is, where we have got a
much better way of measuring and dealing with it—we can then change that code
relatively quickly and then all development approvals need to comply with that
code.[36]
4.35
The Queensland Government told the committee that in terms of the
process for monitoring the soon-to-be-developed Mount Emerald wind farm:
We still have to work that through. That is a process where
they (RATCH Australia) have to do a report and we need to agree with them on
the process of monitoring. I think it gets back a little bit to the issue that
you were talking about earlier on—the frequency of monitoring. That has not
been specified in the development decision. That is a matter that we will need
to agree, 'we' as in the chief executive of my department, who is the planning
entity for SARA. The report needs to be done to the satisfaction of our chief
executive and those sorts of arrangements should be worked out through that. It
may well be a monitoring process of, every year or two or three, looking at
what we have done. In some instances, not wind farms, we have used a scale-back
monitoring process: you start monitoring more intensively and then, as the
years go by, if there are no issues you scale back on the frequency of the
monitoring.[37]
4.36
The Victorian Government noted in its submission that it has improved
its monitoring and compliance framework as part of the recent updating of wind
farm guidelines.[38]
It explained that:
Some older permits for wind farms do not have the ability to
compel operators to undertake further testing. In these instances further
acoustic testing could be undertaken by the council if warranted to address
specific issues or concerns.[39]
4.37
The South Australian EPA told the committee:
...we regulate wind farms under the South Australian
Environment Protection Act, under the general duty provisions in section 25. We
use this provision because wind farms are not licensed in South Australia. So
our involvement is limited to the technical aspects, particularly around noise.[40]
4.38
While acknowledging that infrasound is emitted from wind turbines, the
South Australian EPA argued that based on NHMRC advice, it is not emitted at
levels that can harm human health and that should be regulated. It added:
One of the challenges—and I would be interested to see
research in this area—is whether there might be some sort of impact from
infrasound below perception levels. With infrasound, the lower the frequency,
the harder it is to perceive, and it is generally accepted that you cannot
perceive infrasound until 85 dBG, which is the range we tend to use. The levels
we are finding near wind farms are much, much lower than that; they are in the
order of 30 dBG. So it would be of interest if people did research in that
area.[41]
Residents' view of monitoring and compliance
4.39
The committee stated in its interim report that 'it is dissatisfied with
the current monitoring and compliance processes which it considers to be a
patchwork and which have caused considerable community angst and frustration'.[42]
The committee has received many submissions from the residents of nearby wind
turbines complaining of the lack of adequate monitoring and compliance and the
incapacity of local councils to perform the role. It suggests that there is an
overwhelming lack of confidence within communities in how wind farms are
required to comply and, therefore, in the findings and transparency of
compliance reports.
4.40
The following extract, from Ms Anne Gardner, an adjoining landholder at
the Macarthur wind farm, gives a sense of the agitation and distress that poor
compliance processes have caused:
Monitoring and Compliance governance of wind farms in
Victoria has been, and still is AN ABSOLUTE SHAMBLES. No doubt the previous
Minister for Planning Matthew Guy wanted to rid himself of this onerous
responsibility, so he hand balled it over to local Shire Councils, which DO NOT
HAVE THE KNOWLEDGE, EXPERTISE nor the FINANCIAL CAPACITY to handle such complex
responsibilities, particularly as they involve people's health and wellbeing,
apart from other issues. We all thought our own Moyne Shire would have
responsibly represented our best interests. However, not to be......[43]
4.41
Mr Donald Thomas, an adjoining landholder at the Waubra wind farm, also
complained of the complete inadequacy of efforts to monitor the wind farm
operator's compliance:
The noise monitoring was not done in accordance with the New Zealand
Standard NZS 6808:1998. The installation of the equipment was not done by a qualified
person. No specification of the equipment was provided. The equipment was not placed
within the specified NZ Standard area. The timeframe was inadequate. It should have
been there for a week, but was taken away after a few days. Testing should be
done under similar conditions to the period of which complaints were made. No
background noise data was collected. The Waubra Wind Farm staff members
insisted noise compliance obligations had been met. At this meeting I requested
that these 2 staff members showed where the test results showed compliance.
They could not and conceded that the test results did not show compliance but
in their view did not show non-compliance.[44]
Box 4.2: The Victorian State
Government's failure
to enforce compliance of the Waubra wind farm
The Victorian State
Planning Minister was informed by his department that the Waubra wind farm
was non-compliant with noise limits as early as 2010. However, the former
minister failed to officially determine non-compliance. Additionally, the
Minister avoided the compliance pathway specified in the planning permit
and instead negotiated with the operator for several years about the
development of a new Special Audible Characteristic (SAC) testing
methodology. This methodology was neither compatible with, nor executed in accordance
with, the applicable New Zealand standard—6808:1998.
These matters
were described in detail by Mrs Samantha Stepnell (submission 470):
We were deeply
concerned that Minister Guy justified his acceptance of Acciona's
controversial, 'subjective' testing methodology by relying on advice from
an unauthorised, unpublished draft document which he improperly refers to
as "the EPA guidelines".
We are aware that
the incomplete draft was being prepared in close collaboration with DPCD
(Department of Planning and Community Development). We told Mr [Paul]
Jarman that in its flawed draft form, the draft document was not approved
for publication by the EPA and that the SAC methodology Minister Guy had
agreed to was never endorsed by the EPA. It is incorrect for the department
to have suggested otherwise.
At any rate,
Section 10 of the draft wind farm policy for the assessment of SACs refers
exclusively to developments bound by NZS 6808:2010. The Waubra Wind Farm
permits provide that compliance must be assessed in accordance with
NZ6808:1998. Even if the DPCD/EPA’s unpublished draft wind farm guideline
was a credible resource, the methodology proposed for the assessment of
SACs (that EPA was not prepared to publish), could not retrospectively
apply to the assessment of noise at Waubra Wind Farm.
Further, acoustic
experts, the EPA and officers of the Victorian Planning department had
already made a number of site inspections of the Waubra Wind Farm. DPCD had
raised concern about the ‘likely presence of SACs at some properties,’
(including ours), recognising a number of possible causes including
mechanical noise, tonal noise and Amplitude Modulation. I told Mr Jarman
that his department’s many observations indicated that subjective
assessment had already occurred – and on multiple occasions. Moreover, the
draft guidelines that the Minister relied upon to approve Acciona’s SAC
methodology reaffirmed that where SACs have been identified the noise
standard requires a 5 dBA penalty and 35 dBA limit.
I noted that in BMIN011632
the Minister received expert advice that acknowledged presence of SACs:
‘the department considers that operating the wind farm in noise management
mode will not enable the facility to meet the applicable 35dBA limit.’
Non-compliance at
Waubra Wind Farm was found in 2010, confirmed again in 2011 and at the
advice of DPCD commissioned acoustic experts, even in the unlikely event
that Acciona was to operate the facility in a noise optimised mode, the
department didn’t expect that would enable the wind farm to meet compliance
with the appropriate standard.
Condition 16 of
the permits specifies that on-off shut down testing and decommissioning
should have been the next logical, necessary steps along the compliance
pathway. We remain perplexed as to why the Minister and his department
spent the last several years avoiding the enforcement of the permit and
failing to officially determine the known non-compliance. Without
intervention, the Minister allowed Acciona to continue to operate the power
station in excess of the prescribed noise standard, outside compliance to
the detriment of the community it continues to harm. Minister Guy approved
Acciona’s SAC testing methodology which was totally at odds with all the
advice he had ever received about SACs at Waubra Wind Farm.
The
committee has learned that the current Victorian Planning Minister recently
declared that the Waubra wind farm is compliant with noise limits. His
determination relied upon the SAC testing methodology as described.
4.42
Similar concerns were expressed by Mr Crispin Trist, a local resident in
close proximity to the Cape Bridgewater wind farm. In his submission, Mr Trist
referred to an acoustic assessment report which identified non-compliance at
his property. These memos identified non-compliance at several Cape Bridgewater
properties on multiple occasions throughout the noise monitoring period.[45]
Box 4.3: When is a 'compliant' wind
operator not compliant?
In his
submission, Mr Crispin Trist provided a copy of Marshall Day's noise
monitoring memo (dated 31 July 2009) showing non-compliance of Pacific
Hydro's Cape Bridgewater wind farm.
In relation to House 63 (Antil) of the Cape Bridgewater wind farm as measured
between 29 May 2009 and 12 June 2009, the memo stated:
The NZ6808 limits
are significantly exceeded for the wind speed range 5–11m/s. (Submission 251,
p. 3)
However, Pacific
Hydro has provided the committee with a copy of Marshall Day Acoustics' 'Cape
Bridgewater Wind Farm Post-construction Noise Compliance Assessment' report
dated 23 July 2010. This report concluded:
It
was found that noise emissions from the Cape Bridgewater Wind Farm comply
with the NZS6808:1998 noise limits at Houses 1, 2, 46, 54, 63 and 70 at all
assessed wind speeds. (p. 22)
This is an example that shows how the compliance process can be easily
manipulated by operators and the acousticians they pay to get the report
they want. It is directly contrary to the evidence of Mr Oliver Yates of
the Clean Energy Finance Corporation at a Senate Estimates hearing on 25
February 2015 (pp 60–61):
Senator MADIGAN: Recent acoustic
investigation undertaken at stage 2 of Pacific Hydro's Portland project
revealed a correlation or a trend between the occurrence of specific
infrasound frequency that occurred at various phases of operation at the
Cape Bridgewater power generation facility and the residents' reports of
adverse sensation and health effects. This could have ramifications under
the Public Health and Wellbeing Act 2008. If so, would the facility be in
breach of conditions relating to its financial arrangements and contractual
obligations with the CEFC?
Mr Yates: All projects are
required to comply with the law. Currently it is dependent upon whatever
planning permits or requirements are there at that site. If the project
fails to meet its compliance obligations, there is typically a right of
termination of the funding requirements under the facilities. We do expect
people who are borrowing from any financial institution—it is common,
whether you are public or private—to use the money in a way which is used
for lawful purposes and, if it is not used for lawful purposes, it is
unlikely that the money would be available for very long; it would
typically be an event of default.
Senator MADIGAN: Did the CEFC make
sure that it had appropriate evidence to satisfy that Portland Wind Energy
Project's earlier wind farms had met all conditions of planning permit and
approval requirements before providing the $70 million in debt financing to
Pacific Hydro for the refinancing of these stages and stage 4? Whose money
is at risk here if these projects have not met their planning permit
conditions?
Mr Yates: In relation to the
first question, there is an extensive due diligence process that we go
through. Obviously, every lender does that, because you do not want to lend
to a project which is in default. That relies upon detailed legal due
diligence and specialist due diligence in relation to any project that we
lend to....
Mr Yates: We require
external law opinions as well, from external law counsel, who will actually
go through and check to make sure that any of those items or
representations that the company has made are actually legitimate.
Obviously, you do expect companies to make valid representations, but it is
not for us to take those representations without due inquiry, to check the
validity of whether those representations are actually true.
Later in his testimony, Mr Yates admits that there is a problem:
Senator MADIGAN: This is my final
question, Chair: the other day I asked a question of the Clean Energy
Regulator. I asked whether they have an unambiguous statement from the
Victorian Minister for Planning as to whether the facility was compliant or
non-compliant, and they said they have neither.
Mr
Yates: Yes.
Senator MADIGAN: They have neither;
so, in fact, it is in the demilitarised zone—no-man's land. It is neither
compliant nor non-compliant. But you lend money on a thing that they have
told me is neither compliant nor non-compliant. There is not a definitive
statement as to compliance.
Mr Yates: I think the
question goes to legality. The project is legally entitled to operate. I
agree with you: it is a ridiculous world where people cannot get clarity in
relation to this. This is a planning failure, in my view, and a minister, a
government or a responsible entity need to actually draw a line and say
whether it is compliant or non-compliant. (Senate Economics Legislation
Committee, 25 February 2015, pp61–62)
4.43
Mr Colin Walken, an adjoining landholder at the Windy Hill wind farm in
far north Queensland, sought for years to have the operator—Stanwell—meet
compliance. As he wrote in his submission:
I have been seeking the assistance of council to enforce
compliance of the various operators since 2000. Some 12 years later I continue
to suffer; my mental health continues to deteriorate; my living circumstances
become less and less bearable as time passes. It is wholly unreasonable to
expect a constituent to suffer as I have for 12 years without any or any
adequate steps being taken by the council or its predecessor. Council will be
aware that the former operator, Stanwell, admitted in 2001 they were non
compliant. Stanwell did noise monitoring in 2003. Again in 2007 they
acknowledged that the turbines were non-compliant (according to the noise
monitoring done in 2003). However, they did not supply me with the data.
Consequential upon their admitted non-compliance, Stanwell paid me $4000 in
2007 to insulate the roof, which had little to no effect. That was prior to the
sale of the wind turbine facility to Transfield Services, and then to the
current operators. No remedial steps have been taken by the latter.[46]
4.44
Mr Roger Kruse noted in his submission that he and his wife had requested
that Energy Australia, the Waterloo wind farm operator, conduct noise
monitoring at their property. While the company obliged, Mr Kruse questioned
whether the acoustic report's findings showed compliance:
Data was apparently not collected for the first 2 months due
to equipment failure. This was unfortunate as the windfarm was very noisy on
the days that we were home. I have attached the report from Marshall Day
Acoustics entitled Waterloo Wind Farm – Kruse Monitoring. I find it interesting
that the noise levels can be above 40dB, but the line of best fit is below 40dB
(pg11, Marshall Day Acoustics Rp 006 2010277ML). To me this means that the
windfarm can be noisy at times, but it is still within the EPA guidelines. It makes
me wonder about the EPA guidelines. Are the EPA guidelines reasonable,
especially given that there was no distinction between night and day noise in
this report?[47]
4.45
Mr and Mrs John and Sue Dean, adjacent landholders to the Moorabool wind
farm, identified a range of concerns with the planning and compliance process,
including the equipment used to conduct the noise assessments and the absence
of field surveys in the flora and fauna assessments:
Compliance of the proposed Moorabool windfarm is in serious
doubt. Reports submitted to the Hearing were inaccurate and faulty, had been
conducted under very brief or inappropriate periods and tailored to meet the
developers requirements.
The equipment used to measure sound was not supposed to be
used below 30dB (manufacturers specifications), the monitoring equipment was
not calibrated as required by the New Zealand Standard referred to by the
Victoria Planning Guideline and no confirmation was provided to confirm the
loggers were not outside the calibration/verification use by date.
...
Shadow flicker reports were questionable. This report was
peer reviewed resulting in contradictions to the number of shadow hours for
neighbouring properties. In some cases the shadow hours were identified as
exceeding the allowable.
The fact that these studies were not sufficient will place a
huge reliance on the council to ensure compliance in all areas is met. We very
much doubt they will have the resources or capabilities to do so. It also
brings into question the application of and integrity of the national wind farm
guidelines. Our experience has been that the windfarm developers select the
parts of the guidelines they wish to adhere to and discard the rest.[48]
4.46
Some residents have taken matters into their own hands, conducting their
own monitoring. In New South Wales, Residents against Jupiter Wind Turbines
was established in the Tarago area to oppose the Jupiter wind farm. Mr Mark
Tomlinson described the group's efforts to monitor background noise:
A subcommittee was formed, now known as the noise committee,
and members of this committee are tasked with investigating various aspects of
wind turbine noise. Some of these areas are noise propagation and the effects
of topography and geographical spread, the relationship between multiple
turbines and wind shear relating to international standards—just to mention a
few.
My role as a member of the noise committee is to investigate
the background noise monitoring process as outlined in the various wind farm
guidelines used in New South Wales. This role involves monitoring equipment
set-up, data collection, data analysis and preliminary findings reports. This
has also led into the investigation into wind turbine infrasound. The committee
purchased industry standard class 1 noise monitoring equipment and use the
current New South Wales draft wind farm guidelines and the 2003 South Australia
wind farm guidelines as guiding documents, as used by the Department of
Planning and Infrastructure.
In January 2015, we commenced a monitoring program to ascertain
the ambient environmental background noise at six properties around the
proposed wind farm. We have currently completed five and, as a result, have
discovered numerous deficiencies within the guidelines used for wind farm
approvals. The major deficiencies include removal of extraneous noise; wind
over microphone; position of monitoring equipment; checks and balances as to
the accuracy of noise monitoring reports submitted by developer-paid
acousticians; ongoing compliance monitoring; and others listed in our
submission...
We believe the current wind farm guidelines are in no way
adequate and must be amended as a matter of urgency.[49]
The view of wind companies on monitoring and compliance
4.47
Unsurprisingly, wind farm companies themselves have no quarrel with
current monitoring and compliance arrangements of their operations. Trustpower
told the committee:
...we believe that wind farms in Australia are governed by
well-established robust compliance requirements—and some states are amongst the
most stringent in the world—and that the monitoring and governance arrangements
currently in place are adequate.[50]
4.48
Trustpower explained to the committee that it conducts its own
monitoring:
Part of the conditions of approval at our Snowtown Wind
Farm—again, I can talk from our South Australian or Australian experience—is
that we have ongoing monitoring, some of it actually voluntarily and not
necessarily strictly according to planning approval conditions. We do annual
surveys of, for example, wedge-tailed eagle breeding sites and mortality. There
is an obligation to report on any mortality findings.[51]
4.49
AGL recognised that where turbines had not been compliant, they were
stopped until a solution was found. Generally, however, it emphasised that the
results showed its compliance with noise monitoring standards:
...over 40,000 hours of noise monitoring was conducted at AGL’s
Macarthur Wind Farm with the results demonstrating the compliance of the
project with the acoustic requirements of the Planning Permit. In the event of
exceedance of limits, the developer is obliged to make good and retest. AGL has
in the past restricted turbine usage at another project with underperforming
turbines until a solution was sourced and retesting conducted. In addition to
regulatory noise monitoring, AGL also undertook a voluntary investigation into
the infrasound levels at the Macarthur Wind Farm (with results released in
2013) to further alleviate community concerns around noise. The research
measured infrasound and low frequency noise at residences located 2.7 and 1.8
kilometres from the nearest turbine before any turbines were operating, when
approximately 105 of 140 turbines were operating and when all 140 turbines were
operating. This research demonstrates that there was no measurable change in
the infrasound levels measured before and after construction of the Macarthur
Wind Farm.[52]
4.50
Infigen drew the committee's attention to monitoring in New South Wales:
In NSW, the Government decided to conduct an additional
follow up noise audit of their wind farms in 2012 despite all of their wind
farms successfully passing noise compliance audits undertaken just after each
wind farm was commissioned. The NSW Government chose an independent acoustic
engineer who had appeared on behalf of wind farm opponents in two environment
court cases to conduct the audits. After the additional noise audit was
completed and the data analysed, all three wind farms, including two operated
by Infigen Energy, were found to be compliant with their noise criteria.[53]
4.51
The committee finds the evidence of wind farm operators on their
fulfilment of monitoring requirements entirely unconvincing and notes that wind
farm operators do not have the authority to comment on noise compliance audits
which are not their own.
The Clean Energy Regulator and its legislative requirements
4.52
The terms of reference of this inquiry ask how effective the Clean
Energy Regulator (CER) is in performing its legislative responsibilities. Submitters
and witnesses to this inquiry have expressed strong concerns about the need for
the federal government to give the CER increased powers to suspend a wind
operator's accreditation and penalise the company for breaching its approval
conditions. The committee share these concerns.
4.53
The CER oversees the operation of the Renewable Energy Target. Part 2 of
the Renewable Energy (Electricity) Act 2000 (REE Act) sets out the CER's
functions and powers. The CER has responsibility for accrediting power stations
as part of the RET scheme, which enables power stations to receive certificates.
The CER does have powers (Part 2, Division 8, section 30) to suspend
accreditation if a power station is not operating in accordance with a planning
approval.
4.54
In its submission to this inquiry, the CER explained how it administers
the law:
...the Regulator accredits power stations that meet the
eligibility requirements set out in the REE Act and the REE Regulations. It
monitors and facilitates compliance with that legislation, primarily by
conducting its own investigations and working with relevant Commonwealth, State
and Territory authorities where appropriate (including the police). The Regulator
has always exercised, and will continue to exercise, its monitoring and
enforcement powers in accordance with the relevant legislation and Australian
Government Investigations Standards. The agency has assembled a team of
appropriately qualified and experienced investigators to whom all allegations
of breaches of administered legislation are referred.[54]
... Where the Regulator has any potential concerns over the
creation of certificates [Renewable Energy Certificates (REC)], it may
undertake on site monitoring visits. As stated earlier, any such visits are not
for the purpose of assessing other jurisdictions’ approval conditions.[55]
A reactive regulator dependent on
state authorities' monitoring systems
4.55
The CER is not a proactive investigator. It is not responsible for
conducting compliance and it does not independently assess specific compliance
with the conditions in planning approvals.[56]
Rather the CER is reliant on approval from the relevant state authorities that
a wind farm operator is compliant. In the case of Queensland, for example, the
wind farm company would reach an agreement with the State Department of
Infrastructure and Planning in terms of the frequency of monitoring.[57]
It is the obligation of the company to conduct the monitor and produce reports
to the State Government. There are penalties if the company breaches the
conditions of the development approval.[58]
4.56
The Regulator's own submission gave the example of the appeal against
the Gullen Range wind farm in New South Wales. The Planning Assessment
Commission (PAC) in NSW issued a draft order to the operator (New Gullen Range
Wind Farm Pty Ltd) requiring that it show cause why nine turbines should not be
relocated to the originally-approved location or removed. The operators then
commenced ‘Class 4 Proceedings’ in the Land and Environment Court (NSW)
challenging the PAC determination. Despite the finding of the PAC, the CER
states that:
...it cannot be reasonably satisfied that a contravention of
the law is occurring. The Clean Energy Regulator has had regard to a number of
matters in coming to its preliminary conclusion, including:
- there is a genuine dispute as to
whether the turbines are in unapproved locations and what constitutes ‘minor’
movement;
-
the NSW Department has not
progressed to issuing a final order;
-
the PAC determination was only in
relation to a modification of planning approval, rather than a finding of
non-compliance with the original planning approval;
-
there has been no admission of any
contravention of the law by the operators of the power station; and
-
the matter is currently before the
Land and Environment Court in what appears to be a genuine, rather than
frivolous dispute.
The Regulator continues to monitor the matter and will, if
new evidence or information comes to light, further consider exercising the
power to suspend accreditation.[59]
4.57
This 'wait and see' approach seems entirely inadequate. The committee is
aware that the regulator believes it is constrained in its capacity and possibly
its willingness to suspend the accreditation of a wind farm operator. It can only
impose a penalty once non-compliance is established. At that point, the
operator adjusts its behaviour, become compliant and a penalty can no longer be
applied. The CER needs to have the ability to retrospectively say, 'You have
done something wrong and you are going to pay a penalty'.
4.58
Some submitters expressed their disappointment at the lack of assistance
provided to the CER in cases where an operator had breached approval
conditions. Put simply, how can the CER perform its role effectively when there
is inadequate monitoring and compliance of approval conditions? Dr Robert
Thorne wrote in his submission: '[T]o the best of my knowledge, no wind farm in
Victoria or South Australia employs continuous monitoring to ensure compliance
with planning approval conditions'. He gave the example of the Cape Bridgewater
wind farm operated by Pacific Hydro:
The Cape Bridgewater approval conditions issued by the
Council (Glenelg Planning Scheme 2004) has...conditions [that] are subject to the
“satisfaction of the Minister for Planning” and apply to four wind farms.
I am advised by residents who have sourced all the approval
documents from Glenelg Shire Council that there is no “satisfaction” document
from the Minister and there is no formal complaint process as required by the
conditions. I have reviewed the approval documents and cannot see any document
that establishes acceptable noise limits for the wind farms.
In my view, therefore, the following outcomes follow:
-
The wind farm operator cannot say
the wind farm is in compliance with its approval conditions relating to noise
as no approval conditions exist in fact.
-
Therefore a compliance certificate
cannot be given to the Clean Energy Regulator.
-
Therefore the power station cannot
be accredited.
Consequently the failure of the authorities responsible for
checking compliance with planning approvals have failed in this statutory duty
and have failed the duty of care that they owe to the affected residents.
Further the planning authorities including the Minister have failed in their
duty of care to the Clean Energy Regulator.[60]
4.59
The committee received evidence on the need for the federal government
to act to correct the passivity of the CER. Mr Bryan Lyons of Wind Energy
Queensland told the committee:
Given the problems created by the federal legislation, on any
'fair go' argument the federal government must bear the responsibility to fix
it. The system that must be set up for the protection of the Australian
citizens and interests must cover at least the following: accreditation
approvals with adequate conditions to protect ordinary Australian citizens such
as the Walkdens and the Newmans; adequate, competent, independent, regular
monitoring and testing of compliance at the cost of the operator; effective
enforcement of compliance at the cost of the operator, including removal of the
subsidy by removing accreditation for serious or repeated breaches of
conditions; adequate and effective conditions for removal of the wind turbines
at the end of their economic life; and reinstatement of the land at the cost of
the operator.[61]
4.60
Even the CER indicated that improvements could be made to the compliance
process:
...the Select Committee might consider whether the Regulator’s
current legislative tools could be enhanced to ensure that only compliant
activity is rewarded, and that economic disincentives are commensurate with any
contravention.[62]
4.61
One suggestion, for a national wind farm noise regulator, was flagged by
Wind Industry Reform Victoria (WIRV). As it told the committee:
There is a school of thought that they become the national
turbine noise police and be clearly instructed to issue RECs only to those wind
facilities which are on a very regular basis shown by their testing and
auditing to be compliant. That would be a noise policeman with real teeth and a
big improvement. It should also be a reference point for the Clean Energy
Finance Corporation's lending activities. If not the CER then let there be a
stand-alone national noise policeman, which must be referred to before RECs or
loans are issued.[63]
4.62
WIRV described as 'highly significant' that the Australian Wind Alliance
is now advocating improved monitoring and compliance regimes. It stated:
It is critical that monitoring and compliance of wind farms
is robust and responsive to community concerns.
Compliance of wind farms with applicable regulations is in
many cases devolved to the local council level, who are often under resourced
and lack the appropriate skill base to execute this work properly.
Postconstruction noise monitoring is generally done by
acoustic consultants retained by the developer. Submission 111 to this Inquiry
from Glenelg Shire Council has suggested that postconstruction and ongoing
monitoring work be done at arms’ length from developers.
AWA sees merit in this idea and would welcome it as a way to
increase the community’s trust in the process.[64]
The need to ensure independent and competent
monitoring of wind farms
4.63
In addition to setting appropriate compliance standards, an important
theme of this inquiry has been the need for wind farms to be monitored
competently and independently. Currently, the evidence strongly indicates that
this is not the case. The nature of the problem was put well by Dr Michael
Crawford in his submission:
One of the fundamental problems with existing arrangements
for approval and regulation of wind farms is the extensive discretion, in
matters large and small, given to officials who frequently have no relevant
expertise about those matters. This is in the context of pressure at the
political level often to wave proprosals [sic] through.[65]
...there is very little effective monitoring of wind farm noise
– even in relation to the ineffective noise conditions imposed on wind farms.
No doubt other submissions will deal with the fundamental deficiencies in
typical regulatory wind farm noise conditions. But there is no systematic
monitoring to ensure adherence to those conditions.
If permanent, full spectrum, noise monitoring equipment was
appropriately installed near at risk homes, ensuring compliance with the
(inadequate) conditions would have some chance. Without those, effective
operational noise monitoring is essentially “too hard”.[66]
4.64
Mr Hamish Cumming also argued that a lack of political will and the
undue influence of wind farm companies have compromised an effective monitoring
system. He wrote in his submission:
The monitoring and compliance of wind farms is an area that
lacks any real support or desire for the truth from Government departments. The
wind farm companies seem to have geared the monitoring approach to suit
themselves, and are generally unopposed by regulatory authorities.
For instance bird and bat mortality monitoring is structured
to find minimal dead birds. AGL Macarthur employed a consultant to assess the
mortality records, and they highlighted the fact that by the time the people
looking for the dead birds once a month, most had been carried away by predators
and scavengers. Also they highlighted that only a small percentage of turbines
are searched around anyway. The consultant recommended that searches be done
weekly and over more turbines. AGL did not adopt the consultants [sic]
recommendations and has not changed their collection method. The consultant
showed the actual mortality rates were likely to be 10 times higher than what
AGL originally claimed in their permit application. The Moyne Shire is supposed
to put conditions in place as part of their responsibility as Responsible Authority
to limit the bird deaths, and the AGL wind farm should be shut down at peak
bird times. However the Mayor and CEO are so supportive of wind farms that they
will not even respond to letters making this request.
The Victorian Ombudsman has followed them up, and now the
Council appears to be making false claims to the Ombudsman. This is now being
looked into.[67]
The folly of self-monitoring and
the need for independent monitoring
4.65
It is clear to the committee the inadequacy of arrangements whereby companies
self-monitor their operations in response to complaints and councils' resources
are employed to adjudge whether the company's actions are adequate. Take the
following example of how RATCH Australia self-monitored:
We did have a noise complaint in relation to the Windy Hill
wind farm...As soon as that complaint was brought to attention...we contacted that
person to find out what the problem was and to find out what we could do to try
to address it. The complaint was also brought to our attention by the
Tablelands Regional Council in I believe September 2011. Once those complaints
were brought to our attention, what ensued was a process where we sought to
conduct noise monitoring on the relevant property to find out if we were
operating in a way which was interfering with the property owner's enjoyment of
the property or if we were in breach of our development consent.
That process became quite a prolonged process for a range of
reasons. During the process of us conducting that noise monitoring, Tablelands
Regional Council did seek to bring legal action against us. We challenged the
basis of that legal action. In short, the basis upon which we challenged it was
that the notice under which the council claimed that we had breached our
development consent did not actually say what the breaches were, so it was
quite difficult for us to work out how to address the problem. The council did
seek orders in relation to the wind farm, but those orders were not granted by
a court.
What ensued after that was that we continued our discussions
with the council and with the relevant landowner. We were then able to complete
the noise monitoring on the landowner's property. At the end of that, the
results of the noise monitoring were presented to Tablelands Regional Council
and they then found that the operation of the wind farm had not been in breach
of its development consent.[68]
4.66
Ms Lee Schwerdtfeger, a prominent community organiser against the Mount
Emerald wind farm development, argued that RATCH had devised its own complaints
management plan. She questioned whether this favourable framework was a
creation of political convenience:
The approval conditions have no mandatory process for dealing
with noise complaints. RATCH writes their own complaints management plan, and
this does not have to be approved by the state government. So why do other
approval conditions all require that management plans be submitted and
approved, not merely submitted? Is this a deliberate oversight by the state
government to favour the developer? We can be sure that noise complaints will
never be properly dealt with if this project is ever built. This will just be
more of the same from RATCH.[69]
4.67
Mr Walkden told the committee that RATCH was ordered by the Council to
conduct the monitoring, which was done by MWA environmental consultants.
However, MWA received its instructions from the company and:
...only did audible noise. They were not required, as far as I
am aware, to do infrasound. One of the first times that Stanwell monitored,
they did not do it to the standard required. It was supposed to be a certain
distance from the house and things like that in their conditions, and they did
not do that. One lot of measuring was taken at the back fence and that was not
according to the New Zealand standard either. They did all these little
monitorings, yes it all sounded good, but it was not what they were supposed to
do. And I was not confident that they would continue to do that.[70]
4.68
The need for an independent monitor is recognised by a broad
cross-section of stakeholders. WIRV told the committee:
The most urgent thing is to ensure that whatever noise
regulations are in place are actually policed truly, independently and
competently. So many of the problems we have heard about are the result of wind
companies absurdly being allowed to effectively self-police. Suffering
neighbours must be able to complain to somebody who wants to listen and who
they know will act promptly, fairly and properly.[71]
4.69
Significantly, the Australian Wind Alliance agrees on the need to improve
regulatory arrangements. It highlighted the Glenelg Shire Council's proposal
for an independent body to monitor and enforce compliance:
It is critical that monitoring and compliance of wind farms
is robust and responsive to community concerns. Compliance of wind farms with
applicable regulations is in many cases devolved to the local council level,
who are often under resourced and lack the appropriate skill base to execute
this work properly. Postconstruction noise monitoring is generally done by acoustic
consultants retained by the developer. Submission 111 to this Inquiry from
Glenelg Shire Council has suggested that postconstruction and ongoing
monitoring work be done at arms’ length from developers. AWA sees merit in this
idea and would welcome it as a way to increase the community’s trust in the
process.[72]
4.70
Mr Richard Sharp proposed a reform to create a national wind farm monitoring
framework based on current arrangements in NSW:
I note that in NSW, the Department of Planning and
Environment achieves this by requiring wind farm developers to engage a
qualified and experienced person to independently monitor environmental
compliance during construction and operations.
I consider that this approach taken by the NSW Government
should be applied nationally to all wind farms and should take the form of the
following ‘standard condition’ as part of an approval:
Prior to the construction of the wind farm, or as
otherwise agreed by the approving authority, the wind farm developer shall
engage a Registered Environmental Professional1 or a Certified Environmental
Practitioner2 who shall:
- be independent of the planning,
design, construction and operation personnel;
- oversee the implementation of
all environmental management plans and monitoring programs required under this
approval and advise the wind farm developer upon the achievement of all project
environmental outcomes;
- consider and advise the wind
farm developer on its compliance obligations against all matters specified in
the conditions of this approval and any other approval, permits and/or
licences; and have the authority and independence to recommend to the wind farm
developer reasonable steps to be taken to avoid or minimise unintended or
adverse environmental impacts; or
- recommend to the wind farm
developer that relevant activities are to be ceased as soon as reasonably
practicable if there is likely to be a significant risk of an adverse impact on
the environment, until reasonable steps are implemented to avoid such impact.
The wind farm developer shall act on all recommendations
made by the Registered Environmental Professional or the Certified
Environmental Practitioner as soon as practicable, unless otherwise agreed by
the approving authority. If the wind farm proponent chooses not to implement
recommendations, it shall provide written justification of the alternate course
of action to the satisfaction of the approving authority within 7 days of
receiving the recommendation.[73]
The need for adequate resources to
conduct monitoring effectively
4.71
The committee understands that establishing a system that monitors wind
farms systematically and scientifically will require both expertise and
resources. Dr Crawford explained the resource-intensive nature of a proper
wind farm monitoring system:
...wind farms [are] spread out over a large area and so proper
monitoring activity requires multiple, geographically dispersed, stations with
noise monitoring occurring over an extended period, since the problem depends
on weather conditions which may change between the time of complaints and any
monitoring action. This has to happen in the country (where the wind farms are
located) whereas the relevant staff are generally city-based, so mobilising
them is a significant effort. And if the wind farm operator is aware of the monitoring
they can reduce the noise output in various ways, including changing the pitch
of turbine blades. Doing so diminishes their electricity output and costs them
some money but is worthwhile to frustrate a noise monitoring effort.
What actually exists is a mechanism for operational
regulatory agencies to go through the motions of regulating without having the
ability to do the job properly, or indeed regulating against the criteria which
really matter, i.e. the harm being caused to individuals.
If regulatory agencies persist with regulating according to
noise standards, there should be a requirement for fixed noise monitoring, paid
for but not controlled by the wind farm, at all at risk locations, and that
noise monitoring should take account of new developments in the understanding
of wind farm noise impact, such as the recent work of Steve Cooper at the Cape
Bridgewater Wind Farm.[74]
4.72
Other submitters also highlighted the need for the effective deployment
of resources to undertake effective monitoring:
The main enforcement problem is that the local impact of wind
farm noise depends on multiple changing factors, such as wind direction and
speed, atmospheric conditions, and operater [sic] action in controlling the
turbines. Consequently any attempt to monitor in response to complaints may
well occur when the problem has temporarily subsided, relocated (because of
different wind direction), or been diminished by operator action during
monitoring.
The only effective solution is permanent noise monitoring,
located at multiple points around a wind farm, under the control of parties
with a strong motivation to quickly prosecute any breach of noise conditions to
deter such occurrences. This should be paid for by the wind farm as a safety
measure, just as many industrial operators are required to pay for facilities,
mechanisms and practices that increase the safety of their operation. The cost
of such safety provisions would be very small, typically amounting to less than
0.1% of a wind farm’s capital cost.[75]
The case for State EPAs to take over wind farm monitoring
4.73
The committee notes that there have been proposals to shift
responsibility for monitoring and compliance of wind farms to the State EPAs. The
Victorian Parliamentary Environment and Natural Resources Committee's final
report for the Inquiry into the Approvals Process for Renewable Energy Projects
in Victoria was tabled on 25 February 2010. The report stated:
Local councils advised that they do not currently have the
capacity, expertise and resources to act as the responsible authority for wind
farm projects of less than 30 megawatts. Councils identified the cumulative impacts
of wind farms and monitoring and enforcement arrangements as significant
issues.[76]
4.74
The report recommended that:
The Minister for Planning be responsible for the monitoring
and enforcement of conditions set out in all wind farm permits and post
development plans.[77]
4.75
The Tarwin Valley Coastal Landscape Guardians drew the committee's
attention to the following recommendations of the 2004 Bald Hills Wind Energy
Facility's Planning Panel:
‘Recommendation 19: In the medium term, consideration should
be given to the establishment of a role for the EPA in monitoring and enforcing
acoustic conditions.
‘Recommendation 20: In the medium term, consideration should
be given to the use of a SEPP or other relevant Victorian standard to define
the specific application of NZS 6808 and or the forthcoming Australian standard
to wind energy facilities.’[78]
The Panel's report also stated that:
The absence of an independent entity charged with acoustic
condition compliance monitoring adds considerably to difficulties in assessing
operational performance in the face of noise complaints.[79]
4.76
Landholders, such as Ms Jane Robson of Mt. Helen in Victoria, also
proposed a prominent role for the State EPA in monitoring and compliance:
Adequacy of monitoring and compliance is of a very low
standard at this time and I believe there needs to be independent noise
monitoring done and that the EPA should be given the role and the funds to
fulfil this role so there is a better avenue for complaints by neighbours.
Noise testing should occur regularly and randomly at lots of different times of
the day and night and under all conditions to get an honest view of Wind
Turbine noise.[80]
4.77
However, it is important that any proposal to shift responsibility for
compliance to State EPAs comes with a commensurate shift in resources and
expertise to the EPAs. Mr Les Huson has indicated that the Victorian EPA may not
currently have the capacity to fulfil the lead role in monitoring and
compliance of wind farms.[81]
A fee for service system
4.78
The MAV discussed with the committee a proposal to establish a licencing
regime. Under this scheme, wind farm operators must pay an annual licencing fee
for an independent authority to undertake ongoing monitoring and compliance. An
annual certificate or licence is then awarded to the operator to verify
compliance with the relevant standards and conditions. In MAV's view:
Such a regime would provide a number of benefits, including
community confidence that noise is appropriately the regulated, regulatory
certainty for the wind farm industry, equity between different types of
electricity generators and removing the noise compliance and monitoring impost
on councils. Recognising that the above requires time and political will to
progress, the MAV, in partnership with the Victorian Environment Protection
Authority, has brokered an arrangement that will provide councils with access
to EPA accredited noise auditors on a fee-for-service basis. While the service
comes at a cost and the monitoring compliance burden still rests with council,
the auditors are certified as independent by the EPA. This arrangement should
remove any doubt regarding the independence of the noise compliance assessment
and should provide an authority of advice on the wind farm's compliance with
the relevant standards. These services will also be made available to the wind
energy industry providing additional certainty to the local government and
community that the application complies with the relevant New Zealand standard
as part of the planning permit process. Ideally, under this arrangement, we
would also like to see any new and existing wind farms being required to submit
an annual compliance certificate to verify ongoing compliance.[82]
4.79
The committee believes that a fee for service licencing system would
offer these, and other, benefits. Chapter 6 presents the committee's
recommendation on how this system should be framed and developed.
The case for greater transparency in monitoring and compliance
4.80
Some submitters and witnesses to this inquiry have emphasised the need
for monitoring and compliance processes to be more transparent. Ms Kay Smith,
for example, argued:
The EPA’s involvement in monitoring turbine noise emission
would provide a more transparent avenue for dealing with complaints/claims from
neighbours re experiencing adverse effects.[83]
4.81
Mr Tony Edney from Ballarat raised questions about the power of local councils
over wind farm operators:
Councils probably at the moment do not have the power to
compel turbine operators to turn off their machines, to enable proper base
level sound recordings, without which it is very difficult to make a useful
comparison with operating sound levels. Neither would they be able to force
operators to provide mast head information about wind speed and direction from
the turbine nacelle, data necessary to correlate with in home recordings, to
obtain an accurate take on sound energy present in a dwelling.
Wind farm operators are effectively in control of the data
that is necessary to properly investigate complaints against them. Government
presently, at whatever level, does not have the legislative capacity to force
this information out of them, to have them stop the turbines, for any purpose.
Wind companies are safely at liberty to go on causing damage to people, to
drive some from their homes, in the comfortable knowledge no one can do much
about it.[84]
4.82
The difficulty accessing critical data has also been raised by several
acousticians. Mr Les Huson is one acoustician who has expressed his
disappointment that wind farm operators have not made wind speed data publicly
available. He told the committee:
I have been involved in the measurement of noise emissions
from the Leonards Hill wind farm and the Macarthur Wind Farm. For the past
three or four years I have been hampered in my attempts to complete an
independent compliance assessment of the Leonards Hill wind farm. I have
gathered all the acoustical data but do not have the corresponding wind speed
data that is required to complete the analysis. This wind speed data has been
promised by Hepburn Wind but as yet has not been made available.
4.83
Mr Huson also told the committee of significant flaws in the peer review
process for compliance assessment:
Recently I was asked to provide comment on the compliance
assessment and two peer reviews of an assessment done for the Macarthur Wind
Farm. I prepared a report summarising my findings, but the report was refused
to be accepted by the local shire council, even though it showed serious flaws
in the analysis process which skewed data to the benefit of the wind farm
operator. The analytical flaws were presented but ignored. The data giving rise
to the flaws was not provided to either the authors of the compliance report or
the peer reviewers of that report. Effectively what was happening there was
that data was being withheld from the people doing assessments on noise
compliance, which effectively made it easier to comply.[85]
Commercial-in-confidence
considerations
4.84
The committee questions the basis on which wind farm companies claim
that there are commercial-in-confidence considerations relating to their
operating data. The committee has not received a convincing explanation from
these companies as to why its recommendation to publish wind speed and basic
operation statistics would harm commercial interests.
4.85
All wind farm data should be publicly available and published where all
citizens can scrutinise the operation of turbines. In its interim report, the
committee recommended that the data collected by wind turbine operators
relating to wind speed, basic operation statistics including operating hours
and noise monitoring should be made freely and publicly available on a regular
basis. The committee argued that the proposed Independent Expert Scientific
Committee (see chapter 6) should consult with scientific researchers and the
wind industry to establish what data can be reasonably made freely and publicly
available from all wind turbine operations accredited to receive renewable
energy certificates.[86]
The need for a wind farm Ombudsman
4.86
This committee has gathered a volume of evidence from citizens with
complaints about the operation of wind turbines, and who have relayed to the
committee their annoyance and frustration that these complaints not having been
heard. The following is an excerpt from a submission made by Mr Gunter Wilhelm
of Evansford in Victoria. His account is, unfortunately, not uncommon:
Acciona's complaint procedure is entirely unsatisfactory.
When we and our neighbours began making complaints, no Incident Report
Reference Number was provided. Initially we made phone complaints but when we
realised that Incident Report Numbers were not being issued, we proceeded to
complain via email so as to have an official record of our complaint. On 1
June, 2010, my partner requested an official complaint form and an outline of the
complaints procedure, only to be told there was no complaints procedure – just
to respond within 48 hours to a complaint. Yet in the Operational (stage 2)
Environmental Management Plan (OEMP) Version1.1 February 2008 of Acciona’s
Permit, there is a Complaint Procedure outlined. It was not until I requested
and continued to request that an Incident Report Number be provided that it
was.
On 6 June, 2010, I was sent an email by Acciona’s Community
Liaison Officer, in response to my request for an official Incident Report
Reference Number. I was issued Incident Report Number 1 (email available on
request). I emailed back and asked if this was my personal complaint log and
was told that this Incident Report Reference Number was not personal and applied
to all complaints lodged. What had happened to all the complaints lodged by phone
or email from April 2009 – June 2010, all prior to Incident Report Reference
Number 1 being issued? We know that many of our neighbours either complained by
phone, or dropped into the Acciona office. They were not issued Incident Report
Reference numbers. No wonder Acciona could claim so few complaints!
At no stage has Acciona made any attempt to site visit our
property to evaluate, monitor for noise or discuss health concerns.[87]
4.87
Waubra resident Mr Noel Dean had similar frustrations in dealing with
Acciona, the local council and the Victorian Planning Department. He noted the
different complaint mechanisms at local and state level and his annoyance at the
State Government's handling of his grievance:
...when I first made a complaint, I went to the state office in
Ballarat. They said, 'We've got no-one here to know how to force compliance',
and we got the same statement from the council that it is the department of
planning's problem. So the department of planning put out a thing in 2009 to
say that the council is responsible for it. They said, 'We can't do it'. All
the council had to do at Waubra was to issue an enforcement notice that said to
comply. The problem is that the laws by the planning department are different
from those of the council. With the council, if any one person makes a
complaint or a degree of a complaint, they have to investigate it. The planning
department only has to satisfy probably 90 per cent of people, and the planning
department has not got the force to force compliance like the department of
health and wellbeing and the council do. The council has our report, and the
report that is in our submission, with letters from the planning minister, went
to the council. The council have been hearing that for four years. They have
known that Waubra Wind Farm is noncompliant for four years and would not put
enforcement notices in. What happened in the planning department is the
planning cabinet was corrupt in that its condition 17 was changed to be
commissioned by the proponent who is the owner of the information. Therefore
they said to us, 'We don't have to give the thing to you' because they have got
no obligation. They were given the permission to commission the report, so they
got the report. It was the planning minister's responsibility to commission the
report, and someone in the office has changed it around so that means we have
got no protection. They have got a legal right and they have said to us in
legal letters: 'We have no obligation to give you the report.' They
commissioned a report through Marshall Day and kept it, and we cannot get it
off them until we have a court case.[88]
4.88
Similarly, another Waubra resident, Mr Donald Thomas told the committee:
There is desperate need for a proper complaint system,
because nothing is done anyway. Most of the time the worst part of the noise
issue is that it happens in out-of-office hours, so you are not going to get
someone to come and listen at three o'clock in the morning. They come the next
day, and that is very little use.[89]
4.89
The committee's interim report recommended that the Commonwealth
Government establish a National Wind Farm Ombudsman to handle complaints from
concerned community residents about the operations of wind turbine facilities
accredited to receive renewable energy certificates. The Ombudsman will be a
one-stop-shop to refer complaints to relevant state authorities and help ensure
that complaints are satisfactorily addressed.
4.90
The committee is pleased that the federal government has agreed to
establish a National Wind Farm Commissioner to resolve complaints from
concerned residents about the operation of wind farm facilities. The
Commissioner will publish documents on:
-
the location of existing and proposed wind farms in Australia;
-
planning and environmental approvals in place for each wind farm;
-
RECs received by each wind farm; and
-
data on wind farm operators including operating times, wind
speed, power output and sound monitoring.
Committee view
4.91
The evidence presented in this chapter strongly points to the need for
regulatory reform in the way that wind farms are monitored and forced to meet
compliance standards in Australia. Chapter 6 of this report presents a number
of recommendations relating to these issues. Fundamentally, there is a need for
rigorous and uniform sound standards that form the cornerstone of National Wind
Farm Guidelines. There is also need for a State-based system that licences all
large-scale wind farm operators and enables the State regulator to suspend and
cancel an operating licence if the company breaches compliance conditions. As
chapter 6 discusses, the eligibility of wind farm operators to receive
renewable energy certificates should be based on their satisfying ongoing
compliance checks.
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