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Government Gazette
REPUBLIC OF SOUTH AFRICA
Vol. 446 Cape Town 2 August 2002 No. 23708
THE PRESIDENCY
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| No. 1046 |
2 August 2002 |
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It is hereby notified that the President has assented to
the following Act, which is hereby published for general information:–
No. 25 of 2002: Electronic Communications and
Transactions Act, 2002. |
Electronic Communications and Transactions Act, 2002 - No.
25 of 2002
(English text signed by the President.)(Assented to 31 July 2002.)
ACT
To provide for the facilitation and regulation of electronic
communications and transactions; to provide for the development of a national
e-strategy for the Republic; to promote universal access to electronic
communications and transactions and the use of electronic transactions by
SMMEs; to provide for human resource development in electronic transactions; to
prevent abuse of information systems; to encourage the use of e-government
services; and to provide for matters connected therewith.
BE IT ENACTED by the Parliament of the Republic of South
Africa, as follows:—
ARRANGEMENT OF SECTIONS
Sections
CHAPTER I
INTERPRETATION, OBJECTS AND APPLICATION
- Definitions
- Objects of Act
- Interpretation
- Sphere of application
CHAPTER II
MAXIMISING
BENEFITS AND POLICY FRAMEWORK
Part 1
National e-strategy
- National e-strategy
- Universal access
- Previously
disadvantaged persons and communities
- Development of human resources
- SMMEs
Part 2
Electronic
transactions policy
- Electronic transactions
policy
CHAPTER III
FACILITATING
ELECTRONIC TRANSACTIONS
Part 1
Legal
requirements for data messages
- Legal recognition of data
messages
- Writing
- Signature
- Original
- Admissibility
and evidential weight of data messages
- Retention
- Production of document
or information
- Notarisation,
acknowledgement and certification
- Other requirements
- Automated transactions
Part 2
Communication of
data messages
- Variation by agreement
between parties
- Formation and validity
of agreements
- Time
and place of communications, dispatch and receipt
- Expression of intent
or other statement
- Attribution of
data messages to originator
- Acknowledgement of
receipt of data message
CHAPTER IV
E-GOVERNMENT SERVICES
- Acceptance
of electronic filing and issuing of documents
- Requirements may be specified
CHAPTER V
CRYPTOGRAPHY PROVIDERS
- Register of cryptography
providers
- Registration with Department
- Restrictions on disclosure of
information
- Application of Chapter
and offences
CHAPTER VI
AUTHENTICATION
SERVICE PROVIDERS
Part 1
Accreditation Authority
- Definition
- Appointment
of Accreditation Authority and other officers
- Accreditation to be voluntary
- Powers and
duties of Accreditation Authority
Part 2
Accreditation
- Accreditation
of authentication products and services
- Criteria for accreditation
- Revocation or
termination of accreditation
- Accreditation
of foreign products and services
- Accreditation regulations
CHAPTER VII
CONSUMER PROTECTION
- Scope of application
- Information to be provided
- Cooling-off period
- Unsolicited
goods, services or communications
- Performance
- Applicability of foreign law
- Non-exclusion
- Complaints to
Consumer Affairs Committee
CHAPTER VIII
PROTECTION OF
PERSONAL INFORMATION
- Scope of protection of
personal information
- Principles
for electronically collecting personal information
CHAPTER IX
PROTECTION OF
CRITICAL DATABASES
- Scope of critical
database protection
- Identification
of critical data and critical databases
- Registration of critical
databases
- Management of critical
databases
- Restrictions on
disclosure of information
- Right of inspection
- Non-compliance with Chapter
CHAPTER X
DOMAIN
NAME AUTHORITY AND ADMINISTRATION
Part 1
Establishment
and incorporation of .za domain name authority
- Establishment of Authority
- Incorporation of Authority
- Authority's
memorandum and articles of association
Part 2
Governance
and staffing of Authority
- Board of directors of
Authority
- Staff of Authority
Part 3
Functions of Authority
- Licensing of
registrars and registries
- Functions of Authority
Part 4
Finances and reporting
- Finances of Authority
- Reports
Part 5
Regulations
- Regulations regarding
Authority
Part 6
Alternative dispute
resolution
- Alternative
dispute resolution
CHAPTER XI
LIMITATION
OF LIABILITY OF SERVICE PROVIDERS
- Definition
- Recognition of
representative body
- Conditions for eligibility
- Mere conduit
- Caching
- Hosting
- Information location tools
- Take-down notification
- No general obligation to
monitor
- Savings
CHAPTER XII
CYBER INSPECTORS
- Appointment of cyber
inspectors
- Powers of cyber inspectors
- Power to inspect, search
and seize
- Obtaining warrant
- Preservation of
confidentiality
CHAPTER XIII
CYBER CRIME
- Definition
- Unauthorised
access to, interception of or interference with data
- Computer-related
extortion, fraud and forgery
- Attempt, and aiding and
abetting
- Penalties
CHAPTER XIV
GENERAL PROVISIONS
- Jurisdiction of courts
- Saving of common law
- Repeal of Act 57 of 1983
- Limitation of liability
- Regulations
- Short title and commencement
SCHEDULE 1
SCHEDULE 2
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CHAPTER I
INTERPRETATION,
OBJECTS AND APPLICATION
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| 1.
| Definitions
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|
| In this Act, unless the context indicates otherwise -
"addressee", in respect of a data
message, means a person who is intended by
the originator to receive the data
message, but not a person acting as an intermediary
in respect of that data message;
"advanced
electronic signature" means an electronic
signature which results from a process which has been accredited
by the Authority as provided for in section 37;
"authentication
products or services" means products or services designed to
identify the holder of an electronic
signature to other persons;
"authentication
service provider" means a person whose authentication
products or services have been accredited by the Accreditation
Authority under section 37 or recognised under section
40;
"Authority" means the .za
Domain Name Authority;
"automated
transaction" means an electronic transaction
conducted or performed, in whole or in part, by means of data
messages in which the conduct or data
messages of one or both parties are not reviewed by a natural
person in the ordinary course of such natural person's business or
employment;
"browser" means a computer
program which allows a person to read hyperlinked
data messages;
"cache" means high speed memory that stores data
for relatively short periods of time, under computer control, in
order to speed up data transmission or
processing;
"ccTLD" means country code domain
at the top level of the Internet's domain
name system assigned according to the two-letter codes in the
International Standard ISO 3166-1 (Codes for Representation of Names
of Countries and their Subdivision);
"certification
service provider" means a person
providing an authentication
product or service in the form of a digital certificate attached
to, incorporated in or logically associated with a data
message;
"consumer" means any natural
person who enters or intends entering into an electronic transaction
with a supplier as the end user of the goods or services offered by
that supplier;
"Consumer Affairs
Committee" means the Consumer Affairs Committee established by
section 2 of the Consumer Affairs (Unfair Business Practices) Act,
1988 (Act No. 71 of 1988);
"critical data" means data
that is declared by the Minister in terms of
section 53 to be of importance to the protection
of the national security of the Republic or the economic and social
well-being of its citizens;
"critical database"
means a collection of critical data in
electronic form from where it may be accessed, reproduced or
extracted;
"critical
database administrator" means the person
responsible for the management and control of a critical
database;
"cryptography
product" means any product that makes use of cryptographic
techniques and is used by a sender or recipient of data
messages for the purposes of ensuring—
(a) that such data
can be accessed only by relevant persons;
(b) the authenticity of the data;
(c) the integrity of the data;
or
(d) that the source of the data
can be correctly ascertained;
"cryptography
provider" means any person who provides
or who proposes to provide cryptography
services or products in the Republic;
"cryptography
service" means any service which is provided to a sender or a
recipient of a data message or to anyone
storing a data message, and which is
designed to facilitate the use of cryptographic techniques for the
purpose of ensuring—
(a) that such data or
data message can be accessed or can be
put into an intelligible form only by certain persons;
(b) that the authenticity or integrity of
such data or data
message is capable of being ascertained;
(c) the integrity of the data
or data message; or
(d) that the source of the data
or data message can be correctly
ascertained;
"cyber inspector" means
an inspector referred to in Chapter XII;
"data" means electronic
representations of information in any form;
"data controller" means
any person who electronically requests,
collects, collates, processes or stores personal
information from or in respect of a data
subject;
"data message" means data
generated, sent, received or stored by electronic means and
includes—
(a) voice, where the voice is used in an automated
transaction; and
(b) a stored record;
"data subject" means any
natural person from or in respect of whom personal
information has been requested, collected, collated, processed
or stored, after the commencement of this Act;
"Department" means the
Department of Communications;
"Director-General" means
the Director-General of the Department;
"domain name" means an
alphanumeric designation that is registered or assigned in respect
of an electronic address or other resource on the Internet;
"domain name system"
means a system to translate domain names
into IP addresses or other information;
"e-government
services" means any public service provided by electronic means
by any public body in the Republic;
"electronic agent" means
a computer program or an electronic or other automated means used
independently to initiate an action or respond to data
messages or performances in whole or in part, in an automated
transaction;
"electronic
communication" means a communication by means of data
messages;
"electronic
signature" means data attached to,
incorporated in, or logically associated with other data
and which is intended by the user to serve as a signature;
"e-mail" means electronic mail, a data
message used or intended to be used as a mail message between
the originator and addressee
in an electronic communication;
"home page" means the primary
entry point web page of a web
site;
"hyperlink" means a reference
or link from some point in one data message
directing a browser or other technology or
functionality to another data message or
point therein or to another place in the same data
message;
"ICANN" means the Internet Corporation for Assigned
Names and Numbers, a California non-profit public benefit
corporation established in terms of the laws of the state of
California in the United States of America;
"information system"
means a system for generating, sending, receiving, storing,
displaying or otherwise processing data
messages and includes the Internet;
"information
system services" includes the provision of connections, the
operation of facilities for information
systems, the provision of access to information
systems, the transmission or routing of data
messages between or among points specified by a user and the
processing and storage of data, at the
individual request of the recipient of the service;
"intermediary" means a person
who, on behalf of another person, whether as
agent or not, sends, receives or stores a particular data
message or provides other services with respect to that data
message;
"Internet" means the
interconnected system of networks that connects computers around the
world using the TCP/IP and includes future
versions thereof;
"IP address" means the number
identifying the point of connection of a computer or other device to
the Internet;
"Minister" means the Minister of
Communications;
"originator" means a person
by whom, or on whose behalf, a data message
purports to have been sent or generated prior to storage, if any,
but does not include a person acting as an intermediary
with respect to that data message;
"person" includes a public
body;
"personal
information" means information about an identifiable
individual, including, but not limited to—
(a) information relating to the race,
gender, sex, pregnancy, marital status, national, ethnic or social
origin, colour, sexual orientation, age, physical or mental health,
well-being, disability, religion, conscience, belief, culture,
language and birth of the individual;
(b) information relating to the education
or the medical, criminal or employment history of the individual or
information relating to financial transactions in which the
individual has been involved;
(c) any identifying number, symbol, or
other particular assigned to the individual;
(d) the address, fingerprints or blood
type of the individual;
(e) the personal opinions, views or
preferences of the individual, except where they are about another
individual or about a proposal for a grant, an award or a prize to
be made to another individual;
(f) correspondence sent by the individual
that is implicitly or explicitly of a private or confidential nature
or further correspondence that would reveal the contents of the
original correspondence;
(g) the views or opinions of another
individual about the individual;
(h) the views or opinions of another
individual about a proposal for a grant, an award or a prize to be
made to the individual, but excluding the name of the other
individual where it appears with the views or opinions of the other
individual; and
(i) the name of the individual where it
appears with other personal
information relating to the individual or where the disclosure
of the name itself would reveal information about the individual,
but excludes information about an individual who has been dead
for more than 20 years;
"prescribe" means prescribe by
regulation under this Act;
"private body" means—
(a) a natural person who carries or has
carried on any trade, business or profession, but only in such
capacity;
(b) a partnership which carries or has
carried on any trade, business or profession; or
(c) any former or existing juristic
person,
but not a public body;
"public body" means—
(a) any department of state or
administration in the national or provincial sphere of government or
any municipality in the local sphere of government; or
(b) any other functionary or institution
when—
(i) exercising a power or performing a
duty in terms of the Constitution or a provincial constitution; or
(ii) exercising a power or performing a
function in terms of any legislation;
"registrant" means an
applicant for or holder of a domain name;
"registrar" means an entity
which is licensed by the Authority to
update a repository;
"registry" means an entity
licensed by the Authority to manage and
administer a specific subdomain;
"repository" means the primary
register of the information maintained by a registry;
"second level domain"
means the subdomain immediately following
the ccTLD;
"SMMEs" means Small, Medium and
Micro Enterprises contemplated in the Schedules to the Small
Business Development Act, 1996 (Act No. 102 of 1996);
"subdomain" means any
subdivision of the .za domain name
space which begins at the second
level domain;
"TCP/IP" means the Transmission
Control Protocol Internet Protocol used by an information
system to connect to the Internet;
"TLD" means a top level domain of the domain
name system;
"third party", in relation to
a service provider, means a subscriber to the service provider's
services or any other user of the service provider's services or a
user of information systems;
"transaction" means a
transaction of either a commercial or non-commercial nature, and
includes the provision of information and e-government
services;
"universal access" means
access by all citizens of the Republic to Internet
connectivity and electronic transactions;
"WAP" means Wireless Application Protocol, an open
international standard developed by the Wireless Application
Protocol Forum Limited, a company incorporated in terms of the laws
of the United Kingdom, for applications that use wireless
communication and includes Internet access
from a mobile phone;
"web page" means a data
message on the World Wide Web;
"web site" means any location on
the Internet containing a home
page or web page;
"World Wide Web" means an
information browsing framework that allows a user to locate and
access information stored on a remote computer and to follow
references from one computer to related information on another
computer; and
".za domain name
space" means the .za ccTLD assigned to the
Republic according to the two-letter codes in the International
Standard ISO 3166-1.
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| 2.
| Objects of Act
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|
| (1) The objects of this Act are to enable and facilitate electronic
communications and transactions in
the public interest, and for that purpose to—
(a) recognise the importance of the
information economy for the economic and social prosperity of the
Republic;
(b) promote universal
access primarily in underserviced areas;
(c) promote the understanding and,
acceptance of and growth in the number of electronic transactions
in the Republic;
(d) remove and prevent barriers to electronic
communications and transactions in
the Republic;
(e) promote legal certainty and
confidence in respect of electronic
communications and transactions;
(f) promote technology neutrality in the
application of legislation to electronic
communications and transactions;
(g) promote e-government
services and electronic
communications and transactions with public and private bodies,
institutions and citizens;
(h) ensure that electronic transactions
in the Republic conform to the highest international standards;
(i) encourage investment and innovation
in respect of electronic transactions in
the Republic;
(j) develop a safe, secure and effective
environment for the consumer, business and
the Government to conduct and use electronic transactions;
(k) promote the development of electronic
transactions services which are
responsive to the needs of users and consumers;
(l) ensure that, in relation to the
provision of electronic transactions
services, the special needs of particular communities and, areas and
the disabled are duly taken into account;
(m) ensure compliance with accepted
International technical standards in the provision and development
of electronic communications
and transactions;
(n) promote the stability of electronic transactions
in the Republic;
(o) promote the development of human
resources in the electronic transactions
environment;
(p) promote SMMEs
within the electronic transactions
environment;
(q) ensure efficient use and management
of the .za domain name space;
and
(r) ensure that the national interest of
the Republic is not compromised through the use of electronic
communications.
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| 3.
| Interpretation
|
|
| This Act must not be interpreted so as to exclude any statutory law
or the common law from being applied to, recognising or
accommodating electronic transactions,data
messages or any other matter provided for in this Act.
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| 4.
| Sphere of application
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|
| (1) Subject to any contrary provision in this section, this Act
applies in respect of any electronic transaction
or data message.
(2) This Act must not be construed as—
(a) requiring any person
to generate, communicate, produce, process, send, receive, record,
retain, store or display any information, document or signature by
or in electronic form; or
(b) prohibiting a person
from establishing requirements in respect of the manner in which
that person will accept data
messages.
(3) The sections of this Act mentioned in Column B of Schedule
1 do not apply to the laws mentioned in Column A of that
Schedule.
(4) This Act must not be construed as giving validity to any transaction
mentioned in Schedule 2.
(5) This Act does not limit the operation of any law that
expressly authorises, prohibits or regulates the use of data
messages, including any requirement by or under a law for
information to be posted or displayed in a specified manner, or for
any information or document to be transmitted by a specified method.
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|
CHAPTER II
MAXIMISING
BENEFITS AND POLICY FRAMEWORK
Part 1
National
e-strategy
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| 5.
| National e-strategy
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|
| (1) The Minister must, within 24 months
after the promulgation of this Act, develop a three-year national
e-strategy for the Republic, which must be submitted to the Cabinet
for approval.
(2) The Cabinet must, on acceptance of the national e-strategy,
declare the implementation of the national e-strategy as a national
priority.
(3) The Minister, in developing the
national e-strategy as envisaged in subsection (1)—
(a) must determine all matters involving
e-govemment services in consultation with the Minister for the
Public Service and Administration;
(b) must determine the roles of each person,
entity or sector in the implementation of the national e-strategy;
(c) must act as the responsible Minister
for co-ordinating and monitoring the implementation of the national
e-strategy;
(d) may make such investigations as he or
she may consider necessary;
(e) may conduct research into and keep
abreast of developments relevant to electronic
communications and transactions in
the Republic and internationally;
(f) must continually survey and evaluate
the extent to which the objectives of the national e-strategy have
been achieved;
(g) may liaise, consult and cooperate
with public bodies, the private sector or any other person;
and
(h) may, in consultation with the
Minister of Finance, appoint experts and other consultants on such
conditions as the Minister may determine.
(4)
(a) The Minister
must, in consultation with other members of the Cabinet, determine
the subject matters to be addressed in the national e-strategy and
the principles that must govern the implementation thereof.
(b) Prior to prescribing any subject
matter and principles provided for in paragraph (a), the Minister
must invite comments from all interested parties by notice in the
Gazette and consider any comments received.
(c) The national e-strategy must, amongst
others, set out—
(i) the electronic transactions
strategy of the Republic, distinguishing between regional, national,
continental and international strategies;
(ii) programmes and means to achieve universal
access, human resource development and development of SMMEs
as provided for in this Part;
(iii) programmes and means to promote the
overall readiness of the Republic in respect of electronic transactions;
(iv) ways to promote the Republic as a
preferred provider and user of electronic transactions
in the international market;
(v) existing government initiatives
directly or indirectly relevant to or impacting on the national
e-strategy and, if applicable, how such initiatives are to be
utilised in attaining the objectives of the national e-strategy;
(vi) the role expected to be performed by
the private sector in the implementation of the national e-strategy
and how government can solicit the participation of the private
sector to perform such role;
(vii) the defined objectives, including
time frames within which the objectives are to be achieved; and
(viii) the resources required to achieve
the objectives provided for in the national e-strategy.
(5) Upon approval by the Cabinet, the Minister
must publish the national e-strategy in the Gazette.
(6) For purposes of achieving the objectives of the national
e-strategy, the Minister may, in
consultation with the Minister of Finance—
(a) procure funding from sources other
than the State;
(b) allocate funds for implementation of
the national e-strategy to such institutions and persons
as are responsible for delivery in terms of the national e-strategy
and supervise the execution of their mandate; and
(c) take any steps necessary to enable
all relevant parties to carry out their respective obligations.
(7) The Minister must annually report to
the Cabinet on progress made and objectives achieved or outstanding
and may include any other matter the Minister
deems relevant.
(8) The Minister must annually review the
national e-strategy and where necessary make amendments thereto in
consultation with all relevant members of the Cabinet.
(9) No amendment or adaptation of the national e-strategy is
effective unless approved by the Cabinet.
(10) The Minister must publish any
material revision of the national e-strategy in the Gazette.
(11) The Minister must table an annual
report in Parliament regarding the progress made in the
implementation of the national e-strategy.
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| 6.
| Universal access
|
|
| In respect of universal access, the
national e-strategy must outline strategies and programmes to—
(a) provide Internet
connectivity to disadvantaged communities;
(b) encourage the private sector to
initiate schemes to provide universal
access;
(c) foster the adoption and use of new
technologies for attaining universal
access; and
(d) stimulate public awareness,
understanding and acceptance of the benefits of Internet
connectivity and electronic transacting.
|
| 7.
| Previously
disadvantaged persons and communities
|
|
| The Minister, in developing the national
e-strategy, must provide for ways of maximising the benefits of
electronic transactions to historically
disadvantaged persons and communities,
including, but not limited to—
(a) making facilities and infrastructure
available or accessible to such persons and
communities to enable the marketing and sale of their goods or
services by way of electronic transactions;
(b) providing or securing support
services for such facilities and infrastructure to assist with the
efficient execution of electronic transactions;
and
(c) rendering assistance and advice to
such persons and communities on ways to adopt
and utilise electronic transactions
efficiently.
|
| 8.
| Development of human
resources
|
|
| (1) The Minister, in developing the national
e-strategy, must provide for ways of promoting development of human
resources set out in this section within the context of the
government's integrated human resource development strategies,
having regard to structures and programmes that have been
established under existing laws.
(2) The Minister must consult with the
Ministers of Labour and Education on existing facilities, programmes
and structures for education, training and human resource
development in the information technology sector relevant to the
objects of this Act.
(3) Subject to subsections (1) and (2), the Minister
must promote skills development in the areas of—
(a) information technology products and
services in support of electronic transactions;
(b) business strategies for SMMEs
and other businesses to utilise electronic transactions;
(c) sectoral, regional, national,
continental and international policy formulation for electronic transactions;
(d) project management on public and
private sector implementation of electronic transactions;
(e) the management of the .za
domain name space;
(f) the management of the IP
address system for the African continent in consultation with
other African states;
(g) convergence between communication
technologies affecting electronic transactions;
(h) technology and business standards for
electronic transactions;
(i) education on the nature, scope,
impact, operation, use and benefits of electronic transactions;
and
(j) any other matter relevant to
electronic transactions.
|
| 9.
| SMMEs
|
|
| The Minister must, in consultation with the
Minister of Trade and Industry, evaluate the adequacy of any
existing processes, programmes and infrastructure providing for the
utilisation by SMMEs of electronic transactions
and, pursuant to such evaluation, may—
(a) establish or facilitate the
establishment of electronic
communication centres for SMMEs;
(b) facilitate the development of web
sites or web site portals that will
enable SMMEs to transact electronically and
obtain information about markets, products and technical assistance;
and
(c) facilitate the provision of such
professional and expert assistance and advice to SMMEs
on ways to utilise electronic transacting efficiently for their
development.
|
|
Part 2
Electronic
transactions policy
|
| 10.
| Electronic
transactions policy
|
|
| (1) The Minister must, subject to this Act,
formulate electronic transactions policy.
(2) In formulating the policy contemplated in subsection (1), the
Minister must—
(a) act in consultation with members of
the Cabinet directly affected by such policy formulation or the
consequences thereof;
(b) have due regard to—
(i) the objects of this Act;
(ii) the nature, scope and impact of
electronic transactions;
(iii) international best practice and
conformity with the law and guidelines of other jurisdictions and
international bodies; and
(iv) existing laws and their
administration in the Republic.
(3) The Minister must publish policy
guidelines in the Gazette on issues relevant to electronic transactions
in the Republic.
(4) In implementing this Chapter, the Minister
must encourage the development of innovative information
systems and the growth of related industry.
|
|
CHAPTER III
FACILITATING
ELECTRONIC TRANSACTIONS
Part 1
Legal
requirements for data messages
|
| 11.
| Legal
recognition of data messages
|
|
| (1) lnformation is not without legal force and effect merely on the
grounds that it is wholly or partly in the form of a data
message.
(2) Information is not without legal force and effect merely on
the grounds that it is not contained in the data
message purporting to give rise to such legal force and effect,
but is merely referred to in such data
message.
(3) Information incorporated into an agreement and that is not in
the public domain is regarded as having been incorporated into a data
message if such information is—
(a) referred to in a way in which a
reasonable person would have noticed the
reference thereto and incorporation thereof; and
(b) accessible in a form in which it may
be read, stored and retrieved by the other party, whether
electronically or as a computer printout as long as such information
is reasonably capable of being reduced to electronic form by the
party incorporating it.
|
| 12.
| Writing
|
|
| A requirement in law that a document or Information must be in
writing is met if the document or Information is—
(a) in the form of a data
message; and
(b) accessible in a manner usable for
subsequent reference.
|
| 13.
| Signature
|
|
| (1) Where the signature of a person is
required by law and such law does not specify the type of signature,
that requirement in relation to a data
message is met only if an advanced
electronic signature is used.
(2) Subject to subsection (1), an electronic
signature is not without legal force and effect merely on the
grounds that it is in electronic form.
(3) Where an electronic signature
is required by the parties to an electronic transaction
and the parties have not agreed on the type of electronic
signature to be used, that requirement is met in relation to a data
message if—
(a) a method is used to identify the person
and to indicate the person's approval of the
information communicated; and
(b) having regard to all the relevant
circumstances at the time the method was used, the method was as
reliable as was appropriate for the purposes for which the
information was communicated.
(4) Where an advanced
electronic signature has been used, such signature is regarded
as being a valid electronic
signature and to have been applied properly, unless the contrary
is proved.
(5) Where an electronic signature
is not required by the parties to an electronic transaction,
an expression of intent or other statement is not without legal
force and effect merely on the grounds that—
(a) it is in the form of a data
message; or
(b) it is not evidenced by an electronic
signature but is evidenced by other means from which such person's
intent or other statement can be inferred.
|
| 14.
| Original
|
|
| (1) Where a law requires information to be presented or retained in
its original form, that requirement is met by a data
message if—
(a) the integrity of the information from
the time when it was first generated in its final form as a data
message or otherwise has passed assessment in terms of
subsection (2); and
(b) that information is capable of being
displayed or produced to the person to whom it
is to be presented.
(2) For the purposes of subsection 1(a), the integrity must be
assessed—
(a) by considering whether the
information has remained complete and unaltered, except for the
addition of any endorsement and any change which arises in the
normal course of communication, storage and display;
(b) in the light of the purpose for which
the information was generated; and
(c) having regard to all other relevant
circumstances.
|
| 15.
| Admissibility
and evidential weight of data messages
|
|
| (1) In any legal proceedings, the rules of evidence must not be
applied so as to deny the admissibility of a data
message, in evidence—
(a) on the mere grounds that it is
constituted by a data message; or
(b) if it is the best evidence that the person
adducing it could reasonably be expected to obtain, on the grounds
that it is not in its original form.
(2) Information in the form of a data
message must be given due evidential weight.
(3) In assessing the evidential weight of a data
message, regard must be had to—
(a) the reliability of the manner in
which the data message was generated,
stored or communicated;
(b) the reliability of the manner in
which the integrity of the data message
was maintained;
(c) the manner in which its originator
was identified; and
(d) any other relevant factor.
(4) A data message made by a person
in the ordinary course of business, or a copy or printout of or an
extract from such data message certified
to be correct by an officer in the service of such person,
is on its mere production in any civil, criminal, administrative or
disciplinary proceedings under any law, the rules of a self
regulatory organisation or any other law or the common law,
admissible in evidence against any person and
rebuttable proof of the facts contained in such record, copy,
printout or extract.
|
| 16.
| Retention
|
|
| (1) Where a law requires information to be retained, that
requirement is met by retaining such information in the form of a data
message, if—
(a) the information contained in the data
message is accessible so as to be usable for subsequent
reference;
(b) the data
message is in the format in which it was generated, sent or
received, or in a format which can be demonstrated to represent
accurately the
information generated, sent or received;
and
(c) the origin and destination of that data
message and the date and time it was sent or received can be
determined.
(2) The obligation to retain information as contemplated in
subsection (1) does not extend to any information the sole purpose
of which is to enable the message to be sent or received.
|
| 17.
| Production of
document or information
|
|
| (1) Subject to section 28, where a law requires a
person to produce a document or information,
that requirement is met if the person
produces, by means of a data message, an
electronic form of that document or information, and if—
(a) considering all the relevant
circumstances at the time that the data
message was sent, the method of generating the electronic form
of that document provided a reliable means of assuring the
maintenance of the integrity of the information contained in that
document; and
(b) at the time the data
message was sent, it was reasonable to expect that the
information contained therein would be readily accessible so as to
be usable for subsequent reference.
(2) For the purposes of subsection (1), the integrity of the
information contained in a document is maintained if the information
has remained complete and unaltered, except for—
(a) the addition of any endorsement; or
(b) any immaterial change, which arises
in the normal course of communication, storage or display.
|
| 18.
| Notarisation,
acknowledgement and certification
|
|
| (1) Where a law requires a signature, statement or document to be
notarised, acknowledged, verified or made under oath, that
requirement is met if the advanced
electronic signature of the person
authorised to perform those acts is attached to, incorporated in or
logically associated with the electronic
signature or data message.
(2) Where a law requires or permits a person
to provide a certified copy of a document and the document exists in
electronic form, that requirement is met if the person
provides a print-out certified to be a true reproduction of the
document or information.
(3) Where a law requires or permits a person
to provide a certified copy of a document and the document exists in
paper or other physical form, that requirement is met if an
electronic copy of the document is certified to be a true copy
thereof and the certification is confirmed by the use of an advanced
electronic signature.
|
| 19.
| Other requirements
|
|
| (1) A requirement in a law for multiple copies of a document to be
submitted to a single addressee at the same
time, is satisfied by the submission of a single data
message that is capable of being reproduced by that addressee.
(2) An expression in a law, whether used as a noun or verb,
including the terms "document", "record",
"file", "submit", "lodge",
"deliver", "issue", "publish",
"write in", "print" or words or expressions of
similar effect, must be interpreted so as to include or permit such
form, format or action in relation to a data
message unless otherwise provided for in this Act.
(3) Where a seal is required by law to be affixed to a document
and such law does not prescribe the method
or form by which such document may be sealed by electronic means,
that requirement is met if the document indicates that it is
required to be under seal and it includes the advanced
electronic signature of the person by whom
it is required to be sealed.
(4) Where any law requires or permits a person
to send a document or information by registered or certified post or
similar service, that requirement is met if an electronic copy of
the document or information is sent to the South African Post Office
Limited, is registered by the said Post Office and sent by that Post
Office to the electronic address provided by the sender.
|
| 20.
| Automated transactions
|
|
| In an automated transaction—
(a) an agreement may be formed where an electronic
agent performs an action required by law for agreement
formation;
(b) an agreement may be formed where all
parties to a transaction or either one of
them uses an electronic agent;
(c) a party using an electronic
agent to form an agreement is, subject to paragraph (d),
presumed to be bound by the terms of that agreement irrespective of
whether that person reviewed the actions of
the electronic agent or the terms of
the agreement;
(d) A party interacting with an electronic
agent to form an agreement is not bound by the terms of the
agreement unless those terms were capable of being reviewed by a
natural person representing that party prior to agreement formation.
(e) no agreement is formed where a
natural person interacts directly with the electronic
agent of another person and has made a
material error during the creation of a data
message and—
(i) the electronic
agent did not provide that person with an
opportunity to prevent or correct the error;
(ii) that person
notifies the other person of the error as soon
as practicable after that person has learned
of it;
(iii) that person
takes reasonable steps, including steps that conform to the other person's
instructions to return any performance received, or, if
instructed to do so, to destroy that
performance; and
(iv) that person
has not used or received any material benefit or value from any
performance received from the other person.
|
|
Part 2
Communication
of data messages
|
| 21.
| Variation by
agreement between parties
|
|
| This Part only applies if the parties involved in generating,
sending, receiving, storing or otherwise processing data
messages have not reached agreement on the issues provided for
therein.
|
| 22.
| Formation and
validity of agreements
|
|
| (1) An agreement is not without legal force and effect merely
because it was concluded partly or in whole by means of data
messages.
(2) An agreement concluded between parties by means of data
messages is concluded at the time when and place where the
acceptance ofthe offer was received by the offeror.
|
| 24.
| Expression
of intent or other statement
|
|
| As between the originator and the addressee
of a data message an expression of
intent or other statement is not without legal force and effect
merely on the grounds that—
(a) it is in the form of a data
message; or
(b) it is not evidenced by an electronic
signature but by other means from which such person's
intent or other statement can be inferred.
|
| 26.
| Acknowledgement
of receipt of data message
|
|
| (1) An acknowledgement of receipt of a data
message is not necessary to give legal effect to that message.
(2) An acknowledgement of receipt may be given by—
(a) any communication by the addressee,
whether automated or otherwise; or
(b) any conduct of the addressee,
sufficient to indicate to the originator
that the data message has been received.
|
|
CHAPTER IV
E-GOVERNMENT
SERVICES
|
| 27.
| Acceptance
of electronic filing and issuing of documents
|
|
| Any public body that, pursuant to any
law—
(a) accepts the filing of documents, or
requires that documents be created or retained;
(b) issues any pennit, licence or
approval; or
(c) provides for a manner of payment,
may, notwithstanding anything to the
contrary in such law—
(i) accept the filing of such documents,
or the creation or retention of such documents in the fonn of data
messages;
(ii) issue such pennit, licence or
approval in the fonn of a data message;
or
(iii) make or receive payment in
electronic form or by electronic means.
|
| 31.
| Restrictions on
disclosure of information
|
|
| (1) Information contained in the register provided for in section
29 must not be disclosed to any person
other than to employees of the Department
who are responsible for the keeping of the register.
(2) Subsection (1) does not apply in respect of information which
is disclosed—
(a) to a relevant authority which
investigates a criminal offence or for the purposes of any criminal
proceedings;
(b) to government agencies responsible
for safety and security in the Republic, pursuant to an official
request;
(c) to a cyber
inspector;
(d) pursuant to section 11 or 30 of the
Promotion of Access to Information Act, (Act No.2 of 2000); or
(e) for the purposes of any civil
proceedings which relate to the provision of cryptography
services or cryptography products
and to which a cryptography
provider is a party.
|
| 32.
| Application of
Chapter and offences
|
|
| (1) The provisions of this Chapter do not apply to the National
Intelligence Agency established in terms of section 3 of the
Intelligence Services Act, 1994 (Act No. 38 of 1994).
(2) A person who contravenes or fails to
comply with a provision of this Chapter is guilty of an offence and
liable on conviction to a fine or to imprisonment for a period not
exceeding two years.
|
|
CHAPTER VI
AUTHENTICATION
SERVICE PROVIDERS
Part 1
Accreditation
Authority
|
| 33.
| Definition
|
|
| In this Chapter, unless the context indicates otherwise—
"accreditation" means recognition of an authentication
product or service by the Accreditation Authority.
|
| 34.
| Appointment
of Accreditation Authority and other officers
|
|
| (1) For the purposes of this Chapter the Director-General
must act as the Accreditation Authority.
(2) The Accreditation Authority, after consultation with the Minister,
may appoint employees of the Department as
Deputy Accreditation Authorities and officers.
|
|
Part 2
Accreditation
|
| 37.
| Accreditation
of authentication products and services
|
|
| (1) The Accreditation Authority may accredit authentication products
and services in support of advanced
electronic signatures.
(2) An application for accreditation must—
(a) be made to the Accreditation
Authority in the prescribed manner
supported by the prescribed information;
and
(b) be accompanied by a non-refundable prescribed
fee.
(3) A person falsely holding out its
products or services to be accredited by the Accreditation Authority
is guilty of an offence.
|
| 38.
| Criteria for
accreditation
|
|
| (1) The Accreditation Authority may not accredit authentication
products or services unless the Accreditation Authority is
satisfied that an electronic
signature to which such authentication
products or services relate—
(a) is uniquely linked to the user;
(b) is capable of identifying that user;
(c) is created using means that can be
maintained under the sole control of that user; and
(d) will be linked to the data
or data message to which it relates in
such a manner that any subsequent change of the data
or data message is detectable;
(e) is based on the face-to-face
identification of the user.
(2) For purposes of subsection (1), the Accreditation Authority
must have regard to the following factors in respect of an authentication
service provider prior to accrediting authentication
products or services:
(a) Its financial and human resources,
including its assets;
(b) the quality of its hardware and
software systems;
(c) its procedures for processing of
products or services;
(d) the availability of information to
third parties relying on the authentication
product or service;
(e) the regularity and extent of audits
by an independent body;
(f) the factors referred to in subsection
(4) where the products and services are rendered by a certification
service provider; and
(g) any other relevant factor which may
be prescribed.
(3) For the purposes of subsections (2)(b) and (c), the hardware
and software systems and procedures must at least—
(a) be reasonably secure from intrusion
and misuse;
(b) provide a reasonable level of
availability, reliability and correct operation;
(c) be reasonably suited to performing
their intended functions; and
(d) adhere to generally accepted security
procedures.
(4) For the purposes of subsection (1), where the products or
services are provided by a certification
service provider, the Accreditation Authority may stipulate,
prior to accrediting authentication
products or services—
(a) the technical and other requirements
which certificates must meet;
(b) the requirements for issuing
certificates;
(c) the requirements for certification
practice statements;
(d) the responsibilities of the certification
service provider;
(e) the liability of the certification
service provider;
(f) the records to be kept and the manner
in which and length of time for which they must be kept;
(g) requirements as to adequate
certificate suspension and revocation procedures; and
(h) requirements as to adequate
notification procedures relating to certificate suspension and
revocation.
(5) The Accreditation Authority may impose any conditions or
restrictions necessary when accrediting an authentication
product or service.
|
| 39.
| Revocation
or termination of accreditation
|
|
| (1) The Accreditation Authority may suspend or revoke an
accreditation if it is satisfied that the authentication
service provider has failed or ceases to meet any of the
requirements, conditions or restrictions subject to which
accreditation was granted under section 38 or
recognition was given in terms of section 40.
(2) Subject to the provisions of subsection (3), the
Accreditation Authority may not suspend or revoke the accreditation
or recognition contemplated in subsection (1) unless it has—
(a) notified the authentication
service provider in writing of its intention to do so;
(b) given a description of the alleged breach of any of the
requirements, conditions or restrictions subject to which
accreditation was granted under section 38 or
recognition was given in terms of section 40; and
(c) afforded the authentication
service provider the opportunity to—
(i) respond to the allegations in writing; and
(ii) remedy the alleged breach within a reasonable time.
(3) The Accreditation Authority may suspend accreditation granted
under section 38 or recognition given under section
40 with immediate effect for a period not exceeding 90 days,
pending implementation of the procedures required by subsection (2),
if the continued accreditation or recognition of the authentication
service provider is reasonably likely to result in irreparable
harm to consumers or any person
involved in an electronic transaction in
the Republic.
(4) An authentication
service provider whose products or services have been accredited
in terms of this Chapter may terminate such accreditation at any
time, subject to such conditions as may be agreed to at the time of
accreditation or thereafter.
|
| 41.
| Accreditation regulations
|
|
| The Minister may make regulations in respect
of—
(a) the rights and obligations of persons
relating to the provision of accredited products and services;
(b) the manner in which the Accreditation Authority must
administer and supervise compliance with those obligations;
(c) the procedure pertaining to the granting, suspension and
revocation of accreditation;
(d) fees to be paid;
(e) information security requirements or guidelines; and
(f) any other relevant matter which it is necessary or expedient
to prescribe for the proper implementation
of this Chapter.
|
|
CHAPTER VII
CONSUMER
PROTECTION
|
| 42.
| Scope of application
|
|
| (1) This Chapter applies only to electronic transactions.
(2) Section 44 does not apply to an electronic
transaction—
(a) for financial services, including but
not limited to, investment services, insurance and reinsurance
operations, banking services and operations relating to dealings in
securities;
(b) by way of an auction;
(c) for the supply of foodstuffs,
beverages or other goods intended for everyday consumption supplied
to the home, residence or workplace of the consumer;
(d) for services which began with the consumer's
consent before the end of the seven-day period referred to in section
44(1);
(e) where the price for the supply of
goods or services is dependent on fluctuations in the financial
markets and which cannot be controlled by the supplier;
(f) where the goods—
(i) are made to the consumer's
specifications;
(ii) are clearly personalised;
(iii) by reason of their nature cannot be
returned; or
(iv) are likely to deteriorate or expire
rapidly;
(g) where audio or video recordings or
computer software were unsealed by the consumer;
(h) for the sale of newspapers,
periodicals, magazines and books;
(i) for the provision of gaming and
lottery services; or
(j) for the provision of accommodation,
transport, catering or leisure services and where the supplier
undertakes, when the transaction is
concluded, to provide these services on a specific date or within a
specific period.
(3) This Chapter does not apply to a regulatory authority
established in terms of a law if that law prescribesconsumer
protection provisions in respect of electronic transactions.
|
| 43.
| Information to be
provided
|
|
| (1) A supplier offering goods or services for sale, for hire or for
exchange by way of an electronic transaction
must make the following information available to consumers
on the web site where such goods or services
are offered:
(a) Its full name and legal status;
(b) its physical address and telephone
number;
(c) its web site
address and e-mail address;
(d) membership of any self-regulatory or
accreditation bodies to which that supplier belongs or subscribes
and the contact details of that body;
(e) any code of conduct to which that
supplier subscribes and how that code of conduct may be accessed
electronically by the consumer;
(f) in the case of a legal person, its
registration number, the names of its office bearers and its place
of registration;
(g) the physical address where that
supplier will receive legal service of documents;
(h) a sufficient description of the main
characteristics of the goods or services offered by that supplier to
enable a consumer to make an informed
decision on the proposed electronic transaction;
(i) the full price of the goods or
services, including transport costs, taxes and any other fees or
costs;
(j) the manner of payment;
(k) any terms of agreement, including any
guarantees, that will apply to the transaction
and how those terms may be accessed, stored and reproduced
electronically by consumers;
(l) the time within which the goods will
be dispatched or delivered or within which the services will be
rendered;
(m) the manner and period within which consumers
can access and maintain a full record of the transaction;
(n) the return, exchange and refund
policy of that supplier;
(o) any alternative dispute resolution
code to which that supplier subscribes and how the wording of that
code may be accessed electronically by the consumer;
(p) the security procedures and privacy
policy of that supplier in respect of payment, payment information
and personal information;
(q) where appropriate, the minimum
duration of the agreement in the case of agreements for the supply
of products or services to be performed on an ongoing basis or
recurrently; and
(r) the rights of consumers
in terms of section 44, where applicable.
(2) The supplier must provide a consumer
with an opportunity—
(a) to review the entire electronic transaction;
(b) to correct any mistakes; and
(c) to withdraw from the transaction,
before finally placing any order.
(3) If a supplier fails to comply with the provisions of
subsection (1) or (2), the consumer may
cancel the transaction within 14 days of
receiving the goods or services under the transaction.
(4) If a transaction is cancelled in
terms of subsection (3)—
(a) the consumer
must return the performance of the supplier or, where applicable,
cease using the services performed; and
(b) the supplier must refund all payments
made by the consumer minus the direct cost
of returning the goods.
(5) The supplier must utilise a payment system that is
sufficiently secure with reference to accepted technological
standards at the time of the transaction
and the type of transaction concerned.
(6) The supplier is liable for any damage suffered by a consumer
due to a failure by the supplier to comply with subsection (5).
|
| 44.
| Cooling-off period
|
|
| (1) A consumer is entitled to cancel without
reason and without penalty any transaction
and any related credit agreement for the supply—
(a) of goods within seven days after the
date of the receipt of the goods; or
(b) of services within seven days after
the date of the conclusion of the agreement.
(2) The only charge that may be levied on the consumer
is the direct cost of returning
the goods.
(3) If payment for the goods or services has been effected prior
to a consumer exercising a right referred to
in subsection (1), the consumer is entitled
to a full refund of such payment, which refund must be made within
30 days of the date of cancellation.
(4) This section must not be construed as prejudicing the rights
of a consumer provided for in any other law.
|
| 45.
| Unsolicited
goods, services or communications
|
|
| (1) Any person who sends unsolicited
commercial communications to consumers, must
provide the consumer—
(a) with the option to cancel his or her
subscription to the mailing list of that person;
and
(b) with the identifying particulars of
the source from which that person obtained the
consumer'spersonal
information, on request of the consumer.
(2) No agreement is concluded where a consumer
has failed to respond to an unsolicited communication.
(3) Any person who fails to comply with or
contravenes subsection (1) is guilty of an offence and liable, on
conviction, to the penalties prescribed in section
89(1).
(4) Any person who sends unsolicited
commercial communications to a person who has
advised the sender that such communications are unwelcome, is guilty
of an offence and liable, on conviction, to the penalties prescribed
in section 89(1).
|
| 46.
| Performance
|
|
| (1) The supplier must execute the order within 30 days after the day
on which the supplier received the order, unless the parties have
agreed otherwise.
(2) Where a supplier has failed to execute the order within 30
days or within the agreed period, the consumer
may cancel the agreement with seven days' written notice.
(3) If a supplier is unable to perform in terms of the agreement
on the grounds that the goods or services ordered are unavailable,
the supplier must immediately notify the consumer
of this fact and refund any payments within 30 days after the date
of such notification.
|
| 47.
| Applicability of
foreign law
|
|
| The protection provided to consumers in this
Chapter, applies irrespective of the legal system applicable to the
agreement in question.
|
| 48.
| Non-exclusion
|
|
| Any provision in an agreement which excludes any rights provided for
in this Chapter is null and void.
|
| 49.
| Complaints
to Consumer Affairs Committee
|
|
| A consumer may lodge a complaint with the Consumer
Affairs Committee in respect of any non-compliance with the
provisions of this Chapter by a supplier.
|
|
CHAPTER VIII
PROTECTION
OF PERSONAL INFORMATION
|
| 50.
| Scope
of protection of personal information
|
|
| (1) This Chapter only applies to personal
information that has been obtained through electronic transactions.
(2) A data controller may
voluntarily subscribe to the principles outlined in section
51 by recording such fact in any agreement with a data
subject.
(3) A data controller must
subscribe to all the principles outlined in section
51 and not merely to parts thereof.
(4) The rights and obligations of the parties in respect of the
breach of the principles outlined in section 51
are governed by the terms of any agreement between them.
|
| 51.
| Principles
for electronically collecting personal information
|
|
| (1) A data controller must have the
express written permission of the data
subject for the collection, collation, processing or disclosure
of any personal information on
that data subject unless he or she is
permitted or required to do so by law.
(2) A data controller may not
electronically request, collect, collate, process or store personal
information on a data subject which
is not necessary for the lawful purpose for which the personal
information is required.
(3) The data controller must
disclose in writing to the data subject
the specific purpose for which any personal
information is being requested, collected, collated, processed
or stored.
(4) The data controller may not
use the personal information for
any other purpose than the disclosed purpose without the express
written permission of the data subject,
unless he or she is permitted or required to do so by law.
(5) The data controller must, for
as long as the personal information
is used and for a period of at least one year thereafter, keep a
record of the personal information
and the specific purpose for which the personal
information was collected.
(6) A data controller may not
disclose any of the personal
information held by it to a third party,
unless required or permitted by law or specifically authorised to do
so in writing by the data subject.
(7) The data controller must, for
as long as the personal information
is used and for a period of at least one year thereafter, keep a
record of any third party to whom the personal
information was disclosed and of the date on which and the
purpose for which it was disclosed.
(8) The data controller must
delete or destroy all personal
information which has become obsolete.
(9) A party controlling personal
information may use that personal
information to compile profiles for statistical purposes and may
freely trade with such profiles and statistical data,
as long as the profiles or statistical data
cannot be linked to any specific data
subject by a third party.
|
| 53.
| Identification
of critical data and critical databases
|
|
| The Minister may by notice in the Gazette—
(a) declare certain classes of
information which is of importance to the protection of the national
security of the Republic or the economic and social well-being of
its citizens to be critical data for
the purposes of this Chapter; and
(b) establish procedures to be followed
in the identification of critical
databases for the purposes of this Chapter.
|
| 54.
| Registration of
critical databases
|
|
| (1) The Minister may by notice in the
Gazette determine—
(a) requirements for the registration of critical
databases with the Department or such
other body as the Minister may specify;
(b) procedures to be followed for
registration; and
(c) any other matter relating to
registration.
(2) For purposes of this Chapter, registration of a critical
database means recording the following information in a register
maintained by the Department or by such
other body as the Minister may specify:
(a) The full name, address and contact
details of the critical database
administrator;
(b) the location of the critical
database, including the locations of component parts thereof
where a critical database is not
stored at a single location; and
(c) a general description of the
categories or types of information stored in the critical
database excluding the contents of such critical
database.
|
| 55.
| Management of
critical databases
|
|
| (1) The Minister may prescribe
minimum standards or prohibitions in respect of—
(a) the general management of critical
databases;
(b) access to, transfer and control of critical
databases;
(c) infrastructural or procedural rules
and requirements for securing the integrity and authenticity of critical
data;
(d) procedures and technological methods
to be used in the storage or archiving of critical
databases;
(e) disaster recovery plans in the event
of loss of critical databases or
parts thereof; and
(f) any other matter required for the
adequate protection, management and control of critical
databases.
(2) In respect of critical databases
administered by public bodies, all regulations contemplated in
subsection (1) must be made in consultation with all members of the
Cabinet affected by the provisions of this Chapter: Provided that
the Minister must not record information
contemplated in section 54(2) if that information
could reasonably compromise—
(a) the security of such databases; or
(b) the physical safety of a person
in control of the critical database.
(3) This Chapter must not be construed so as to prejudice the
right of a public body to perform any
function authorised in terms of any other law.
|
| 56.
| Restrictions
on disclosure of information
|
|
| (1) Information contained in the register provided for in section
54 must not be disclosed to any person
other than to employees of the Department
who are responsible for the keeping of the register.
(2) Subsection (1) does not apply in respect of information which
is disclosed—
(a) to a relevant authority which is
investigating a criminal offence or for the purposes of any criminal
proceedings;
(b) to government agencies responsible
for safety and security in the Republic pursuant to an official
request;
(c) to a cyber
inspector for purposes of section 57;
(d) pursuant to sections 11 and 30 of the
Promotion of Access to Information Act, 2000; or
(e) for the purposes of any civil
proceedings which relate to the critical
data or parts thereof.
|
|
CHAPTER X
DOMAIN
NAME AUTHORITY AND ADMINISTRATION
Part 1
Establishment
and incorporation of .za domain name authority
|
| 59.
| Establishment of
Authority
|
|
| A juristic person to be known as the .za Domain Name Authority is
hereby established for the purpose of assuming responsibility for
the .za domain name space as
from a date determined by the Minister by
notice in the Gazette and by notifying all relevant authorities.
|
| 60.
| Incorporation of
Authority
|
|
| (1) The Minister must, within 12 months of
the date of commencement of this Act, take all steps necessary for
the incorporation of the Authority as a
company contemplated in section 21(1) of the Companies Act, 1973
(Act No. 61 of 1973).
(2) All citizens and permanent residents of the Republic are
eligible for membership of the Authority
and must be registered as members upon application and on payment of
a nominal fee to cover the cost of registration of membership and
without having to comply with any formality.
(3) For the purpose of the incorporation of the Authority
a person representing the Minister
and the members of Namespace ZA as at the date of application for
incorporation must be deemed to be members of the Authority.
|
| 61.
| Authority's
memorandum and articles of association
|
|
| (1) The memorandum of association and articles of association of the
Authority must be consistent with this
Chapter and, except where this Chapter provides to the contrary,
also with the Companies Act, 1973 (Act No. 61 of 1973).
(2) Notwithstanding the Companies Act, 1973, an amendment to the
memorandum of association or articles of association affecting any
arrangement made by any provision of this Chapter, does not have any
legal force and effect unless the Minister
has consented in writing to such an amendment, which consent may not
be withheld unreasonably.
(3) No fee is payable in terms of the Companies Act, 1973, in
respect of the reservation of the name of the company, the
registration of the said memorandum and articles and the issue of
the certificate to commence business.
(4) The memorandum and articles of association of the Authority
must, amongst others, provide for—
(a) the rules for the convening and
conducting of meetings of the Board, including the quorum required
for and the minutes to be kept of those meetings;
(b) the manner in which decisions are to
be made;
(c) the establishment of any division of
the Authority to perform specialised
functions;
(d) the establishment and functioning of
committees, including a management committee;
(e) the co-opting by the Board or a
committee of any person to assist the Authority
or committee in the consideration of any particular matter;
(f) the preparation by the Board of an
annual business plan in terms of which the activities of the Authority
are planned annually;
(g) the banking and investment of funds
by the Board;
(h) provisions to regulate the manner in
which, and procedures whereby, expertise from any person
is obtained in order to further the objects of the Authority;
(i) the determination through arbitration
of any dispute concerning the interpretation of the memorandum and
articles of association of the Authority;
(j) the delegation of powers and
assignment of duties to directors, committees and employees:
Provided that the Board may—
(i) not be divested of any power or duty
by virtue of the delegation or assignment; and
(ii) vary or set aside any decision made
under any delegation or in terms of any assignment;
(k) the procedures and criteria for the
establishment and disestablishment of second
level domains and for delegations to such domains;
(l) appeal mechanisms;
(m) the tenure of directors;
(n) the circumstances under and the
manner in which a directorship is terminated;
(o) criteria for the disqualification of
directors;
(p) the method of determining the
allowances to be paid to directors for attending meetings; and
(q) the powers and duties of directors.
|
|
Part 2
Governance
and staffing of Authority
|
| 62.
| Board of directors
of Authority
|
|
| (1) The Authority is managed and controlled
by a Board of Directors consisting of nine directors, one of whom is
the chairperson.
(2) The process of appointment is the following:
(a) The Minister
must appoint an independent selection panel consisting of five persons,
who command public respect for their fair-mindedness, wisdom and
understanding of issues concerning the Internet,
culture, language, academia and business, the names of whom must be
placed in a notice in the Gazette;
(b) the Minister
must invite nominations for members of the Board from the public
through newspapers which have general circulation throughout the
Republic, on-line news services, radio and by notice in the Gazette;
(c) nominations must be made to the panel
established in terms of paragraph (a);
(d) the panel must recommend to the Minister
names of nine persons to be appointed to the
Board taking into account the sectors of stakeholders listed in
subsection (3)(b);
(e) if the Minister
is not satisfied that the recommendations of the panel comply with
subsection (3) the Minister may request the
panel to review its recommendations and make new ones;
(f) the Minister
must appoint the members of the Board, and publish the names of
those appointed in the Gazette;
(g) the Minister
must appoint the Chairperson of the Board from among the names
recommended by the panel.
(3)
(a) The Board, when viewed collectively,
must be broadly representative of the demographics of the country,
including having regard to gender and disability.
(b) Sectors of stakeholders contemplated
in subsection (2)(d) are—
(i) The existing Domain
Name community;
(ii) Academic and legal sectors;
(iii) Science, technology and engineering
sectors;
(iv) Labour;
(v) Business and the private sector;
(vi) Culture and language;
(vii) Public sector;
(viii) Internet
user community.
(4) Directors must be persons who are
committed to fairness, openness and accountability and to the
objects of this Act.
(5) All directors serve in a part-time and non-executive
capacity.
(6) Any vacancy on the Board must be filled in accordance with
subsections (2) and (3).
|
| 63.
| Staff of Authority
|
|
| (1) The chief executive officer of the Authority
appointed by the Board must perform any work incidental to the
functions of the Authority.
(2) The chief executive officer must be assisted by staff
appointed by the Board.
(3) The Board must determine the conditions of service,
remuneration and service benefits of the chief executive officer and
the staff.
(4) If the chief executive officer is for any reason unable to
perform his or her functions, the Board may designate a person
in the service of the Authority to act as
the acting chief executive officer until the chief executive officer
is able to resume office.
|
| 65.
| Functions of Authority
|
|
| (1) The Authority must—
(a) administer and manage the .za
domain name space;
(b) comply with international best
practice in the administration of the .za
domain name space;
(c) license and regulate registries;
(d) license and regulate registrars
for the respective registries; and
(e) publish guidelines on—
(i) the general administration and
management of the .za domain name
space;
(ii) the requirements and procedures for domain
name registration; and
(iii) the maintenance of and public
access to a repository,
with due regard to the policy directives
which the Minister may make from time to
time by notice in the Gazette.
(2) The Authority must enhance public
awareness on the economic and commercial benefits of domain
name registration.
(3) The Authority—
(a) may conduct such investigations as it
may consider necessary;
(b) must conduct research into and keep
abreast of developments in the Republic and elsewhere on the domain
name system;
(c) must continually survey and evaluate
the extent to which the .za domain
name space meets the needs of the citizens of the Republic; and
(d) may, from time to time, issue
information on the registration of domain
names in the Republic.
(4) The Authority may, and must when so
requested by the Minister, make
recommendations to the Minister in relation
to policy on any matter relating to the .za
domain name space.
(5) The Authority must continually
evaluate the effectiveness of this Act and things done in terms
thereof towards the management of the .za
domain name space.
(6) The Authority may—
(a) liaise, consult and co-operate with
any person or other authority; and
(b) appoint experts and other consultants
on such conditions as the Authority may
determine.
(7) The Authority must respect and
uphold the vested rights and interests of parties that were actively
involved in the management and administration of the .za
domain name space at the date of its establishment: Provided
that—
(a) such parties must be granted a period
of six months during which they may continue to operate in respect
of their existing delegated sub-domains; and
(b) after the expiry of the six-month
period, such parties must duly apply to be licensed registrars
and registries as provided for in this Part.
|
|
Part 4
Finances
and reporting
|
| 66.
| Finances of Authority
|
|
| (1) All money received by the Authority
must be deposited in a banking account in the name of the Authority
with a bank established under the Banks Act, 1990 (Act No. 94 of
1990), or a mutual bank established under the Mutual Banks Act, 1993
(Act No. 124 of 1993).
(2) The chief executive officer is the accounting officer of the Authority
and must ensure that—
(a) proper record of all the financial transactions,
assets and liabilities of the Authority are
kept; and
(b) as soon as possible, but not later
than three months after the end of a financial year, accounts
reflecting the income and expenditure of the Authority
and a
balance sheet of the assets and
liabilities of the Authority as at the end
of that financial year are prepared and submitted to the Board and Minister.
(3) The Authority is funded from—
(a) the capital invested in or lent to
the Authority;
(b) money appropriated by Parliament for
that purpose;
(c) income derived from the sale or other
commercial exploitation of its licenses, approvals, products,
technology, services or expertise in terms of this Act;
(d) loans raised by the Authority;
(e) the proceeds of any sale of assets;
(f) income or interest earned on the Authority's
cash balances or on money invested by it; and
(g) money received by way of grant,
contribution, donation or inheritance from any source inside or
outside the Republic.
(4) The funds of the Authority must be
utili sed to meet the expenditure incurred by the Authority
in connection with its functioning, business and operations in terms
of this Act.
(5)
(a) The money may be so utilised only as
provided for in a statement of the Authority's
estimated income and expenditure, that has been approved by the Minister.
(b) Money received by way of grant,
contribution, donation or inheritance in terms of subsection (3)(g),
must be utilised in accordance with any conditions imposed by the
grantor, contributor, donor or testator concerned.
(6)
(a) The Board must in each financial
year, at a time determined by the Minister,
submit to the Minister for approval a
statement of the Authority's estimated
income and expenditure for the next financial year.
(b) The Board may at any time during the
course of a financial year, submit a supplementary statement of
estimated income and expenditure of the Authority
for that financial year, to the Minister for
approval.
(c) The Minister
may grant the approval of the statement referred to in paragraph
(a), with the agreement of the Minister of Finance.
(d) The Authority
may not incur any expenditure in excess of the total amount approved
under paragraph (c).
(7) The Board may establish a reserve fund for any purpose that
is connected with the Authority's functions
under this Act and has been approved by the Minster, and may
allocate to the reserve fund the money that may be made available
for the purposes in the statement of estimated income and
expenditure or supplementary statement contemplated in subsection
(6).
(8) To the extent that the Authority is
provided with start-up capital by the State, the Authority
may, at the election of the Minister of Finance, be made subject to
the Public Finance Management Act, (Act No.1 of 1999), until such
time as the Authority, to the satisfaction
of the Minister of Finance, becomes self-sustaining through the
alternative sources of revenue provided for in subsection (3).
|
| 67.
| Reports
|
|
| As soon as practicable after the end of every financial year, the
Board must submit a report on its activities during that year to the
Minister who must table that report in
Parliament.
|
|
Part 5
Regulations
|
| 68.
| Regulations
regarding Authority
|
|
| The Authority may, with the approval of the
Minister, make regulations regarding—
(a) the requirements which registries
and registrars must meet in order to be
licensed, including objective standards relating to operational
accuracy, stability, robustness and efficiency;
(b) the circumstances and manner in which
registrations may be assigned, registered, renewed, refused, or
revoked by the registries with due regard to
the express recognition of the right of groups and members of groups
within the Republic to identify with, use or communicate cultural,
linguistic, geographical, indigenous or any other expressions of
heritage including any visual or audible elements or attributes
thereof;
(c) pricing policy;
(d) provisions for the restoration of a domain
name registration and penalties for late payments;
(e) the terms of the domain
name registration agreement which registries
and registrars must adopt and use in
registering domain names, including
issues in respect of privacy, consumer
protection and alternative dispute resolution;
(f) processes and procedures to avoid
unfair and anti-competitive practices, including bias to, or
preferential treatment of actual or prospective registrants,registries
or registrars, protocols or products;
(g) requirements to ensure that each domain
name contains an administrati ve and technical contact;
(h) the creation of new sub-domains;
(i) procedures for ensuring monitoring of
compliance with the provisions of this Act and the regulations
provided for in this Chapter, including regular .za
domain name space technical audits;
(j) such other matters relating to the .za
domain name space as it may be necessary to prescribe
to achieve the objectives of this Chapter; and
(k) policy to be applied by the Authority.
|
|
|
Part 6
Alternative
dispute resolution
|
| 69.
|
Alternative
dispute resolution
|
|
| (1) The Minister, in consultation with the
Minister of Trade and Industry, must make regulations for an
alternative mechanism for the resolution of disputes in respect of
the .za domain name space.
(2) The regulations must be made with due regard to existing
international precedent.
(3) The regulations may prescribe—
(a) procedures for the resolution of
certain types of disputes determined in the regulations and which
relate to a domain name registration;
(b) the role which the Authority
must fulfil in administering the dispute resolution procedure;
(c) the appointment, role and function of
dispute resolution adjudicators;
(d) the procedure and rules which must be
followed in adjudicating disputes;
(e) unlawful actions or activities in
respect of domain names, distinguishing
between criminal and civil liability;
(f) measures to prevent unlawful actions
or activities with respect to domain names;
(g) the manner, costs of and time within
which a determination must be made;
(h) the implementation of determinations
made in terms of the dispute resolution procedure;
(i) the limitation of liability of registrars
and registries for implementing a
determination; and
(j) the enforcement and publication of
determinations.
|
| 71.
| Recognition of
representative body
|
|
| (1) The Minister may, on application by an
industry representative body for service providers by notice in the
Gazette, recognise such body for purposes of section
72.
(2) The Minister may only recognise a
representative body referred to in subsection (1) if the Minister
is satisfied that—
(a) its members are subject to a code of
conduct;
(b) membership is subject to adequate
criteria;
(c) the code of conduct requires
continued adherence to adequate standards of conduct; and
(d) the representative body is capable of
monitoring and enforcing its code of conduct adequately.
|
| 72.
| Conditions for
eligibility
|
|
| The limitations on liability established by this Chapter apply to a
service provider only if—
(a) the service provider is a member of
the representative body referred to in section 71;
and
(b) the service provider has adopted and
implemented the official code of conduct of that representative
body.
|
| 73.
| Mere conduit
|
|
| (1) A service provider is not liable for providing access to or for
operating facilities for information
systems or transmitting, routing or storage of data
messages via an information system
under its control, as long as the service provider—
(a) does not initiate the transmission;
(b) does not select the addressee;
(c) performs the functions in an
automatic, technical manner without selection of the data;
and
(d) does not modify the data
contained in the transmission.
(2) The acts of transmission, routing and of provision of access
referred to in subsection (1) include the automatic, intermediate
and transient storage of the information transmitted in so far as
this takes place—
(a) for the sole purpose of carrying out
the transmission in the information
system;
(b) in a manner that makes it ordinarily
inaccessible to anyone other than anticipated recipients; and
(c) for a period no longer than is
reasonably necessary for the transmission.
(3) Notwithstanding this section, a competent court may order a
service provider to terminate or prevent unlawful activity in terms
of any other law.
|
| 74.
| Caching
|
|
| (1) A service provider that transmits data
provided by a recipient of the service via an information
system under its control is not liable for the automatic,
intermediate and temporary storage of that data,
where the purpose of storing such data is to
make the onward transmission of the data more
efficient to other recipients of the service upon their request, as
long as the service provider—
(a) does not modify the data;
(b) complies with conditions on access to the data;
(c) complies with rules regarding the updating of the data,
specified in a manner widely recognised and used by industry;
(d) does not interfere with the lawful use of technology, widely
recognised and used by industry, to obtain information on the use of
the data; and
(e) removes or disables access to the data it
has stored upon receiving a take-down notice referred to in section
77.
(2) Notwithstanding this section, a competent court may order a
service provider to terminate or prevent unlawful activity in terms
of any other law.
|
| 75.
| Hosting
|
|
| (1) A service provider that provides a service that consists of the
storage of data provided by a recipient of the
service, is not liable for damages arising from data
stored at the request of the recipient of the service, as long as
the service provider—
(a) does not have actual knowledge that
the data message or an activity relating
to the data message is infringing the
rights of a third party; or
(b) is not aware of facts or
circumstances from which the infringing activity or the infringing
nature of the data message is apparent;
and
(c) upon receipt of a take-down
notification referred to in section 77, acts
expeditiously to remove or to disable access to the data.
(2) The limitations on liability established by this section do
not apply to a service provider unless it has designated an agent to
receive notifications of infringement and has provided through its
services, including on its web sites in
locations accessible to the public, the name, address, phone number
and e-mail address of the agent.
(3) Notwithstanding this section, a competent court may order a
service provider to terminate or prevent unlawful activity in terms
of any other law.
(4) Subsection (1) does not apply when the recipient of the
service is acting under the authority or the control of the service
provider.
|
| 76.
| Information location
tools
|
|
| A service provider is not liable for damages incurred by a person
if the service provider refers or links users to a web
page containing an infringing data
message or infringing activity, by using information location
tools, including a directory, index, reference, pointer, or hyperlink,
where the service provider—
(a) does not have actual knowledge that
the data message or an activity relating
to the data message is infringing the
rights of that person;
(b) is not aware of facts or
circumstances from which the infringing activity or the infringing
nature of the data message is apparent;
(c) does not receive a financial benefit
directly attributable to the infringing activity; and
(d) removes, or disables access to, the
reference or link to the data message or
activity within a reasonable time after being informed that the data
message or the activity relating to such data
message, infringes the rights of a person.
|
| 77.
| Take-down notification
|
|
| (1) For the purposes of this Chapter, a notification of unlawful
activity must be in writing, must be addressed by the complainant to
the service provider or its designated agent and must include—
(a) the full names and address of the
complainant;
(b) the written or electronic
signature of the complainant;
(c) identification of the right that has
allegedly been infringed;
(d) identification of the material or
activity that is claimed to be the subject of unlawful activity;
(e) the remedial action required to be
taken by the service provider in respect of the complaint;
(f) telephonic and electronic contact
details, if any, of the complainant;
(g) a statement that the complainant is
acting in good faith;
(h) a statement by the complainant that
the information in the take-down notification is to his or her
knowledge true and correct; and
(2) Any person who lodges a notification of
unlawful activity with a service provider knowing that it materially
misrepresents the facts is liable for damages for wrongful
take-down.
(3) A service provider is not liable for wrongful take-down in
response to a notification.
|
| 78.
| No general
obligation to monitor
|
|
| (1) When providing the services contemplated in this Chapter there
is no general obligation on a service provider to—
(a) monitor the data
which it transmits or stores; or
(b) actively seek facts or circumstances
indicating an unlawful activity.
(2) The Minister may, subject to section
14 of the Constitution, prescribe
procedures for service providers to—
(a) inform the competent public
authorities of alleged illegal activities under taken or information
provided by recipients of their service; and
(b) to communicate to the competent
authorities, at their request, information enabling the
identification of recipients of their service.
|
| 79.
| Savings
|
|
| This Chapter does not affect—
(a) any obligation founded on an
agreement;
(b) the obligation of a service provider
acting as such under a licensing or other regulatory regime
established by or under any law;
(c) any obligation imposed by law or by a
court to remove, block or deny access to any data
message; or
(d) any right to limitation of liability
based on the common law or the Constitution.
|
|
CHAPTER XII
CYBER INSPECTORS
|
| 80.
| Appointment of
cyber inspectors
|
|
| (1) The Director-General may appoint
any employee of the Department as a cyber
inspector empowered to perform the functions provided for in
this Chapter.
(2) A cyber inspector must be
provided with a certificate of appointment signed by or on behalf of
the Director-General in which it is
stated that he or she has been appointed as a cyber
inspector.
(3) A certificate provided for in subsection (2) may be in the
form of an advanced
electronic signature.
(4) When a cyber inspector
performs any function in terms of this Act, he or she must—
(a) be in possession of a certificate of
appointment referred to in subsection (2); and
(b) show that certificate to any person
who—
(i) is subject to an investigation or an
employee of that person; or
(ii) requests to see the certificate.
(5) Any person who—
(a) hinders or obstructs a cyber
inspector in the performance of his or her functions in terms of
this Chapter; or
(b) falsely holds himself or herself out
as a cyber inspector,
is guilty of an offence.
|
| 82.
| Power to inspect,
search and seize
|
|
| (1) A cyber inspector may, in the
performance of his or her functions, at any reasonable time, without
prior notice and on the authority of a warrant issued in terms of section
83(1), enter any premises or access an information
system that has a bearing on an investigation and—
(a) search those premises or that information
system;
(b) search any person
on those premises if there are reasonable grounds for believing that
the person has personal possession of an
article, document or record that has a bearing on the investigation;
(c) take extracts from, or make copies of
any book, document or record that is on or in the premises or in the
information system and that has a
bearing on the investigation;
(d) demand the production of and inspect
relevant licences and registration certificates as provided for in
any law;
(e) inspect any facilities on the
premises which are linked or associated with the information
system and which have a bearing on the investigation;
(f) have access to and inspect the
operation of any computer or equipment forming part of an information
system and any associated apparatus or material which the cyber
inspector has reasonable cause to suspect is or has been used in
connection with any offence;
(g) use or cause to be used any information
system or part thereof to search any data
contained in or available to such information
system;
(h) require the person
by whom or on whose behalf the cyber
inspector has reasonable cause to suspect the computer or information
system is or has been used, or require any person
in control of, or otherwise involved with the operation of the
computer or information system to
provide him or her with such reasonable technical and other
assistance as he or she may require for the purposes of this
Chapter; or
(i) make such inquiries as may be
necessary to ascertain whether the provisions of this Act or any
other law on which an investigation is based, have been complied
with.
(2) A person who refuses to co-operate or
hinders a person conducting a lawful search
and seizure in terms of this section is guilty of an offence.
(3) The Criminal Procedure Act, 1977 (Act No. 51 of 1977),
applies with the necessary changes to searches and seizures in terms
of this Act.
(4) For purposes of this Act, any reference in the Criminal
Procedure Act, 1977, to "premises" and "article"
includes an information system as
well as data messages.
|
| 83.
| Obtaining warrant
|
|
| (1) Any magistrate or judge may, upon a request from a cyber
inspector but subject to the provisions of section 25 of the
Criminal Procedure Act, 1977 (Act No. 51 of 1977), issue a warrant
required by a cyber inspector in
terms of this Chapter.
(2) For the purposes of subsection (1), a magistrate or judge may
issue a warrant where—
(a) an offence has been committed within
the Republic;
(b) the subject of an investigation is—
(i) a South African citizen or ordinarily
resident in the Republic; or
(ii) present in the Republic at the time
when the warrant is applied for; or
(c) information pertinent to the
investigation is accessible from within the area of jurisdiction of
the court.
(3) A warrant to enter, search and seize may be issued at any
time and must—
(a) identify the premises or information
system that may be entered and searched; and
(b) specify which acts may be performed
thereunder by the cyber inspector to
whom it is issued.
(4) A warrant to enter and search is valid until—
(a) the warrant has been executed;
(b) the warrant is cancelled by the person
who issued it or in that person's absence, by
a person with similar authority;
(c) the purpose for issuing it has
lapsed; or
(d) the expiry of one month from the date
on which it was issued.
(5) A warrant to enter and search premises may be executed only
during the day, unless the judge or magistrate who issued it,
authorises that it may be executed at any other time.
|
| 84.
| Preservation of
confidentiality
|
|
| (1) Except for the purpose of this Act or for the prosecution of an
offence or pursuant to an order of court, a person
who has, pursuant to any powers conferred under this Chapter,
obtained access to any information may not disclose such information
to any other person.
(2) Any person who contravenes subsection
(1) is guilty of an offence and liable on conviction to a fine or to
imprisonment for a period not exceeding six months.
|
|
CHAPTER XIII
CYBER CRIME
|
| 85.
| Definition
|
|
| In this Chapter, unless the context indicates otherwise—
"access" includes the actions of a person
who, after taking note of any data, becomes
aware of the fact that he or she is not authorised to access that data
and still continues to access that data.
|
| 86.
| Unauthorised
access to, interception of or interference with data
|
|
| (1) Subject to the Interception and Monitoring Prohibition Act, 1992
(Act No. 127 of 1992), a person who
intentionally accesses or intercepts any data
without authority or permission to do so, is guilty of an offence.
(2) A person who intentionally and without
authority to do so, interferes with data in a
way which causes such data to be modified,
destroyed or otherwise rendered ineffective, is guilty of an
offence.
(3) A person who unlawfully produces,
sells, offers to sell, procures for use, designs, adapts for use,
distributes or possesses any device, including a computer program or
a component, which is designed primarily to overcome security
measures for the protection of data, or performs
any of those acts with regard to a password, access code or any
other similar kind of data with the intent to
unlawfully utilise such item to contravene this section, is guilty
of an offence.
(4) A person who utilises any device or
computer program mentioned in subsection (3) in order to unlawfully
overcome security measures designed to protect such data
or access thereto, is guilty of an offence.
(5) A person who commits any act described
in this section with the intent to interfere with access to an information
system so as to constitute a denial, including a partial denial,
of service to legitimate users is guilty of an offence.
|
| 87.
| Computer-related
extortion, fraud and forgery
|
|
| (1) A person who performs or threatens to
perform any of the acts described in section 86,
for the purpose of obtaining any unlawful proprietary advantage by
undertaking to cease or desist from such action, or by undertaking
to restore any damage caused as a result of those actions, is guilty
of an offence.
(2) A person who performs any of the acts
described in section 86 for the purpose of
obtaining any unlawful advantage by causing fake data
to be produced with the intent that it be considered or acted upon
as if it were authentic, is guilty of an offence.
|
| 88.
| Attempt, and aiding
and abetting
|
|
| (1) A person who attempts to commit any of the
offences referred to in sections 86 and 87
is guilty of an offence and is liable on conviction to the penalties
set out in section 89(1) or (2), as the case may
be.
(2) Any person who aids and abets someone
to commit any of the offences referred to in sections
86 and 87 is guilty of an offence and is
liable on conviction to the penalties set out in section
89(1) or (2), as the case may be.
|
| 89.
| Penalties
|
|
| (1) A person convicted of an offence referred
to in sections 37(3),40(2), 58(2),
80(5),82(2) or 86(1),
(2) or (3) is liable to a fine or imprisonment for a period not
exceeding 12 months.
(2) A person convicted of an offence
referred to in section 86(4) or (5) or section
87 is liable to a fine or imprisonment for a period not
exceeding five years.
|
|
CHAPTER XIV
GENERAL
PROVISIONS
|
| 90.
| Jurisdiction of courts
|
|
| A court in the Republic trying an offence in terms of this Act has
jurisdiction where—
(a) the offence was committed in the
Republic;
(b) any act of preparation towards the
offence or any part of the offence was committed in the Republic, or
where any result of the offence has had an effect in the Republic;
(c) the offence was committed by a South
African citizen or a person with permanent
residence in the Republic or by a person
carrying on business in the Republic; or
(d) the offence was committed on board
any ship or aircraft registered in the Republic or on a voyage or
flight to or from the Republic at the time that the offence was
committed.
|
| 91.
| Saving of common law
|
|
| This Chapter does not affect criminal or civil liability in terms of
the common law.
|
| 92.
| Repeal of Act 57 of 1983
|
|
| The Computer Evidence Act, 1983, is hereby repealed.
|
| 93.
| Limitation of liability
|
|
| Neither the State, the Minister, nor any
employee of the State is liable in respect of any act or omission in
good faith and without gross negligence in performing a function in
terms of this Act.
|
| 94.
| Regulations
|
|
| The Minister may make regulations regarding
any matter that mayor must be prescribed in
terms of this Act or any matter which it is necessary or expedient
to prescribe for the proper implementation
or administration of this Act.
|
| 95.
| Short title and
commencement
|
|
| This Act is called the Electronic Communications and Transactions
Act, 2002, and comes into operation on a date fixed by the President
by proclamation in the Gazette.
|
SCHEDULE 1
(see section 4(3))
| Item
| Column A
| Column B
|
| 1.
| Wills Act, 1953 (Act No.7 of 1953)
| 11, 12, 13, 14, 15, 16, 18, 19 and 20
|
| 2.
| Alienation of Land Act, 1981 (Act No. 68 of 1981)
| 12 and 13
|
| 3.
| Bills of Exchange Act, 1964 (Act No. 34 of 1964)
| 12 and 13
|
| 4.
| Stamp Duties Act, 1968 (Act No. 77 of 1968)
| 11, 12, 14
|
SCHEDULE 2
(see section 4(4))
| 1.
| An agreement for alienation of immovable property as provided for in
the Alienation of Land Act, 1981 (Act No. 68 of 1981).
|
| 2.
| An agreement for the long-term lease of immovable property in excess
of 20 years as provided for in the Alienation of Land Act, 1981 (Act
No. 68 of 1981).
|
| 3.
| The execution, retention and presentation of a will or codicil as
defined in the Wills Act, 1953 (Act No.7 of 1953).
|
| 4.
| The execution of a bill of exchange as defined in the Bills of
Exchange Act, 1964 (Act No. 34 of 1964). |
|