(1) A maritime industry participant must not engage in conduct that hinders or obstructs compliance with an offshore security plan of an offshore industry participant.
(2) If:
(a) an offshore security plan (the covering plan ) for an offshore industry participant covers the activities of another offshore industry participant; and
(b) the other participant:
(i) is not required to have an offshore security plan; and
(ii) has been given the relevant parts of the covering plan;
the other offshore industry participant must take all reasonable steps to comply with the covering plan.
(3) If:
(a) an offshore security plan (the covering plan ) for an offshore industry participant covers the activities of another offshore industry participant; and
(b) the other participant:
(i) is required to have an offshore security plan; and
(ii) has been given the relevant parts of the covering plan; and
(iii) has agreed in writing to those activities being covered by the covering plan;
the other offshore industry participant must take all reasonable steps to comply with the covering plan.
(4) If a maritime industry participant contravenes subsection (1), (2) or (3), the participant does not commit an offence but may be subject to an enforcement order (see section 189) or an injunction under section 197.