(b) the work of the Codex, OIE and IPPC;
(c) any knowledge and past experience it has of trading with the exporting Party; and
(d) information provided by the other Parties.
2. The Parties shall, without delay, provide each other with a description of the competent authorities of the Parties for the implementation of this Section. The Parties shall notify each other of any significant change to these competent authorities.
3. Each Party shall ensure that its competent authorities have the necessary resources to effectively implement this Section.
Article 2.47. Cooperation on Antimicrobial Resistance
1. The Parties recognise that antimicrobial resistance is a serious threat to human and animal health.
2. The Parties recognise that the nature of the threat requires a transnational and “One Health and Global Action Plan” approach, acknowledging the interdependencies between animal health, human health, food safety, food security and the environment.
3. The Parties shall explore initiatives to promote the prudent and responsible use of antimicrobial agents in animal and crop production and the phasing out of the use of antimicrobial agents internationally as growth promoters.
4. The Parties shall cooperate in and follow existing and future codes, guidelines, standards, recommendations and actions developed in relevant international organisations, initiatives and national plans aiming to promote the prudent and responsible use of antimicrobial agents in animal husbandry and veterinary practices and crop production, and, where appropriate, towards harmonisation of surveillance and data collection.
5. The Parties shall promote collaboration in all relevant multilateral fora, in particular in the OIE, the Food and Agriculture Organization of the United Nations and the Codex.
6. The Parties shall facilitate the exchange of information, expertise, data on antimicrobial resistance surveillance, and experiences in the field of combatting antimicrobial resistance, and identify common views, interests, priorities and policies in this area with the aim of implementing this Article. To this end, the Parties may establish a joint working group on combatting antimicrobial resistance which shall, as appropriate, share information with the SPS Sub-Committee. By agreement of the Parties, the working group created may invite experts for specific activities.
Article 2.48. Cooperation on Animal Welfare
1. The Parties recognise that animals are sentient beings. They also recognise the connection between improved welfare of animals and sustainable food production systems.
2. The Parties undertake to cooperate in international fora to promote the development of the best possible animal welfare practices and their implementation. In particular, the Parties shall cooperate to reinforce and broaden the scope of the OIE animal welfare standards, as well as their implementation, with a focus on farmed animals.
3. The Parties shall strengthen their cooperation on research in the area of animal welfare to develop adequate and science-based animal welfare standards related to animal breeding and the treatment of animals on thefarm, during transport and at slaughter.
4. The Parties shall facilitate the exchange of information, expertise, and experiences in the field of enhancing animal welfare, and identify common views, interests, priorities and policies in this area with the aim of implementing this Article. To this end, the Parties may establish a joint working group on animal welfare which shall, as appropriate, share information with the Sub-Committee on SPS. By agreement of the Parties, the working group created may invite experts for specific activities.
Article 2.49. Sustainable Food Systems
Each Party shall encourage its food safety, animal and plant health services to cooperate with their counterparts in the other Parties with the aim of promoting sustainable food production methods and food systems.
Article 2.50. Sub-Committee on Sanitary and Phytosanitary Measures
1. The Parties hereby establish a Sub-Committee on Sanitary and Phytosanitary Measures (SPS Sub-Committee), composed of regulatory and trade representatives of each Party responsible for SPS measures.
2. The functions of the SPS Sub-Committee include:
(a) to ensure through the consultations referred to in Article 2.40 (Minimum Standard of Treatment on Sanitary Measures) that Annex XIII (Provisions and Arrangements Concerning Sanitary and Phytosanitary Matters) affords the Parties no less favourable treatment than is afforded to the United Kingdom and the European Union pursuant to any UK-EU Sanitary Agreement. On the basis of the outcome of such consultations, the SPS Sub-Committee may make a recommendation to the Joint Committee established under Article 15.1 (Joint Committee) of Chapter 15 (Institutional Provisions) to adopt a decision to amend Annex XIII (Provisions and Arrangements Concerning Sanitary and Phytosanitary Matters).
(b) to facilitate consultations on the sanitary matters which are to be the subject of the cooperation envisaged under Article 2.41 (Cooperation on Sanitary Matters) and the nature and extent of such cooperation. On the basis of the outcome of such consultations, the SPS SubCommittee may make a recommendation to the Joint Committee to adopt a decision to amend Annex XIV (Cooperation on Sanitary Matters);
(c) to establish appropriate points of contact for the purposes of Article 2.42 (Transparency and Exchange of Information) and Article 2.44 (Notification and Consultation);
(d) to monitor the implementation of this Section, to consider any matter related to this Section and to examine all matters which may arise in relation to its implementation;
(e) to provide direction for the identification, prioritisation, management and resolution of issues;
(f) to address any request by a Party to modify an import check;
(g) at least once a year, to review the Annexes to this Section, notably in the light of progress made under the consultations provided for under this Agreement. Following its review, the SPS Sub-Committee may make recommendations to the Joint Committee to adopt decisions to amend the annexes to this Section;
(h) to monitor the implementation of a decision adopted by the Joint Committee pursuant to subparagraph (g), as well as the operation of measures introduced by that decision;
(i) to provide a regular forum to exchange information that relates to each Party’s regulatory system, including the scientific and risk assessment basis for an SPS measure;
(j) to make recommendations to the Joint Committee to adopt decisions to add definitions as referred to in paragraph 3 of Article 2.36 (Definitions), and to define details for the procedures referred to in paragraph 12 of Article 2.43 (Recognition of Plant Pest Status and Regional Conditions) and in Part 4 of Annex XIII (Provisions and Arrangements Concerning Sanitary and Phytosanitary Matters); and
(k) to establish other ways to support the explanations referred to in Part 4 of Annex XIII (Provisions and Arrangements Concerning Sanitary and Phytosanitary Matters).
3. The SPS Sub-Committee may, among other things:
(a) identify opportunities for greater bilateral engagement, including enhanced relationships, which may include an exchange of officials;
(b) discuss at an early stage a change to, or a proposed change to, an SPS measure being considered;
(c) facilitate improved understanding between the Parties on the implementation of the SPS Agreement, and promote cooperation between the Parties on SPS issues under discussion in multilateral fora, including the WTO Committee on Sanitary and Phytosanitary Measures and international standard-setting bodies, as appropriate; and
(d) identify and discuss, at an early stage, initiatives that have an SPS component, and that would benefit from cooperation.
4. The SPS Sub-Committee may establish working groups comprising expert level representatives of the Parties, to address specific SPS issues.
5. A Party may refer any SPS issue to the SPS Sub-Committee. The SPS SubCommittee should consider the issue without undue delay.
6. If the SPS Sub-Committee is unable to resolve an issue expeditiously, it shall, at the request of a Party, report promptly to the Joint Committee.
7. Unless the Parties decide otherwise, the SPS Sub-Committee shall meet and establish its work programme no later than 180 days following the entry into force of this Agreement, and its rules of procedure no later than one year after the entry into force of this Agreement.
8. Following its initial meeting, the SPS Sub-Committee shall meet as required, at least on an annual basis. The SPS Sub-Committee may decide to meet by videoconference or teleconference, and it may also address issues out of session by correspondence.
9. The SPS Sub-Committee shall report annually on its activities and work programme to the Joint Committee.
10. Upon entry into force of this Agreement, each Party shall designate and inform the other Parties, in writing, of a contact point to coordinate the SPS Sub-Committee ’s agenda and to facilitate communication on SPS matters.
Section 2.4. CUSTOMS AND TRADE FACILITATION
Article 2.51. Objectives and Principles
1. The Parties recognise the importance of customs and trade facilitation in the evolving global trading environment and will put in place customs arrangements that, where practicable, make use of all available facilitative arrangements and technologies.
2. The Parties affirm their rights and obligations under the WTO Agreement on Trade Facilitation. (4)
3. The Parties recognise that customs and international trade instruments and standards applicable in the area of customs and trade, such as the substantive elements of the Revised Kyoto Convention on the Simplification and Harmonization of Customs Procedures (5), the International Convention on the Harmonized Commodity Description and Coding System (6), the Customs Convention on the ATA Carnet for the Temporary Admission of Goods (7), the SAFE Framework of Standards to Secure and Facilitate Global Trade (the SAFE Framework) (8), the standards and recommendations set out by UN/CEFACT (9) and the Customs Data Model of the WCO (10) shall, where relevant, be taken into consideration for their import, export and transit requirements and procedures.
4. The Parties recognise that legislation and other trade-related law shall be non-discriminatory, and customs procedures shall be based upon the use of modern methods and effective controls to achieve the protection and facilitation of legitimate trade.
5. The Parties recognise that their customs procedures shall be no more administratively burdensome or trade restrictive than necessary to achieve legitimate objectives and that they shall, where appropriate, be applied in a manner that is predictable, consistent and transparent.
6. In order to ensure transparency, efficiency, integrity and accountability of operations, the Parties shall:
(a) review and simplify requirements and formalities wherever possible with a view to facilitating the rapid release and clearance of goods;
(b) give consideration to the further simplification and standardisation of data and documentation required by customs and other agencies in order to reduce the time and costs thereof for traders or operators, including small and medium-sized enterprises;
(c) ensure that the highest standards of integrity be maintained, through the application of measures reflecting the principles of the relevant international conventions and instruments in this field;
(d) ensure cooperation within each Party among customs and other border authorities; and
(e) provide for consultations between the Parties and their respective business communities.
7. The Parties shall seek to reinforce their cooperation with a view to ensuring that the relevant legislation and procedures, as well as the administrative capacity of the relevant administrations, fulfil the objectives of promoting trade facilitation while ensuring effective customs control.
8. A Party shall not require an original or a copy of an export declaration submitted to the customs authorities of the exporting Party as a requirement for importation. Nothing in this paragraph precludes a Party from requiring documents such as certificates, permits or licences as a requirement for the importation of controlled or regulated goods.
Article 2.52. Transparency, Publication and Consultations
1. Each Party shall to the extent practicable and in a manner consistent with its domestic law and legal system, publish in advance, and on the internet, proposals for any laws relevant to international trade in goods, with a view to affording interested persons an opportunity to comment on them.
2. Each Party shall, according to its law, ensure that new or amended law of general application related to customs and trade facilitation issues, are published or information on them made otherwise publicly available, as early as possible before their entry into force, in order to enable traders and other interested parties to become acquainted with them.
3. Changes to duty rates or tariff rates, measures that have a relieving effect, measures the effectiveness of which would be undermined as a result of compliance with paragraphs 1 and 2, measures applied in urgent circumstances, or minor changes to domestic law and legal system are each excluded from paragraphs 1 and 2.
4. Each Party shall consult its business community with regard to the development and implementation of trade facilitation measures, giving particular attention to the interests of small and medium-sized enterprises.
5. Each Party shall promptly publish, in a non-discriminatory and easily accessible manner including on the internet, its law and general administrative procedures and guidelines, related to customs and trade facilitation issues. These include:
(a) importation, exportation and transit procedures (including port, airport, and other entry point procedures) and required forms and documents;
(b) applied rates of duties and taxes of any kind imposed on or in connection with importation or exportation;
(c) fees and charges imposed by or for governmental agencies on or in connection with importation, exportation or transit;
(d) rules for the classification or valuation of products for customs purposes;
(e) law and administrative rulings of general application relating to rules of origin;
(f) import, export or transit restrictions or prohibitions;
(g) penalty provisions against breaches of import, export or transit formalities;
(h) appeal procedures;
(i) agreements or parts thereof with any country or countries relating to importation, exportation or transit;
(j) procedures relating to the administration of tariff quotas;
(k) hours of operation and operating procedures for customs offices at ports and border crossing points; and
(l) points of contact for information enquiries.
6. Each Party shall establish or maintain one or more enquiry points to address enquiries by interested parties or persons concerning customs and other trade facilitation issues and shall make information concerning the procedures for making such enquiries publicly available on the internet.
7. A Party shall not require the payment of a fee for answering enquiries or for providing the required forms and documents.
8. The enquiry points shall answer enquiries and provide the required forms and documents within a reasonable time period set by each Party, which may vary depending on the nature or complexity of the enquiry.
9. The information on fees and charges that shall be published in accordance with subparagraph 5(c) shall include the fees and charges that will be applied, the reason for such fees and charges, the responsible authority and when and how payment is to be made. Such fees and charges shall not be applied until information on them has been published.
Article 2.53. Data, Documentation and Automation
1. With a view to simplifying and minimising the complexity of import, export and transit formalities, data and documentation requirements, each Party shall ensure as appropriate, that such formalities, data and documentation requirements:
(a) are adopted or applied with a view to the rapid release of goods, in order to facilitate trade between the Parties; and
(b) are adopted or applied in a manner that aims to reduce the time and cost of compliance for traders and operators.
2. Each Party shall promote the development and use of advanced systems, including those based on information and communications technology, to facilitate the exchange of electronic data between traders or operators and its customs authorities and other trade-related agencies. This includes by:
(a) making electronic systems accessible to customs users;
(b) allowing a customs declaration to be submitted in electronic format;
(c) using electronic or automated risk management systems; and
(d) permitting or requiring the electronic payment of duties, taxes, fees and charges collected by the customs authority of each Party and incurred upon importation and exportation.
3. Each Party shall endeavour to make publicly available electronic versions of trade administration documents.
4. Each Party shall accept the electronic versions of trade administration documents as the legal equivalent of paper documents except where:
(a) there is a domestic or international legal requirement to the contrary; or
(b) doing so would reduce the effectiveness of the trade administration process.
5. The Parties shall endeavour to cooperate on the development of interoperable electronic systems, in order to facilitate trade between the Parties.
6. Each Party shall work towards further simplification of data and documentation required by its customs authorities and other related agencies.
Article 2.54. Simplified Customs Procedures
1. Each Party shall adopt or maintain measures allowing traders or operators fulfilling criteria specified in its law to benefit from further simplification of customs procedures. A Party may offer such trade facilitation measures through procedures generally available to all operators and is not required to establish a separate scheme.
2. Each Party shall endeavour to ensure that these simplified procedures include:
(a) customs declarations containing a reduced set of data or supporting documents, including for the movement of low-value consignments;
(b) deferred payment of customs duties and taxes until after the release of those imported goods;
(c) aggregated customs declarations for the payment of customs duties and taxes that may cover multiple imports and enable payment at monthly or quarterly intervals; and
(d) use of a guarantee with a reduced amount or a waiver from use of a guarantee.
3. The Parties agree to cooperate on and to consider further measures to reduce the administrative burdens on economic operators in relation to import and export.
Article 2.55. Release of Goods
1. Each Party shall adopt or maintain simplified customs procedures for the efficient release of goods in order to facilitate trade between the Parties and reduce costs for importers and exporters.
2. Each Party shall adopt or maintain procedures that:
(a) provide for the prompt release of goods, within, a period no longer than that required to ensure compliance with all applicable requirements and procedures, and as a maximum within 48 hours (11) of the goods and the relevant documents being presented to customs, in either case provided:
(i) the Party has received all information necessary to ensure compliance with all applicable requirements and procedures; and
(ii) the goods are not subject to physical inspection;
(b) to the extent possible and if applicable, provide for advance electronic submission and processing of import declarations and other information, including manifests, before the physical arrival of the goods to enable their release immediately upon arrival if no risk has been identified or if no other checks are to be performed;
(c) allow goods to be released at the point of arrival without temporary transfer to warehouses or other facilities, save for goods which a Party classifies as controlled or regulated goods according to its law;
(d) allow goods which a Party classifies as controlled or regulated goods to be released at the point of arrival where possible, subject to any separate procedures which apply to those goods under that Party’s law;
(e) allow for the release of goods prior to the final determination of customs duties, taxes, fees and charges, if such a determination is not done prior to, or promptly upon arrival, and provided that all other regulatory requirements have been met. Before releasing the goods, a Party may require that an importer provides sufficient guarantee in the form of a surety, a deposit, or some other appropriate instrument; and
(f) to the extent possible and if applicable, provide for, in accordance with its law, clearance of certain goods with a minimum of documentation.
3. Each Party shall adopt or maintain customs procedures under which goods in need of urgent clearance, including perishable goods, can be released promptly.
4. In order to avoid deterioration of perishable goods, each Party shall:
(a) either arrange for or allow an importer to arrange for the proper storage of perishable goods pending their release. The Party may require that any storage facilities arranged by the importer have been approved or designated by its relevant authorities. The movement of the goods to those storage facilities, including authorisations for the operator moving the goods, may be subject to the approval, where required, of the relevant authorities. The Party shall, where practicable and consistent with its domestic legislation and international obligations upon the request of the importer, provide for any procedures necessary for release to take place at those storage facilities; and
(b) in cases of delays in the release of perishable goods, the importing Party shall, to the extent practicable, provide, upon request, an explanation of the reason(s) for the delay.
5. Each Party shall ensure that its authorities and agencies involved in border and other import and export controls cooperate and coordinate to facilitate trade by, among other things, ensuring a high level of service for traders at their respective borders to a reasonable extent.
Article 2.56. Risk Management
1. Each Party shall maintain a risk management system using electronic data-processing techniques for customs control that enables its customs authorities to focus its inspection activities on high-risk consignments and to expedite the release of low-risk consignments.
2. Each Party shall design and apply its risk management in a manner which avoids arbitrary or unjustifiable discrimination, or disguised restrictions to international trade.
3. Each Party shall base its risk management on assessment of risk through appropriate selectivity criteria.
4. Each Party may also select, on a random basis, consignments for inspection activities referred to in paragraph 1 as part of its risk management.
5. In order to facilitate trade, each Party shall periodically review and update, as appropriate, the risk management system specified in paragraph 1.
Article 2.57. Advance Rulings
1. Each Party shall issue, through its customs authorities, an advance ruling that sets forth the treatment to be provided to the goods concerned. That ruling shall be issued in a reasonable, time bound manner and in any event within 90 days after the customs authority receives a written request (which may be in electronic format) from an applicant, providing it contains all necessary information in accordance with the law of the issuing Party. A Party may request a sample of the good for which the applicant is seeking an advance ruling.
2. An advance ruling shall cover tariff classification of the goods, origin of goods including their qualification as originating goods under Section 2.1 (General Provisions on Trade in Goods) and any other matter as the Parties may agree.
3. The advance ruling shall be valid for at least a three-year period of time after its issuance unless the law, facts or circumstances supporting the original advance ruling have changed.
4. A Party may decline to issue an advance ruling if the facts and circumstances forming the basis of the advance ruling are the subject of administrative or judicial review, or where the application is not based on factual information, or does not relate to any intended use of the advance ruling. A Party that declines to issue an advance ruling shall promptly notify the applicant in writing, setting out the relevant facts and the basis for its decision.
5. Each Party shall publish on the internet, at least:
(a) the requirements for the application for an advance ruling, including the information to be provided and the format;
(b) the time period by which it will issue an advance ruling; and
(c) the length of time for which the advance ruling is valid.
6. Where a Party revokes, modifies or invalidates an advance ruling, it shall provide written notice to the applicant setting out the relevant facts and the basis for its decision. Where the Party revokes, modifies or invalidates an advance ruling with retroactive effect, it may only do so where the ruling was based on incomplete, incorrect, inaccurate, false or misleading information provided by the applicant.
7. An advance ruling issued by a Party shall be binding on that Party in respect of the applicant that sought it and on the applicant.
8. Each Party shall provide, upon written request of an applicant, a review of the advance ruling or of the decision to revoke, modify or invalidate it.
9. Each Party shall make publicly available any information on advance rulings which it considers to be of significant interest to other interested parties, taking into account the need to protect commercially confidential information.
Article 2.58. Customs Valuation
For the purpose of determining the customs value of goods traded between the Parties, the provisions of Part I of the Agreement on Implementation of Article VII of the General Agreement on Tariffs and Trade 1994 in Annex 1A to the WTO Agreement shall apply, mutatis mutandis.