Notices of Non-compliance, Notices to Agree and Sanctions in Ranelagh Gardens

Service Provider: Mali Nominees Pty Ltd

Non-Compliance Notices

Details
Status Status Archived
Date notice sent Date notice sent 15/06/2021
Reason(s) for notice Reason(s) for notice A Non-Compliance Notice was issued to the approved provider on 15 June 2021 for failure to comply with sections 52M-1(1) and section 52P-1(4) of the Aged Care Act 1997. Specifically in relation to the requirements to comply with the following:
• To refund refundable deposit balances within 14 days of receipt of probate of the will or letters of administration
• Prudential Standards – Liquidity Standard set out under Division 2 of the Fees and Payments Principles 2014 (No. 2) – the approved provider must maintain sufficient liquidity to ensure the approved provider can refund in accordance with the Act
 
Outcome Outcome The notice of non-compliance was superseded by a sanction on 8 July 2021.

Sanctions and Notices to Agree

Details
Status Status Current
Sanction or Notice to Agree applied Sanction or Notice to Agree applied The sanctions imposed are:
• The approved provider is required to refund the refundable deposits due under section 52P-1 of the Aged Care Act 1997 by 5 August 2021
• The approved provider is prohibited from charging an accommodation payment or accommodation contribution for its residential care services for a period of six months, ending on 25 January 2022
 
Sanction or Notice to Agree date Sanction or Notice to Agree date 08/07/2021
Expiry date Expiry date 25/01/2022
Reason(s) for sanction or notice to agree Reason(s) for sanction or notice to agree

A Non-Compliance Notice was issued to the approved provider on 15 June 2021 for failure to comply with sections 52M-1(1) and section 52P-1(4) of the Aged Care Act 1997. Specifically in relation to the requirements to comply with the following:

  • To refund refundable deposit balances within 14 days of receipt of probate of the will or letters of administration
  • Prudential Standards – Liquidity Standard set out under Division 2 of the Fees and Payments Principles 2014 (No. 2) – the approved provider must maintain sufficient liquidity to ensure the approved provider can refund in accordance with the Act
Current status of service Current status of service