FCCC/SB/1999/CRP.3/Rev.1

10 June1999



ENGLISH ONLY



SUBSIDIARY BODY FOR SCIENTIFIC AND TECHNOLOGICAL ADVICE

Tenth session

Bonn, 31 May - 11 June 1999

Agenda item 10



SUBSIDIARY BODY FOR IMPLEMENTATION

Tenth session

Bonn, 31 May - 11 June 1999

Agenda item 6



REPORT OF THE JOINT WORKING GROUP ON COMPLIANCE

ON ITS WORK DURING THE TENTH SESSIONS OF THE

SUBSIDIARY BODIES

I. OPENING OF THE MEETINGS



1. The meetings of the joint working group on compliance (JWG) were held at the Hotel Maritim, Bonn from 2 to 10 June 1999. Mr. Espen Ronneberg and Mr. Harald Dovland presided over the meeting.



2. The Co-Chair of the JWG, Mr. Espen Ronneberg, opened the meeting at the first meeting, on 2 June 1999. In welcoming the participants, he recalled that the Conference of the Parties, by its decision 8/CP.4 had established the JWG with the mandate to develop a comprehensive compliance system. He noted that the group had an important task as the compliance system will ensure the credibility of, and confidence in, the Kyoto Protocol. He believed that, despite the complexity of the task, the group should be able to fulfil its task.

3. The JWG agreed to organize its work in the current and subsequent meetings according to the following agenda, with the understanding that it could be modified, if needed, in the future.



1. Opening of the meetings.



2. Procedures and mechanisms relating to compliance under the Kyoto Protocol:

(a) Identification of compliance-related elements, including gaps and suitable forums to address them;





BNJ.99-233

(b) Design of a compliance system;

(c) Consequences of non-compliance;

(d) Other elements as identified in decision 8/CP.4 and in the progress of work.



3. Work programme.



4. Report on progress to the Subsidiary Body for Scientific and Technological Advice (SBSTA) and the Subsidiary Body for Implementation (SBI).

5. Other matters.



II. PROCEDURES AND MECHANISMS RELATING TO

COMPLIANCE UNDER THE KYOTO PROTOCOL

(Agenda item 2)



Proceedings



Conclusions



III. WORK PROGRAMME

(Agenda item 3)



Conclusions



12. The JWG, having considered a proposal by its Co-Chairs, adopted the following work programme:



(a) The work of the JWG during the eleventh session of the subsidiary bodies will be organized according to the agenda contained in paragraph 3 of this document, on the understanding that additional items, if needed, could be taken up at any time in the future;



(b) The JWG invited Parties to make submissions to the secretariat in response to questions related to a compliance system contained in annex I to this document, by 1 August 1999, to be made available by the secretariat in a miscellaneous document. Parties may also wish to address additional issues raised in decision 8/CP.4 to the extent that those issues are not otherwise covered in their previous submissions;



(c) The JWG requested the Co-Chairs, supported by the secretariat, to produce a synthesis of all proposals by Parties to update the non-paper prepared by the secretariat for the consultation on 31 May 1999 and include elements related to a compliance system under the Protocol, for consideration by the JWG at its next meeting. The JWG noted that this document would be available as a late submission for its work during the eleventh session of the subsidiary bodies;



(d) An informal exchange of views and information will be organized early in October 1999 by the Co-Chairs of the JWG, with the assistance of the secretariat, based on the agenda contained in annex II to this document and guided by the views expressed by the Parties during the tenth sessions of the subsidiary bodies. The purpose will be an informal exchange of views and information, including an exchange of information related to experience in other conventions to help Parties obtain a better understanding of a compliance system needed under the Kyoto Protocol, bearing in mind that this workshop will not be a forum for negotiation. The Co-Chairs will make an informal factual report, with no recommendation, on this workshop to the JWG at the eleventh sessions of the subsidiary bodies. This workshop will be open to Parties and observers under rules 6 and 7 of the draft rules of procedure, as applied (see FCCC/CP/1996/2), taking into account the importance of participation of the developing country Parties. Such participation by the developing country Parties should be facilitated to the extent possible. The JWG urged all Parties in a position to do so to make voluntary contributions for this purpose.



(e) The JWG agreed that a workshop on matters related to a compliance system under the Kyoto Protocol is needed after COP 5 between the eleventh and twelfth sessions of the subsidiary bodies. The JWG noted that the secretariat would assess its capacity to carry out the activities requested in the light of the programme budget for 2000-2001 to be recommended by the SBI for approval by COP 5 and of the overall calendar of meetings and workshops.



IV. REPORT ON PROGRESS TO THE SUBSIDIARY BODY FOR

SCIENTIFIC AND TECHNOLOGICAL ADVICE AND THE

SUBSIDIARY BODY FOR IMPLEMENTATION

(Agenda item 4)



13. The JWG considered and adopted the draft report on its work. The JWG requested the Co-Chairs, with the assistance of the secretariat to complete the report, taking into account the discussions of the JWG, as well as the need for editorial changes.



V. OTHER MATTERS

(Agenda item 5)



14. No other matters were raised by Parties under this agenda item.



15. The Co-Chairs, after thanking all participants for their constructive cooperation, declared the meetings of the JWG closed.

Annex I



QUESTIONS RELATED TO A COMPLIANCE SYSTEM

UNDER THE KYOTO PROTOCOL



General issues



1. What should be the objectives and nature of a compliance system?



2. What should be the principles that guide the development of the procedures and mechanisms to implement Article 18 of the Kyoto Protocol?



3. What types of issue should be addressed under this procedure?



4. How might this procedure differentiate between the timing and character of various commitments under the Protocol?



5. Should procedures and mechanisms "entailing binding consequences" be adopted concerning non-compliance with respect to:



(a) "Guidelines" for the national systems for estimating emissions of greenhouse gases and removals by sinks, which may be established pursuant to Article 5.1; or "guidelines" for the implementation of Article 6, as provided for in Article 6.2; or "guidelines" for the reporting of certain information in national communications, as provided for in Article 7.4?



(b) "Modalities, rules and guidelines" adopted pursuant to Article 3.4, concerning how, and which, additional categories of sinks may be added to those contained in Article 3.3?



(c) "Modalities and procedures" concerning the clean development mechanisms, which may be adopted pursuant to Article 12.7?



(d) "Principles, modalities, rules and guidelines" concerning emissions trading, which may be adopted pursuant to Article 17?



6. Is one integrated procedure sufficient or is more than one procedure needed? Is a separate procedure needed (or sub-procedure within a general procedure) for dealing with compliance elements of the mechanisms in Articles 6, 12 and 17?



7. What should be the relationship between this procedure and (a) the expert review process under Article 8 of the Protocol; (b) any procedures and institution established under Article 13 of the Convention; (c) the procedures under Article 19 of the Protocol?









8. The expert review teams contemplated in Article 8 of the Kyoto Protocol review information submitted under Article 7, by each Party included in Annex I. In this regard:



(a) Should we integrate the requirements of Article 8.3 and 8.5 with the procedures that may be developed to implement Articles 18, 16, and 19? If so, how?



(b) Although the expert review teams may provide information relevant to whether an Annex I Party is at risk of non-compliance or may not be in compliance, do the teams have authority to make any determination (initial, provisional, or otherwise) that such Party is in non-compliance?

(c) If the report of the review team (issued after the end of a commitment period of an Annex I Party) does not indicate non-compliance by the Annex I Party with its emissions limitation and reduction commitment under Article 3 of the Protocol, does that preclude any Party from being able to raise an issue of non-compliance?



(d) Should a review team possess authority to initiate, by its own determination, a procedure adopted pursuant to Article 18 that could result in binding consequences to a Party?

(e) Should a review team possess authority to initiate, by its own determination, a procedure that may be developed to implement Article 16?



Institutional issues



9. Who should be able to initiate a procedure for determining and addressing non-compliance with the Protocol?



10. From what sources may such an institutional arrangement seek, receive or consider information?



11. Should such an institutional arrangements be ad hoc or standing in nature?



12. If it is a standing body, how frequently should it be convened?



13. What should be the size and composition of such an institutional arrangement?



14. What expertise should be required of its members and in what capacity should they serve?



15. What rules of procedure should govern its operations? How could these best ensure due process, and the transparency of its operation?

Issues related to consequences of non-compliance



16. What role should the Protocol's other institutions play in (a) the determination of compliance; (b) the secretariat; (c) the subsidiary bodies; (d) the operating entity of the financial mechanism; (e) the executive board of the clean development mechanism; (f) the COP/MOP.



17. What types of non-compliance should be associated with specific consequences in advance?



18. Should the idea of "automatic" penalties be used? If so, in what cases?



19. Should financial penalties be used? If so, in what cases? Elaborate, including a description of how and for what purposes the proceeds of financial penalties should be used.



20. What role should this procedure or institutional arrangement have in approving or reviewing the operation of any "automatic" non-compliance responses provided by the Protocol or agreed by the COP/MOP?

21. What should be the outcome of the compliance system?



22. What procedures and mechanisms under Article 18 entail binding consequences? What are the implications of "binding consequences" vis-à-vis other consequences of non-compliance, and the amendment of the Protocol?



Other issues



23. Any other issues related to a compliance system.

Annex II



Agenda for an informal exchange of views and information



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