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Narcotic Control Regulations

Version of section 9.9 from 2006-03-22 to 2010-10-20:

  •  (1) Subject to subsection (2), the Minister shall revoke a dealer’s licence in accordance with section 9.92 if

    • (a) the licence was issued on the basis of false or misleading information or false or falsified documents submitted in or with the application;

    • (b) the licensed dealer has failed to comply with a provision of the Act, a regulation under it or a term or condition of the licence or of an import or export permit issued under these Regulations;

    • (c) the licensed dealer is no longer eligible under section 8.2; or

    • (d) it is discovered that the individual in charge of the premises to which the licence applies, the qualified person in charge or, if applicable, the alternate qualified person in charge at those premises has been convicted, as an adult, within the preceding 10 years, of

      • (i) a designated drug offence,

      • (ii) a designated criminal offence, or

      • (iii) an offence committed outside Canada that, if committed in Canada, would have constituted an offence referred to in subparagraph (i) or (ii); or

    • (e) information received from a competent authority or the United Nations raises a reasonable belief that the licensed dealer has been involved in the diversion of a narcotic to an illicit market or use.

  • (2) The Minister is not required to revoke a dealer’s licence under paragraph (1)(a) or (b) if the licensed dealer

    • (a) has no history of non-compliance with the Act and the regulations made or continued under it; and

    • (b) has carried out, or signed an undertaking to carry out, corrective measures to ensure compliance with the Act and these Regulations.

  • SOR/2004-237, s. 4

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