Unit of competency Outline

Date retreived
22/07/2026 8:24 AM AWST

Whilst all efforts are made to provide accurate and timely information from the relevant source/documentation, please be aware that the information supplied may not be the most current version. The accuracy of the detail has not been confirmed by the Department and therefore should not be relied upon without first confirming the contents.

Conduct a transport premises access audit

Conduct a transport premises access audit

Unit of competency
National Code
CPPACC4009A
State Code
W9781
TGA Status
Replaced
DTWD Status
Replaced
Current Release Number
1.00
Current Release Date
07/04/2011
State Implementation and Classification
Approved Date
15/09/2014
Field of Education
030905 - Building Services Engineering
Original Release Date
15/09/2014
Nominal Hours
50
Description
This unit specifies the competency required to perform inspections of transport premises to assess accessibility. The inspections may be conducted for the purposes of upgrading existing transport premises and for providing recommendations on new transport facilities.The access audit report will provide a description of accessibility, advice on compliance with existing legislation and usability by people with disabilities, and where necessary suggestions for corrective action.The unit requires the ability to communicate with transport providers and operators on the interpretation and implementation of the Disability Discrimination Act (DDA), DDA Transport Standard and relevant building legislation.The access consultant may either work alone or as a member of a team.
Notes
Elements and Performance Criteria
1Respond to client inquiry.
  • 1.1 The client requesting the transport premises access audit is identified and their authority to act is established in accordance with organisational requirements.1.2 Client needs are discussed and confirmed using effective interpersonal skills and communication techniques in accordance with organisational requirements.1.3 Personal competence and organisational capability to respond to client needs are determined and assessed.1.4 Authority to proceed is negotiated with client and documented in accordance with organisational requirements.
2Establish client relationship.
  • 2.1 Contractual arrangements are negotiated, confirmed, documented and stored in accordance with client, organisational and legislative requirements.2.2 A client brief providing the required level of detail is requested in accordance with organisational requirements.2.3 Site access arrangements are negotiated and relevant contact person is identified in accordance with client, organisational and legislative requirements.2.4 Copies of all relevant plans of the transport premises and associated documentation are obtained.
3Prepare for the transport premises access audit.
  • 3.1 A transport premises access audit checklist appropriate to the scale of the audit task is prepared.3.2 Personnel required to efficiently conduct the transport premises access audit are assembled and briefed.3.3 Tools and equipment required to efficiently conduct the transport premises access audit are assembled.3.4 Tools and equipment are calibrated to manufacturers' specifications prior to conducting the transport premises access audit.3.5 Transport premises site is accessed in accordance with site access arrangements.
4Conduct the transport premises access audit.
  • 4.1 The extent to which the outdoor areas within the property boundary comply with the requirements of the transport legislation for access for people with disabilities is determined.4.2 The presence of on-site car parking and the extent to which reserved disability parking is provided are determined.4.3 The extent to which paths of travel to and within all spaces of the building comply with access requirements of transport legislation is determined.
  • 4.4 The fitout of the transport premises required to be accessible for compliance with transport legislation is assessed.4.5 Aspects of the property, including car parking, continuous paths of travel and fitout, that do not comply with access requirements of transport legislation are determined.4.6 Appropriate strategies for overcoming areas of non-compliance are developed and documented.
5Prepare the transport premises access audit report.
  • 5.1 A transport premises access audit report is prepared for the client in accordance with contractual arrangements and organisational requirements.5.2 The draft transport premises access audit report is reviewed with appropriate persons in accordance with organisational requirements.5.3 Feedback received from the review process is incorporated and the transport premises access audit report is completed.
6Distribute and store the transport premises access audit report.
  • 6.1 Transport premises access audit report documentation is prepared in accordance with organisational arrangements.6.2 Transport premises access audit report documentation is forwarded to the client in accordance with contractual arrangements.6.3 A copy of the transport premises access audit report and associated documentation are recorded and retained for future reference in accordance with organisational and legislative requirements.
RANGE STATEMENT
The range statement relates to the unit of competency as a whole. It allows for different work environments and situations that may affect performance. Bold italicised wording in the performance criteria is detailed below. Add any essential operating conditions that may be present with training and assessment depending on the work situation, needs of the candidate, accessibility of the item, and local industry and regional contexts.
Client may include:
architect
owner and manager
building designer
builder
building certifier and surveyor
developer
transport service provider
transport service operator.
Transport premises may include:
passenger use areas of buildings classified by the Building Code of Australia (BCA) as Class 9b Used for Public Transport.
Organisational requirements may be outlined and reflected in:
access and equity policy, principles and practices
business and performance plans
client service policies, procedures and standards
codes of conduct and codes of practice
communication channels and reporting procedures
communication of services offered
complaint and dispute resolution procedures
compliance with legislation, codes and workplace standards
continuous improvement processes and standards
defined resource parameters
duty of care
employer and employee rights and responsibilities
ethical standards
legal policies and guidelines
OHS policies, procedures and programs
organisational mission statement, goals, objectives, plans, systems and processes
policies and procedures relating to the setting of fees and the negotiation and management of contracts

policies and procedures relating to own role, responsibilities and delegation
privacy and confidentiality policies and procedures
quality assurance and/or procedures manuals
records and information management systems and processes
style guides and other guides used to prepare documents.
Interpersonal skills and communication techniques may include:
active listening to clarify and confirm understanding
control of tone of voice and body language
culturally aware/sensitive use of language and concepts
demonstrating flexibility and a willingness to negotiate
presenting options and consequences
providing constructive feedback
reflection
seeking feedback to confirm understanding of needs
summarising and paraphrasing to check understanding
using effective presentation aids (e.g. audiovisual slides, diagrams, photographs and pictures)
using language that is:
accurate, articulate and concise
positive, confident and cooperative
verbal or non-verbal.
Legislative requirements may be outlined and reflected in:
relevant commonwealth, state and territory legislation that affects organisational operation:
OHS
building
environmental
equal employment opportunity
industrial relations
transport
anti-discrimination and diversity
Australian standards
Australian Design Rules
industry codes of practice and ethics
local government regulations and by-laws
privacy legislation
quality assurance and certification requirements
trade practices laws and guidelines.
Client brief will include:
written instructions detailing requirements of the access consultant
transport premises plans.
Site access arrangements may include:
access and egress points
keys, passes and security clearances
OHS requirements, including PPE
timing of access.
Relevant contact person may include:
identified contact
owner and manager
site supervisor.
Transport premises access audit checklist may be developed in-house or purchased commercially and may include the following:
transport premises identification and data sheet
minimum requirements summary sheets (spaces and special areas):
parking and passenger set-down zones
site-accessible paths and elements
entrances
building-accessible paths of travel
rooms and spaces (e.g. ticket offices, check-in desks, transit lounges and concourses)
toilets and bathrooms
public address systems
special purpose facilities (e.g. restaurants, medical facilities, shops, money exchange facilities, car rental desks and parking)
special features (e.g. signage, alarms and tactile ground surface indicators)
government regulatory facilities (e.g. customs, quarantine, immigration and security)
historic preservation
technical requirement audit forms:
parking and passenger set-down zones
exterior access paths
ramps
kerb ramps
step ramps

stairs
entrances and exits, including safe havens to await rescue
gates and doors
interior access paths (lobbies and corridors)
platform lifts
lifts
rooms and spaces
assembly areas
toilets and bathrooms
bathtubs and showers
dressing and fitting rooms
signage
tactile ground surface indicators
alarms
drinking fountains
telephones
automated teller machines
public address systems.
transport premises access audit report form.
Transport legislation includes:
Australian Design Rules
Australian standards
BCA
DDA
DDA Transport Standard
local government building regulations
state and territory building legislation.
Appropriate person may include:
another member of the transport premises access audit team
business partner or colleague
staff member.
EVIDENCE GUIDE
The evidence guide provides advice on assessment and must be read in conjunction with the performance criteria, required skills and knowledge, the range statement and the Assessment Guidelines for this Training Package.
Overview of assessment
This unit of competency could be assessed on its own or as part of an integrated assessment activity involving other competencies relevant to the job function.
Critical aspects for assessment and evidence required to demonstrate competency in this unit
A person who demonstrates competency in this unit must be able to provide evidence of:
recognising the needs and desires of people with disabilities to engage fully in all aspects of society, and their right to do so
interpreting accurately the impacts of the full range of disabilities and the limitations that each disability places on the individual's ability to access the environment
interpreting accurately how the full range of environmental barriers impact on any of the impairments that people with disabilities might have
complying with OHS regulations applicable to workplace operations
applying organisational management policies and procedures, including quality assurance requirements
interpreting and applying anti-discrimination legislation for the provision of access
interpreting and applying transport legislation for the provision of access
preparing a transport premises access audit report that complies with legislative requirements and fulfils contractual requirements
reading and interpreting building plans accurately
using measurement tools correctly and recording collected data accurately.
Context of and specific resources for assessment
Resource implications for assessment include:
a registered provider of assessment services
competency standards
assessment materials and tools
suitable assessment venue/equipment
workplace documentation
candidate special requirements
cost and time considerations.
Validity and sufficiency of evidence requires that:
competency will need to be demonstrated over a period of time reflecting the scope of the role
where the assessment is part of a structured learning experience the evidence collected must relate to a number of performances assessed at different points in time and separated by further learning and practice with a decision of competence only taken at the point when the assessor has complete confidence in the person's competence
all assessment that is part of a structured learning experience must include a combination of direct, indirect and supplementary evidence
where assessment is for the purpose of recognition (RCC/RPL), the evidence provided will need to be current and show that it represents competency demonstrated over a period of time
assessment can be through simulated project-based activity and must include evidence relating to each of the elements in this unit.
Replaced By
State Code National Code Title Type
AXF69 CPPACC4009 Conduct transport premises access audits Unit of competency