Full Text
EXTRAORDINARY
PART II —Section 3 —Sub-section ( i)
PUBLISHED BY AUTHORITY
No. 467] NEW DELHI, WEDNES DAY, AUGUST, 9, 2023/ SHRAVANA 18, 194 5
CG-DL-E-10082023-247994
MINISTRY OF CIVIL AVIATION
NOTIFICATION
New Delhi, the 9th. August, 2023
G.S.R . 596 (E).—Whereas, the draft of Aircraft (Security) Rules, 2022 were published in the Gazette of
India, Extraordinary, Part II, Section 3, Sub-section (i), inviting objections and suggestions from all persons likely to
be affected thereby, before the expiry of the period of thirty days from the date on which copies of the Gazette
containing the said notification were made available to public .
And Whereas, the proposed rules are to be issued in the light of Convention relating to the International Civil
Aviation signed at Chicago on the 7th day of December, 1944;
And Whereas, copies of the Gazette containing the said notification were made available to the public on the
10th day of November, 2022;
And Whereas, the objections and suggestions on the said draft rules from the public have been duly
considered by the Central Government;
Now, therefore, in exercise of the powers conferre d by sections 4, 5, sub -section (2) of sections 10, 10A,
10B,12,12A, 12B and read with Section 14 of the Aircraft Act, 1934 (22 of 1934), and in supersession of the Aircraft
(Security) Rules, 2011, except as respects things done or omitted to be done befor e such supersession the Central
Government hereby makes the following rules, namely: -----
CHAPTER I
PRELIMINARY
1. Short title and commencement - (1) These rules may be called the Aircraft (Security) Rules, 2023.
(2) They shall come into force on the date o f their publication in the Official Gazette.
2. Definitions - (1) In these rules, unless the context otherwise requires, -
(a) “accompanied hold baggage” means baggage which is accepted for carriage in the hold of an aircraft and
which is checked in b y the passenger who is on board (hereinafter referred to as “hold baggage”);
(b) “Act” means the Aircraft Act, 1934 (22 of 1934);
(c) “acts of unlawful interference” means acts or attempted acts such as to jeopardize the safety of civil
aviation, including , but not limited to –
(i) unlawful seizure of aircraft;
(ii) destruction of an aircraft in service;
(iii) hostage -taking on board aircraft or on aerodromes;
(iv) forcible intrusion on board an aircraft, at an airport or on the premises of an aeronautica l
facility;
(v) introduction on board an aircraft or at an airport of a weapon or hazardous device or material
intended for criminal purposes;
(vi) use of an aircraft in service for the purpose of causing death, serious bodily injury, or serious
damage to property or the environment; and
(vii) communication of false information such as to jeopardize the safety of an aircraft in flight or on
the ground, of passengers, crew, ground personnel or the general public, at an airport or on the
premises of a civil aviation facility.
(d) “aerodrome entry permit” means the identity card, issued by the Director General or any person
authorised by the Central Government as per guidelines issued by the Central Government and used for entry
into an aerodrome or any par t of an aerodrome;
(e) “aerodrome operator” means a person, organisation or enterprise responsible for operation and
management of an aerodrome;
(f) “aircraft operator” means a person, organisation or enterprise engages in or offering to engage in an
aircraft operation;
(g) “airside” means the movement area of an aerodrome, adjacent terrain and building or portions thereof,
access to which is controlled;
(h) “Annex 17” means Annex 17 to the Convention relating to International Civil Aviation signed at Chic ago
on the 7th day of December, 1944 as amended from time to time;
(i) “aviation security” means a combination of measures, human and material resources intended to be used
to safeguard civil aviation against acts of unlawful interference;
(j) “Aviation Security Group” means a unit of specialised Government agency authorised by the Director
General to safeguard civil aviation against acts of unlawful interference and for the protection of property at
the aerodrome handling civil aviation;
(k) “background check” means a check of person’s identity and previous experience, including any criminal
history and any other relevant information, as part of the assessment of an individual’s suitability to
implement a security control or for unescorted a ccess to the aerodrome;
(l) “business establishment” means such entities located in specified areas at an aerodrome, which are
engaged in carrying out business activities or providing any service or both, for financial returns;
(m) “cabin baggage” means a baggage intended for carriage in the cabin of an aircraft;
(n) “cargo” means any property carried on an aircraft other than mail, stores and accompanied or mishandled
baggage;
(o) “catering stores” means all items, other than catering supplies, associated with passenger inflight services,
for example newspapers, magazines, headphones, audio and video storage devices, pillows and blankets, and
amenity kits;
(p) “catering supplies” means food, beverages, other dry stores and associated equipment used on boar d an
aircraft;
(q) “certification” means a formal evaluation and confirmation by or on behalf of the Director General for
aviation security that a person possesses the necessary competencies to perform assigned functions to an
acceptable level as determin ed by the Director General;
(r) “Convention” means the Convention related to International Civil Aviation signed at Chicago on the 7th
day of December, 1944;
(s) “Director General” means Director General of Bureau of Civil Aviation Security, appointed unde r section
4B of the Act, who shall also be appropriate authority for the requirements of Annex 17;
(t) “entity” means a person or a group of persons or a company, including but not limited to an aerodrome
operator, aircraft operator, ground handling agency , regulated agent, fuel farm, maintenance, repair and
overhaul, catering establishment, business establishment, and any other category as may be included by the
Central Government or an officer authorised on its behalf for such purposes, from time to time and has its
direct or indirect place of business, provides any service, facility, carries out any commercial or financial
activity, or any other legal transactions, at the airport or on the premises of a civil aviation facility;
(u) “express cargo” means g oods other than mail and accompanied or baggage involuntarily or inadvertently
separated from passengers or crew which is required to be carried on priority basis by an aircraft operator;
(v) “fuel farm” means an agency or company which stores and supplies aviation turbine fuel to the aircraft
operator at any airport;
(w) “ground handling agency” means an entity established for the purpose of providing ground handling
services at an airport, and security cleared by the Director General;
(x) “high -risk cargo or mail” means cargo or mail presented by an unknown entity or showing signs of
tampering shall be considered high risk if, in addition, it meets one of the following criteria, namely: -
(a) specific intelligence indicates that the cargo or mail poses a t hreat to civil aviation;
(b) the cargo or mail shows anomalies that give rise to suspicion; or
(c) the nature of the cargo or mail is such that baseline security measures alone are unlikely to detect
prohibited items that could endanger the aircraft;
(y) “ in-flight security officer” means Government security personnel deployed on board an aircraft with the
purpose of protecting that aircraft and its occupants against acts of unlawful interference;
(z) “known consignor” means a consignor who originates a car go or mail for its own account and whose
procedures and establishment are approved by the Director General to allow the carriage of such cargo or
mail on any aircraft;
(za) “mail” means dispatches of correspondence and other objects tendered by and intende d for delivery to
designated postal operators to operate the postal service;
(zb) “movement area” means that part of an aerodrome to be used for the take -off, landing, and taxiing of the
aircraft, consisting of the maneuvering area and aprons;
(zc) “Nation al Civil Aviation Security Programme” means such written programme established by an officer
authorised by Central Government to give effect to any Annex of the Convention with the prior approval of
the Central Government to safeguard civil aviation operat ions against acts of unlawful interference;
(zd) “person” includes an individual, a company, a firm, an association of person or a body of individual or
any legal entity, whether incorporated or not, and a local authority;
(ze) “Private Security Agency” me ans an agency licensed under the Private Security Agencies (Regulation)
Act, 2005 (29 of 2005) and whose security clearance has been issued by the Director General;
(zf) “prohibited article” means an object which can be used to commit an act of unlawful i nterference and
which has not been properly declared;
(zg) “regulated agent” means an agent, freight forwarder or any other entity which conducts business with an
aircraft operator and provides security controls that are accepted or required by the Directo r General in respect
of cargo, or mails to be transported by air;
(zh) “regular employee” means an individual appointed, employed or engaged on regular basis and paid
directly by the employer;
(zi) “Schedule” means the Schedules appended to these rules;
(zj) “Scheduled air carrier” means an air carrier which has received an Air Operator Certificate (Scheduled or
Scheduled Commuter Operator) from the Directorate General of Civil Aviation;
(zk) “screening” means the application of technical or other means wh ich are intended to identify or detect
weapons, explosives or other dangerous devices, articles or substances which may be used to commit an act of
unlawful interference with civil aviation;
(zl) “security audit” means an in -depth compliance examination of all aspects of the implementation of the
National Civil Aviation Security Programme;
(zm) “security clearance” means status granted to a person or entity allowing them access to sensitive aviation
security information, access to restricted areas or to bec ome eligible to operate at airport or any facility related
with civil aviation after successful completion of a background check;
(zn) “security control” means the method by which the introduction of weapon, explosive or other dangerous
device, article or substance, which may be used to commit an act of unlawful interference, can be prevented;
(zo) “security hold area” means the area between passenger screening checkpoint and boarding gate, into
which access is controlled and additional security measures a re applied;
(zp) “security incident” means security occurrence which results in death or grievous hurt to a person or major
damage to the property or major disruption to the civil aviation operations, or any act of unlawful interference
which is assessed a s security incident by the concerned security -in-charge of the entity who received the
report, or the Director General or any other officer authorised by him in that behalf.
Explanation: - For the purposes of this clause, the expression “grievous hurt” sha ll have the same meaning as
assigned to it in the Indian Penal Code (45 of 1860);
(zq) “security inspection” means an announced or unannounced examination of the effectiveness of the
implementation of specific security measures;
(zr) “security investigati on” means an inquiry into any act or attempted act of unlawful interference against
civil aviation or any alleged or suspected instance of non -compliance with National Civil Aviation Security
Programme or other legal requirements pertaining to civil aviati on security;
(zs) “security occurrence” means any act of unlawful interference, or a compliance -breach of the provisions of
the Act, or these rules, or National Civil Aviation Security Programme or directions issued by the Director
General under the provis ions of these rules and includes the identification or observation of a vulnerability that
may endanger the civil aviation security;
(zt) “security programme” means written measures specified by the Director General to be undertaken and
adopted by an enti ty to safeguard civil aviation against acts of unlawful interference;
(zu) “security restricted area” means those areas of the airside of an aerodrome which are identified as risk
areas where in addition to access control, other security controls are appli ed and includes but not limited to
security hold area;
(zv) “stores (supplies)” means any goods intended for sale or use on an aircraft, including spare parts and
other articles of equipment, whether or not for immediate fitting;
(zw) “security test” means a covert or overt trial of an aviation security measure which simulates an attempt to
commit an unlawful act;
(zx) “sensitive aviation security information” means information which, if accessed by or disclosed to
unauthorised persons, may create or may be used to exploit vulnerabilities or to commit an act of unlawful
interference against civil aviation;
(zy) “specified” means the directions issued by the Director General;
(zz) “test object” means object approved by the Director General to test the effica cy of civil aviation security
measures;
(zza) “terminal” means the building or group of buildings and includes arrival building, where screening of
passenger, baggage, cargo and courier bag is done and boarding on aircraft and de -boarding takes place;
(zzb) “unidentified baggage” means baggage at an aerodrome with or without a baggage tag which is not
picked up by or identified by a passenger or any other person;
(zzc) “vulnerable aerodrome area or point” means any facility on or connected with an aerodrome , which, if
damaged or destroyed, would seriously impair the functioning of the aerodrome.
(2) The words and expressions used herein and not defined but defined in the Act shall have the meanings
respectively assigned to them in the Act and rules made the reunder.
3. Role and responsibilities of Director General - (1) The Director General shall be responsible for carrying out
regulatory and oversight functions in respect of matters relating to civil aviation security.
(2) Without prejudice to the generali ty of the fore -going power, the Director General may -
(a) develop, implement, maintain and review the National Civil Aviation Security Programme
consistent with the provisions of Annex 17 to the Convention to safeguard civil aviation operations
against acts o f unlawful interference and threat perception taking into account the safety, regularity
and efficiency of flights;
(b) make such orders as necessary to implement the National Civil Aviation Security Programme;
(c) make provisions to respond immediately to meet an y increased security threat;
(d) coordinate activities between the departments, agencies and other government organisations,
aerodrome and aircraft operators and other entities concerned with or responsible for the
implementation of various aspects of the Nati onal Civil Aviation Security Programme;
(e) develop, implement, maintain and review the National Civil Aviation Security Training
Programme for personnel of all entities involved with or responsible for the implementation of
various aspects of the National Civ il Aviation Security Programme, which shall be designed to
ensure the effectiveness of the said security programme;
(f) make provisions to designate an authority at each aerodrome serving civil aviation who shall be
responsible for coordinating the implementat ion of security controls;
(g) develop, implement, maintain and review a National Civil Aviation Security Quality Control
Programme to determine compliance with and validate the effectiveness of its National Civil
Aviation Security Programme;
(h) make provisions fo r security audit, inspection and test to be conducted on a regular basis, to verify
compliance with the National Civil Aviation Security Programme and to provide for immediate and
effective rectification of any deficiency;
(i) carry out security risk assessmen t, and to develop guidelines and procedures to adjust relevant
element of its National Civil Aviation Security Programme accordingly, based upon a threat
assessment carried out by the national security agencies;
(j) make provisions to carry out risk assessment for identified landside areas and to coordinate for
establishing landside security measures;
(k) frame guidelines for implementation of appropriate standards, practices, and procedures for
protection and preservation of critical civil aviation systems against cyber threats; and
(l) issue directions and guidelines on any matter subsidiary or incidental to the matters referred to in
this sub -rule.
4. National Civil Aviation Security Committee - (1) On and from the date of publication of these rules, the
National C ivil Aviation Security Committee constituted by the Central Government, vide Order
AV.13024/58/77 -A, dated 18th November, 1977 shall be continued as a Committee for the purposes of these
rules.
(2) The Committee referred to in sub -rule (1) has been consti tuted with a view to coordinate security activities at
the national level between the departments, agencies and other entities concerned with or responsible for the
implementation of various aspects of the National Civil Aviation Security Programme.
(3) The Committee shall consist of the following Members, namely: -
(a) Secretary, Ministry of Civil Aviation as Chairperson – ex-officio;
(b) such other Members as may be determined by the Central Government; and
(c) the Director General as Member -Secretary -cum-Convener, ex-officio .
5. Airport Security Committee - (1) All airport operators, whose security programme has been approved by the
Director General, shall establish an Airport Security Committee in consonance with the National Civil Aviation
Security Programme.
(2) The Airport Security Committee referred to in sub -rule (1) shall assist the airport operator in its responsibility
for coordinating the implementation of security controls and procedures as specified in the aerodrome security
programme.
CHAPTER II
AVIA TION SECURITY SERVICE
6. Aviation Security Group - (1) Every aerodrome operator shall engage such number of personnel of
government security agency as may be determined by the Central Government for performing security duties
assigned to it under these ru les.
(2) The personnel engaged under sub -rule (1) shall be designated as Aviation Security Group and one officer of
such group as Chief Aerodrome Security Officer by such government security agency.
(3) The Aviation Security Group shall work under the gene ral supervision and direction of the aerodrome -in-
charge.
(4) The aerodrome operator shall provide such facility and support to the Aviation Security Group as may be
approved by the Director General.
(5) In emergent situations, the Director General may or der necessary changes in the deployment of Aviation
Security Group.
7. Duties of Chief Aerodrome Security Officer - The Chief Aerodrome Security Officer shall perform the
following duties, namely: -
(a) safeguarding of passengers, crew, ground personnel and o ther aerodrome users, aircraft, aerodrome
and related facilities including vulnerable areas or points from acts of unlawful interference;
(b) enforcement of access control measures into the restricted area of the aerodrome;
(c) security of perimeter;
(d) screening of passengers and their cabin baggage;
(e) screening of persons other than passengers together with items being carried by them into the airside;
(f) screening of vehicles together with items contained within them, entering into the airside;
(g) surveillance within and a round aerodrome area;
(h) enforcement of security measures including car parks, viewing gallery, aerodrome restaurant and
areas close to movement area;
(i) maintenance of order and discipline in the aerodrome premises;
(j) supervise the movement of persons and vehicle s in the security restricted areas;
(k) liaison with local police and intelligence agencies; and
(l) any other duty assigned by the Director General within the scope of authority under these rules.
8. Disembarkation of unruly passenger - The Chief Aerodrome Secur ity Officer or any other Officer of the
Aviation Security Group authorised by him in this behalf shall, on a written request of the pilot -in-command,
assist him in disembarking any person from the aircraft on grounds of risk to safety and security of the a ircraft,
passengers and the crew.
9. Private Security Agency - (1) Every aerodrome operator shall engage such number of personnel of Private
Security Agency as may be determined by the Central Government for performing security duties assigned to
them.
(2) The Private Security Agency shall work under the operational supervision and direction of the Chief
Aerodrome Security Officer and under the administrative supervision of the Aerodrome Operator.
(3) The Private Security Agency shall be trained as per st andards determined by the Central Government and
such standards shall, as far as practicable, be in conformity with the standards applicable to the Government
personnel.
CHAPTER III
SECURITY CLEARANCE AND SECURITY PROGRAMME
10. Security programme of aero drome and aircraft operators - (1) Aerodrome operator, aircraft operator, as the
case may be, shall develop their respective security programme in consonance with the provisions of these rules
and the National Civil Aviation Security Programme, and obtain approval of such programme by the Director
General.
(2) The approved security programme shall be implemented and maintained by respective operators.
(3) Any amendment to such programme shall be made after the approval of the Director General.
11. Commenc ement of operations by aerodrome and aircraft operators – (1) No aerodrome operator or aircraft
operator shall commence operation at aerodrome without obtaining approval of security arrangements through
security vetting and security programme, as applicabl e, from the Director General.
Explanation. - For the purposes of this rule, the expression “security vetting” means an evaluation of the present
and future security arrangements including the identification of vulnerabilities which could be exploited to ca rry
out an act of unlawful interference, and the recommendation of requirements or corrective actions as specified in
the National Civil Aviation Security Programme with regard to any aerodrome, aircraft, place, person or object.
(2) No entity shall commen ce operation at security restricted areas of an aerodrome without obtaining security
clearance and approval of their security programme in accordance with provisions of the National Civil Aviation
Security Programme, from the Director General, as applicabl e, unless exempted in writing by the Director
General or the Central Government.
12. Power to suspend or cancel security clearance and security programme - (1) The Director General, after
giving the entity an opportunity of being heard, and for reasons to be recorded in writing, may suspend for a
period not exceeding one year or cancel or impose conditions in respect of any security clearance granted or
security programme approved under these rules, where he has any reasonable grounds to believe and consid ers
such action necessary, in the interests of national security or civil aviation security or if the entity has
contravened or failed to comply with any condition of security clearance or security programme or provision of
these rules.
(2) After conductin g an enquiry by an officer authorised by the Director General, the suspension may be revoked
or the security clearance or security programme may be cancelled.
13. Renewal or review of security clearance and security programme – (1) Each entity shall apply for renewal
of its approved security clearance and security programme in such form as specified by the Director General.
(2) Each entity shall review its valid security programme periodically as specified by the Director General, and
submit amendments or modifications, if any, for the approval of the Director General.
14. Appointment of Chief Security Officer - Each entity shall appoint a person, designated as Chief Security
Officer or Aviation Security Compliance Officer, as applicable, having requisite qualification, training and
experience in aviation security and entrust him with the responsibilities, as specified by the Director General.
CHAPTER IV
AVIATION SECURITY MEASURES
15. Operation of entities at aerodrome - No aerodrome operator shall hims elf operate at the aerodrome or allow
any entity or person to operate, provide services or facilities, at security restricted areas of an aerodrome without
obtaining security clearance and approval of security programme as applicable and specified by the D irector
General.
16. Planning, design and lay -out of aerodrome - (1) The planning, design and layout of the aerodrome shall be
in accordance with the specifications provided in the National Civil Aviation Security Programme including -
(a) security control ap plied to passenger, staff, baggage, cargo, courier, express parcel, mail, catering
stores and supply, and any other item entering into the aerodrome;
(b) a description of significant features affecting the security of the aerodrome, such as residential areas
or any other structure or natural boundary;
(c) protection and control of access to airside, security restricted area, facility and other vulnerable
aerodrome area or points;
(d) installation, operation and maintenance of security equipment; and
(e) architectural and i nfrastructure related requirements.
(2) Every aerodrome operator shall establish security restricted area at aerodrome serving civil aviation, in
accordance with the security risk assessment carried out by the Director General.
(3) Aerodrome operator shall make aerodrome design and facilities by integrating security requirements and
provisions mentioned in the National Civil Aviation Security Programme.
(4) Each aerodrome operator shall undertake construction of aerodrome or construction of new facilities a t
aerodrome or part thereof or alteration to existing design and facilities, which have aviation security
implications and ramifications, after obtaining the written approval from the Director General.
17. Aerodrome perimeter - Every aerodrome operator s hall construct a perimeter wall of the height of 2.438
meter (8ft) with overhung fence of 0.457 meter (1.5 ft.) around the aerodrome:
Provided that the Director General, keeping in view the threat or any other reason, may, by order, modify the
specificatio n of the perimeter wall or fence.
18. Provision of lighting, road for patrolling and observation post - The aerodrome operator shall make the
following security arrangements at the aerodrome, namely: -
(a) lighting for perimeter and any other vulnerable area;
(b) all-weather road along with the perimeter for patrolling by the security personnel; and
(c) observation or command posts for the security personnel:
Provided that the Director General may, taking into consideration the risk assessments, make such
order in wr iting as may be deemed appropriate for security arrangements.
Explanation. - For the purposes of rule 17 and this rule, the expression “perimeter” means physical structure
like wall or fence constructed for peripheral protection of the airside of an aerodr ome and other facilities
related with civil aviation to prevent unauthorised access to these areas.
19. Protection of facilities under aerodrome operator - Every aerodrome operator shall identify, demarcate and
protect all vulnerable areas or points and o perations under him including technical and maintenance, power
supplies, electrical sub -station, control towers and other building used by air traffic services and
communication facilities.
20. Handling of unidentified baggage or suspicious object - The a erodrome operator shall -
(a) construct and maintain a protected and isolated area for placing a suspect or unidentified baggage,
cargo, vehicles or aircraft or any other suspicious object; and
(b) take appropriate measures to assess, identify, get it investigated and disposed off.
21. Contingency Plan - (1) The aerodrome operator shall, with the approval of the Director General, develop,
implement and maintain contingency plans and provisions for additional security measures in case of security
alert to deal with acts of unlawful interference;
(2) The plans referred to in sub -rule (1) shall be tested and reviewed at such regular intervals as specified by the
Director General.
22. Entry into aerodrome - (1) The Central Government shall issue guidelines containi ng conditions for issuance
and uses of aerodrome entry permit.
(2) No person shall enter or be allowed to enter in an aerodrome unless he -
(a) is a bona -fide passenger;
(b) has been issued with valid aerodrome entry permit;
(c) has been issued with valid visitor a dmission ticket; or
(d) permitted in writing by the Director General or Central Government.
(3) No vehicle shall be permitted to enter into aerodrome or be allowed to remain in the airside unless such
vehicle is -
(a) issued with a valid vehicle entry permit; or
(b) especially permitted in writing by the Director General.
(4) Any person, vehicle, permitted to enter into aerodrome shall comply with the conditions of such permit at
all times.
23. Security measures related with vehicles - Each aerodrome operator shall ensure to establish provisions for
applying screening or other appropriate security controls to vehicles being granted access to airside, together
with items contained within them, as specified by the Director General.
24. Issue of aerodrome entry permit and vehicle entry permit - (1) The aerodrome entry permit and vehicle
entry permit shall be issued as per such procedure laid down by the Central Government.
(2) The aerodrome operator shall ensure that unused visitor admission tickets are always kept se cured, and areas
and systems being used for issuing aerodrome entry permit and visitor admission tickets are secured by access
control systems.
25. Background check of employees - Each entity shall ensure that the initial and periodic background checks f or
each employee working at the airside or having access to sensitive aviation security information are carried out
in accordance with the procedure determined by the Director General.
26. Display of aerodrome entry permit and vehicle entry permit – (1) The ae rodrome entry permit shall be
displayed by the holder conspicuously above waist level at all times while on duty.
(2) The holder of a vehicle entry permit shall display such permit, on the left side of the front windscreen of
such vehicle, at all times when th e vehicle is in the airside.
(3) The aerodrome entry permit is not transferrable unless subject to such grounds, exempted by the Central
Government.
27. Surrender of aerodrome entry permit and vehicle entry permit - The aerodrome entry permit and vehicle
entry p ermit shall be surrendered, as applicable, to the Director General or to any person authorised by the
Central Government in this behalf, as per procedure determined by the Central Government.
28. Maintenance and availability of stop list - The authorised issu ing authorities of entry permits shall maintain
a stop list and each aerodrome operator shall make it available, at all access points and security restricted areas,
to Aviation Security Group and other relevant entities exercising access control, as per procedure determined
by the Central Government.
29. Reserved right of admission - Notwithstanding anything contained in this rule, the aerodrome operator or the
Director General, may, if he is satisfied that it is necessary or expedient so to do in the interest of security -
(a) refuse admission to any person in the aerodrome; or
(b) require any person to leave the aerodrome.
30. Prohibition to carry weapons or explosive - No person shall enter aerodrome or the aircraft with any
weapon, firearm, ammunition or explosive:
Provided that the provisions of this sub -rule shall not be applicable to -
(a) the Aviation Security Group, armed forces and police personnel required to carry their weapon,
firearms or ammunition in connection with the performance of their duties;
(b) bonafide passengers having valid permission from the concerned authority for carriage of arms and
ammunition by air and for legitimate reasons; and
(c) to such test objects which are authorised by the Director General, for the purpose of testing the
efficacy of aviati on security.
31. Entry into security restricted area and security hold area – (1) No vehicle, person and baggage or item or
supplies or stores or tools of trade carried by such person shall be allowed to enter into the security restricted
area without applying security controls as per procedures determined by the Director General.
(2) Before granting access to security hold areas, the Aviation Security Group shall screen every person,
baggage, belongings, supplies, stores , unless, subject to such conditions, exempt ed in writing by the Central
Government.
32. Security check before embarkation - (1) Before embarkation, every originating passenger and transfer
passenger boarding an aircraft and his cabin baggage, if any, shall be screened by an officer of the Aviation
Secu rity Group or an officer duly authorised in this behalf by the Director General.
(2) The provisions of sub -rule (1) shall be applicable to the transit passengers only if they disembark from the
aircraft:
Provided that the provisions of this rule shall not be applicable to such persons as may be specified by the
Director General by a written order.
Explanation. - For the purposes of this sub -rule, the expression “transit passengers” means passengers
departing on the same flight as that on which they arrived.
(3) Aviation Security Group and aircraft operator shall protect the passenger and their screened cabin baggage
from unauthorised interference from the point of screening to boarding the aircraft.
33. Prohibition on carriage of certain articles - (1) The Dire ctor General may, by an order in writing, prohibit
the carriage of certain articles on person or in baggage of passenger and crew member which, in his opinion, is
likely to be used for committing acts of unlawful interference with civil aviation.
(2) Where prohibited articles are detected during screening, action shall be taken in accordance with the
provisions of these rules or any other law for the time being in force.
34. Deployment of security staff by aircraft operator - An aircraft operator shall engage o nly those personnel
for security duties who are regular employees, whose background checks have been successfully conducted
initially and periodically thereafter, and who are employed after proper selection, appropriate training and
certification as specif ied by the Director General:
Provided that an aircraft operator may enter into a contract with an Indian scheduled carrier or an aerodrome
operator for performance of security functions and engage for such security functions, regular employees of the
Indian scheduled carrier or the aerodrome operator, as the case may be, who meet the requirements specified in
the rule.
35. Security check or search of aircraft - (1) Each aircraft operator shall carry out the check or search of his
aircraft as specified by the Director General -
(a) before first departure of the day, only after all maintenance and cleaning staff have vacated and
before embarkation of the passengers;
(b) between each flight before boarding of passengers after disembarkation; and
(c) as and when directed by him.
(2) Each aircraft operator operating to or from India shall ensure removal from the aircraft, any item left behind
by passengers disembarking from flight and its disposal.
36. Access control to aircraft - (1) The aircraft operator shall control access to aircraft and maintain surveillance
from the security search or check till the departure of the aircraft.
(2) The aircraft operator shall secure the non -operational aircraft by maintaining surveillance and keeping the
following security measures, namely: -
(a) cabin doors closed;
(b) aerobridges and ventral stairs secured, withdrawn or retracted;
(c) tamper evident stick -on security seals on panels, compartments and doors; and
(d) any additional security measures determined by the Director General from time to time.
37. Protec tion and access control of the cockpit door and flight -crew compartment - Every aircraft operator
shall, -
(a) ensure that cockpit doors of aircraft are locked during, all phases of flight, unless required to be
opened for operational reasons;
(b) establi sh and maintain communication system between the flight crew and cabin crew during flight;
and
(c) assign responsibility of access control of cockpit to pilot -in-command.
38. Deployment of In -Flight Security Officer - The aircraft operator shall -
(a) carry such number of in -flight security officer on board a passenger aircraft, as the Director General may
specify by an order in writing; and
(b) declare to the pilot -in-command the number of in -flight security officers and their seat locations.
39. Security control for ho ld baggage – (1) The aircraft operator or the aerodrome operator, as the case may be,
shall screen and protect hold baggage from unauthorised interference, from the point it is screened or accepted
into the custody of the operator, as applicable, until dep arture of the aircraft on which it is to be carried, in such
a manner as specified by the Director General.
(2) An aircraft operator shall carry out the identification and reconciliation of hold baggage in such manner as
specified by the Director General b y an order in writing.
(3) The aircraft operator shall ensure the screening of transfer hold baggage before loading into an aircraft:
Provided that the hold baggage screened at the point of origin and subsequently protected from
unauthorized interference f rom the originating aerodrome to the departing aircraft at the transfer aerodrome, shall
not be subjected to screening.
40. Carriage of prisoners in aircraft - The aircraft operator shall carry any prisoner, in such manner as specified
by the Director General .
Explanation - For the purposes of this rule, the expression, “prisoner” means a person who is confined in any
prison and includes a person who is arrested under any law for the time being in force.
41. Carriage of cargo, mail, catering supplies, catering sto res and other stores - No aircraft operator shall
accept on board any cargo, mail, catering supplies, catering stores and other stores and supplies unless
appropriate security controls have been applied in such a manner as specified by the Director Gener al.
42. Detention of aircraft - The Director General or any other person authorised in this behalf by the Central
Government may, for reasons to be recorded in writing, detain an aircraft if in his opinion, -
(a) the aircraft has on board unauthorized arms, e xplosives or other sabotage devices which are likely to
cause danger to the security of that aircraft;
(b) the aircraft has on board a person who has gained entry in unauthorized manner or is likely to cause
unlawful interference with civil aviation oper ation; or
(c) the detention is necessary to secure compliance with any of the provisions of these rules.
43. Cargo, express cargo and mail - (1) Any cargo, express cargo, mail or courier bag intended to be carried on
any aircraft, shall be subjected to approp riate security controls by regular employees of aircraft operator or
regulated agent or known consignor, who are trained in accordance with the National Civil Aviation Security
Training Programme.
(2) No cargo shall be loaded on to an aircraft without app lying appropriate security controls including, but not
limited to, X -ray screening and physical search:
Provided that the Director General may, by an order in writing and subject to such reasons as may be
specified therein, exempt any cargo, express cargo or mail from the provisions of this rule.
44. Security control for Cargo, express cargo and mail by aircraft operator - (1) An aircraft operator
accepting consignment from a regulated agent or known consignor for transportation on his aircraft shall, -
(a) conduc t inspection of such consignment as specified by the Director General;
(b) ensure that additional security measures are applied to high -risk cargo or mail to mitigate the threat
associated with it as specified by the Director General; and
(c) ensure the safeguard ing of such consignment against unlawful interference from the acceptance until
it has been placed in the aircraft.
(2) An aircraft operator shall ensure, -
(a) application of security controls on consignment to prevent acts of unlawful interference against ci vil
aviation, which are accepted from a consignor or any authorised representative of the consignor, that
is not a regulated agent or known consignor; and
(b) that transfer cargo and mail are subjected to appropriate security controls prior to being loaded on
aircraft as specified by the Director General.
45. Prohibition on carriage of certain goods - (1) The Director General may, by an order in writing and subject
to the reasons specified therein, prohibit the carriage of certain goods through cargo or courier ba gs or mail.
(2) The consignment containing prohibited articles shall not be loaded on aircraft:
Provided that the Director General may, by an order and subject to such conditions as may be specified
therein, permit certain prohibited articles to be loaded on aircraft.
46. Security control for cargo, express cargo and mail by regulated agent - (1) The aircraft operator may
engage regulated agent for applying security control on cargo, courier and mail to be carried by air, who shall
function as per the procedure determined by the Director General.
(2) The regulated agent shall ensure, —
(a) the safeguarding of consignment against unlawful interference from the acceptance until such
consignment has been handed over to the security staff of the aircraft operator or sta ff of the security
service provider;
(b) the security of his buildings, premises, transport facilities and cargo warehouses;
(c) that all related security documents of consignment are maintained;
(d) recruitment and training of security staff intended to apply secur ity controls at regulated agent
facility, as per such provisions determined by the Director General; and
(e) that additional security controls have been applied to high -risk cargo or mail to mitigate the threat
associated with it as specified by the Director G eneral.
47. Acceptance of catering supplies and stores by aircraft operator - An aircraft operator shall not accept any
catering supplies and stores from catering establishment for transportation by aircraft, unless security
programme of catering establishment is approved by the Director General.
48. Responsibilities of Catering Establishment - Each Catering Establishment shall ensure, -
(a) the security of catering stores and supplies accepted at its facility through its regular employees ; and
(b) the security of its buildings, premises and transport facilities through its regular employees or by such
agency which is approved by the Director General;
49. Identification, risk assessment and security measures for protection of critical information and
communication techn ology systems and data – (1) Each entity shall identify its critical information and
communication technology systems and data used for civil aviation purposes and, in accordance with a risk
assessment and National Civil Aviation Security Programme, shall develop and implement appropriate security
measures to protect it from unauthorised access, modification and use.
(2) Each entity shall entrust the responsibility for securing critical information and communication technology
systems and data to properly s elected, recruited and appropriately trained staff.
(3) The qualifications and eligibility criteria of staff referred to in sub -rule (2) shall be such as may be
determined by the entity in consultation with the Central Government.
50. Detection of cyber -attac k and cyber security response plan - Each entity shall develop and implement
processes and procedures for detecting unauthorised access to their critical information and communication
technology systems and data and also establish a cyber -security response plan, with such parameters as
specified by the Director General.
CHAPTER V
SECURITY OCCURRENCE OR INCIDENTS
51. Reporting of security occurrence or incident - Every entity shall report the security occurrence or security
incident as specified by the Director General.
52. Security investigation of security occurrence or incident - (1) The Director General may, by an order in
writing, direct security investigation of any security occurrence or incident, reported to him or which comes to
his notice, and appoint an of ficer not below the rank of Assistant Director as an Inquiry Officer.
(2) The Inquiry Officer referred to in sub -rule (1) shall conduct the inquiry by affording an opportunity of being
heard to all concerned and submit a Report in writing to the Director G eneral.
53. Power of Inquiry Officer - For the purpose of inquiry, an Inquiry Officer shall have power, -
(a) to require, by notice, the attendance of any person and entity;
(b) to require any such person to make and to sign a declaration regarding the true nature of the
statements made by him;
(c) to cause the production of any required certificate, book, manual, record, list, notice, other
document and article; and
(d) to have access to and examine any aircraft or place.
CHAPTER VI
PROTECTION OF INFORMATION AND RECORDS
54. Prot ection of sensitive aviation security information - All entities shall ensure that their security programme
and other sensitive aviation security information and its contents are protected against unauthorised access,
amendment and disclosure.
55. Unauthorise d disclosure of sensitive aviation security information - No person shall disclose any sensitive
aviation security information, other than in such manner and to such person as specified by the Director
General, which has been acquired by him for and during performance of his assigned duties unless such
disclosure may be required under the Act, or these rules, or as may be required by the Central Government, or
any officer authorised on its behalf, or process of law.
56. False statements, entries or unauthorized reproduction - No person shall make or cause to be made, any of
the following, namely: -
(a) a fraudulent or intentionally false statement or alteration of any material information in any
documents submitted to the Director General;
(b) a fraudulent or intentiona lly false entry or alteration of any material information in any record or
report that is kept, made or used to show compliance of this rule;
(c) unauthorised reproduction or alteration or forgery of any report, record, document, security
clearance, security programme, aerodrome entry permit, training certificates or any other
permissions granted by the Director General or an officer authorised by the Director General.
57. Retention of Records - Every entity shall retain the records of documents, data, or informat ion in such manner
and time as specified by the Director General.
CHAPTER VII
GENERAL
58. Security audit and security inspection - (1) Any person, authorised by the Director General in writing may,
at all reasonable times, enter any place or aircraft to which access is necessary to audit and inspect the
facilities, services, equipment, documents and records for the purpose of compliance of National Civil
Aviation Security Programme and with the provisions of these rules.
(2) An entity shall, upon request from such authorised person, present records, data and all other information as
requested.
(3) Each entity shall develop, implement and maintain a written internal quality control programme, as applicable,
in consonance with the National Civil Aviation Security Programme and the National Civil Aviation Security
Quality Control Programme.
59. Security training of employees - Each entity shall ensure that employees engaged by them, in security or non -
security duties, are trained and qualified in initial and refresher training, as specified by the Director General in
National Civil Aviation Security Training Programme.
60. Certification and competency of screener - No entity shall deploy any employee for screening duties unless
he is properly selected, appropriately traine d and maintains required competencies through initial and refresher
training in accordance with the National Civil Aviation Security Training Programme.
61. Installation, Operation and maintenance of security equipment - (1) No entity shall install and operate any
security equipment that does not meet the minimum specification criteria as determined by the Director
General or the Central Government.
(2) Each entity shall ensure that the security equipment deployed by them for aviation security purpose is
maint ained in operational condition.
62. Directions by Director General - (1) The Director General may, in the interests of national security, issue
such directions in written, consistent with the provisions of the Act and the rules made thereunder and such
direct ions shall be binding on the persons to whom such directions are issued.
(2) The Director General may, by a general or special order in writing and subject to such conditions
mentioned therein , exempt any aircraft or class of aircrafts or any person or c lass of persons from the
operations of the directions issued under this rule, either wholly or partially.
63. General power to exempt - The Central Government may, by a general or special order in writing and subject
to such conditions mentioned therein , exemp t any aircraft or class of aircrafts or any person or class of persons
from the operations of the orders issued under these rules, either wholly or partially.
CHAPTER VIII
APPEALS, COMPOUNDING OF OFFENCES AND PENALTY
64. Appeals - (1) Any person, aggrieved by an order passed by an officer in exercise of the powers conferred on
him by these rules, may prefer an appeal, to first appellate officer having jurisdiction in the matter and is next
higher in rank to the officer who has passed such order, within a perio d of thirty days from the date on which
the copy of the said order is received by him:
Provided that the appeal may be entertained even after expiry of the period of thirty days, if the appellant
or applicant has shown a sufficient reason for not filin g the appeal within that period.
(2) The appellate officer may after giving the parties to the appeal, an opportunity of being heard, pass such order
as he deems fit, confirming, modifying or setting aside the order appealed against.
(3) Notwithstanding a nything contained in sub -rule (1), in case of an order passed by the Director General, the
appeal shall lie to the Secretary to the Government of India in the Ministry dealing with the Civil Aviation
matters and no further appeal shall lie against such ord er of the said Secretary.
(4) An order issued under section 5A of the Act shall not be appealable under this rule.
65. Offences and Compounding - (1) For the purposes of sub -section (2) of section 10 of the Act, the Central
Government directs that any person, who has contravened any rule as specified in Table 1 of First Schedule of
these rules, shall be liable with the penalty as specified in paragraph 1 of the First Schedule.
(2) Subject to the provisions of section 12A of the Act, offences punishable under s ections 10, 11, 11A and
section 12 of the said Act and rules as specified in First Schedule to these rules, may be compounded by the
Director -General or any other officer specially empowered under sub -section (4) of section 4B of the said Act, in
accordanc e with the procedure as laid down in the First Schedule.
66. Penalties - (1) Any person, who has contravened any rule as specified in the Second Schedule of these rules,
shall be liable for imposition of penalty to the extent as laid down in Second Schedule a nd in accordance with
the provisions of section 10A of the Act.
(2) The penalty shall be adjudicated by the designated officers or the appellate officer, as the case may be, in
accordance with the procedure as laid down in the Second Schedule.
[F. No. AV-13024/11/2022 -AS]
SHRI PRAMOD KUMAR THAKUR , Dy. Director General
FIRST SCHEDULE
(See rule 65)
Punishment and Compounding of Offences
1. Offences punishable under the Aircraft (Security) Rules, 2023 with imprisonment for a term not exceeding
two years or wi th fine not exceeding one crore rupees, or with both and amount for compounding thereof:
Table I
Sl. No. Subject matter of non -compliance Relevant rule Amount for
compounding of
offence committed by
individual (in rupees)
1. Non-compliance of rule 10 in r espect of security programme of
aerodrome and aircraft operators sub-rules (1)
and (2) of rule
10 Twenty -five lakh
2. Non-compliance of rule 11(1) in respect of commencement of
operations by aerodrome and aircraft operators rule 11 (1) Twenty -five lakh
3. Non-compliance of rule 11 (2) in respect of security clearance
and security programme of entities operating at aerodrome rule 11(2) Two lakh
4. Non-compliance of rule 13 (1) in respect of renewal of security
clearance and security programme by the enti ties before expiry
of security clearance and security programme rule 13(1) one Lakh
5. Non-compliance of rule 15 in respect of operation of entities at
aerodrome without security clearance and security programme rule 15 Two Lakh
6. Non-compliance of rule 16 in respect of planning, design and
layout of the aerodrome security rule 16 Ten Lakh
7. Non-compliance of rule 21 in respect of contingency plan by
aerodrome operator sub-rules (1)
and (2) of rule
21 Two Lakh
8. Non-compliance of the provisions of e ntry into aerodrome sub-rules (2)
and (3) of rule
22 Fifty thousand
9. Contravention of rule 24(1) in respect of Issue of aerodrome
entry permit and vehicle entry permit rule 24(1) One Lakh
10. Non-compliance of the direction in respect of surrender of
aerodrome entry permit and vehicle entry permit rule 27 Ten thousand
11. Contravention of rule 26(3) in respect of prohibition of transfer
of aerodrome entry permit rule 26(3) Fifty thousand
12. Non-compliance of the direction related with reserved ri ght of
admission under rule 29 rule 29 Fifty thousand
13. Contravention of rule 30 in respect of prohibition to carry
weapons or explosive rule 30 Non - Compounding
14. Contravention of the provision of entry into security restricted
area sub rule (1) o f
rule 31 Fifty thousand
15. Contravention of provision in respect of entry into security hold
area sub rule (2) of
rule 31 Fifty thousand
16. Non-compliance of direction to carry deployed In -Flight Security
Officer rule 38 Non - Compounding
17. Non-compliance of the direction issued under rule 42 rule 42 Non - Compounding
2. Amount for compounding of offences punishable under sections 10, 11, 11A and section 12 of the
Aircraft Act, 1934 (22 of 1934):
Table II
Sl.
No. Offence and relevant section Amount for compounding of
offence committed by
individual (in rupees)
1. Offence punishable under sub -section (1) of section 10 (except the
offence related to carriage of arms and explosives) Twenty -five Lakh
2. Offence punishable under section 11 Twenty -five Lakh
3. Offence punishable under section 11A Twenty -five Lakh
4. Offence punishable under section 12 Amount provided for such
offences
3. Where such offence has been committed by the organisation, the amount for compounding of offences shall
be as unde r: -
Table III
Contravention
committed by Number of employees Amount for compounding of offence (in rupees)
Entity (small) Up to 150 employees 200 per cent. of the amount as provided for such offences
by the individual in paragraphs 1 and 2 of First Sched ule,
as applicable.
Entity (medium) More than 150 and up to 300
employees 300 per cent. of the amount as provided for such offences
by the individual in paragraphs 1 and 2 of First Schedule,
as applicable.
Entity (large) More than 300 employees 400 per cent. of the amount as provided for such offences
by the individual in paragraphs 1 and 2 of First Schedule,
as applicable.
Interpretation: (1) “Individual” means a natural person.
(2) “Employee” means an individual appointed, employed or engaged by the organisation whether
contractual, temporary or permanent.
4. Procedure for compounding of offences.
(1) An application for compounding of an offence shall be made by the applicant to the Director -General or any
officer specially empowered by the Central Gov ernment in this behalf in “Form A” along with the fee of one
thousand rupees in such manner as determined by the Director -General.
(2) On receipt of the application for compounding, such officer shall examine the application based on the
documents submitt ed and submissions made in the application.
(3) Such officer may call for any information, record or any other document from the applicant, if the same is
considered relevant to the compounding proceedings and in case the contravener fails to submit the a dditional
information or documents called for within the specified period, the application for compounding shall be liable
for rejection.
(4) Such officer may issue notice to all the concerned of the case to participate in the proceedings.
(5) During the compounding proceedings, such officer shall, after giving an opportunity to the applicant of
being heard, determine the amount for compounding of offence in accordance with the Tables of paragraphs 1, 2
and paragraph 3 and where the decision of such office r in respect the amount so determined is not acceptable to
the applicant then the applicant shall submit the same in writing to such officer within three days or within such
reasonable period as determined by such officer.
(6) After such submission by the applicant or non -submission with in such reasonable time, the compounding
proceedings shall cease and the matter shall be proceeded further in accordance with the provisions of the Act
and these rules and the officer shall prepare a report in respect of th ese proceedings.
(7) The amount for which the contravention is compounded shall be paid in the manner as specified by the
Director General within the thirty days of the date of decision of compounding.
(8) In case a person fails to pay the amount for compo unding within thirty days of the order, he shall be deemed
to have never made an application for compounding of any offence under the provisions of the Act and these
rules.
(9) The process of compounding of offences shall be completed expeditiously and not later than sixty days from
the date of application and this period of sixty days may be extended up to ninety days by the Director General,
for reasons to be recorded in writing, in exceptional circumstances.
FORM A
(See rule 65)
Application for compoun ding of Offence
1. Name(s) of the applicant
2. Address
3. Email Address
4. Phone No.
5. The Authority before whom the case is pending
6. Contravention of sections or rules
7. Brief facts of the case
8. Any other information relevant to the c ase
9. Prayer of the applicant
10. Fee and transaction details
11. Attachment, if any
Verification
I__________________, the applicant, do hereby declare that what is stated above is true to the best of my information
and belief.
Name and signature of the Applicant
Date:
Place:
SECOND SCHEDULE
(See rule 66)
Penalties
(1) Classification of severity levels of contravention and penalties thereof: -
Table I
Sl.
No. Severity
level
(in rupees) Individual Organisation (Small) Organisation (Medium) Organis ation (Large)
Up to 150 employees More than 150 and up
to 300 employees More than 300
employees
1. Level -1 Ten thousand Fifty thousand One Lakh Five Lakh
2. Level -2 Fifteen
Thousand One Lakh Five Lakh Ten Lakh
3. Level -3 Twenty -Five
Thousand Ten Lakh Twenty Lakh Thirty Lakh
4. Level -4 Fifty Thousand Twenty Lakh Thirty Lakh Fifty Lakh
5. Level -5 Seventy -Five
Thousand Thirty Lakh Fifty Lakh Seventy -Five Lakh
6. Level -6 One Lakh Fifty Lakh Seventy -Five Lakh One Crore
Interpretation: -(1) “In dividual” means a natural person.
(2) “Organization” means a body corporate or an associat ion of individuals whether registered or
not.
(3) “Employee” means an individual appointed, empl oyed or engaged by the organization whether
contractual, temporary or permanent.
(2) Contravention of rule(s) and severity level thereof, for determination of penalty amount by the designated
officers or the appellate officer, as the case may be.
Table II
Sl.
No. Nature of contravention or non -compliance Relevant rules Sever ity level of
contravention or
violation or non -
compliance
1. Non-setting up of the Airport Security Committee sub-rule (1) of rule 5 Level –1
2. Amending security programme without the approval of
Director General sub-rule (3) of rule 10 Level – 3
3. Non-reviewing of security programme by the entities sub-rule (2) of rule 13 Level –1
4. Not appointing the Chief Security Officer rule 14 Level –2
5. Contravention of rule 17 in respect of aerodrome
perimeter rule 17 Level –2
6. Contravention of rule 18 i n respect of provision of
lighting, road for patrolling and observation post by
aerodrome operator rule 18 Level –2
7. Contravention of rule 19 in respect of protection of
facilities owned by aerodrome operator rule 19 Level –2
8. Contravention of rule 20 in respect of handling of
unidentified baggage or suspicious object rule 20 Level –2
9. Contravention of sub -rules (1) and (4) of rule 6 in
respect of deployment of Aviation Security Group and
providing support and facility to them by aerodrome
operat or sub-rules (1) and (4) of
rule 6 Level –2
10. Contravention of sub-rules (1) and (3) of rule 9 in
respect of deployment of Private Security Agency sub-rules (1) and (3) of
rule 9 Level -1
11. Contravention of sub -rule (4) of rule 22 in respect of
entry into aerodrome sub-rule (4) of rule 22 Level –1
12. Non-compliance of security measures related with
vehicles rule 23 Level –1
13. Contravention of rule 25 in respect of background
check of employees rule 25 Level –1
14. Contravention of sub rule (2) of rule 24 in respect of
protection and access control of aerodrome entry
permit and visitor admission ticket related system sub rule (2) of rule 24 Level – 1
15. Non-compliance in respect of display of aerodrome
entry permit sub rule (1) of rule 26 Leve l -1
16. Non-compliance in respect of display of vehicle entry
permit sub rule (2) of rule 26 Level -1
17. Non-compliance in respect of maintenance and
availability of stop -list by aerodrome operator rule 28 Level - 1
18. Non-compliance of sub -rule (3) of rule 39 in respect of
security check before embarkation by aircraft operator Sub-rule (3) of rule 32 Level -4
19. Contravention of sub -rule (2) of rule 33 in respect of
prohibition on carriage of certain articles sub-rule (2) of rule 33 Level -5
20. Contravention of rule 34 in respect of deployment of
security staff by aircraft operator rule 34 Level - 2
21. Non-compliance of sub-rules (1) and (2) of rule 35 in
respect of security check and search of aircraft, and
removal of item left behind by dise mbarking
passengers sub-rules (1) and (2) of
rule 35 Level - 2
22. Non-compliance of sub-rules (1) and (2) of rule 36 in
respect of access control to aircraft by aircraft operator
and securing of non -operational aircraft sub-rules (1) and (2) of
rule 36 Level - 4
23. Non-compliance of protection and access control of
the cockpit door and flight -crew compartment rule 37 Level - 6
24. Non-compliance of security control for hold baggage sub-rule (1) of rule 39 Level - 5
25. Non-compliance of identification and reconciliation of
hold baggage sub-rule (2) of rule 39 Level - 4
26. Non-compliance of security measures for transfer
baggage sub-rule (3) of rule 39 Level - 2
27. Contravention of rule 40 on carriage of prisoners in
aircraft rule 40 Level - 3
28. Contravention of rule 41 on carriage of cargo, mail,
catering supplies, catering stores and other stores rule 41 Level - 2
29. Non-compliance of sub -rules (1) and (2) of rule 43 in
respect of cargo, express cargo and mail sub-rules (1) and (2) of
rule 43 Level - 2
30. Contravention of sub -rules (1) and (2) of rule 44 in
respect of security control for cargo, express cargo and
mail by aircraft operator sub-rules (1) and (2) of
rule 44 Level - 2
31. Contravention of sub -rules (1) and (2) of rule 45 in
respect of prohibition on carriage of certain goods sub-rules (1) and (2) of
rule 45 Level -5
32. Contravention of rule 46 in respect of security control
for c argo, express cargo and mail by regulated agent rule 46 Level - 4
33. Contravention of rule 47 in respect of acceptance of
catering supplies and stores by aircraft operator rule 47 Level - 2
34. Contravention of rule 48 in respect of responsibilities
of catering establishment rule 48 Level - 2
35. Contravention of rule 51 in respect of reporting o f
security occurrence or incident rule 51 Level - 1
36. Non-compliance of the directions issued in exercising
power of the Inquiry Officer under rule 53 rule 53 Level - 1
37. Contravention of sub -rule (1) of rule 49 in respect of
identification, risk ass essment and protection of
critical information and communication technology
systems and data sub-rule (1) of rule 49 Level -1
38. Contravention of sub -rules (2) and (3) of rule 49 in
respect of security measures for critical information
and communication technology systems and data sub-rules (2) and (3) of
rule 49 Level -1
39. Contravention of rule 50 in respect of detection of
cyber -attack and cyber security response plan rule 50 Level - 1
40. Contravention of rule 54 in respect of protection of
sensiti ve aviation security information rule 54 Level - 1
41. Contravention of rule 55 in respect of unauthorised
disclosure of sensitive aviation security information rule 55 Level –2
42. Contravention of rule 56 in respect of false statements,
entries or una uthorized reproduction rule 56 Level - 1
43. Contravention of rule 57 in respect of retention of
records rule 57 Level - 1
44. Denial of access to an authorized person for security
audit and security inspection sub-rule (1) of rule 58 Level - 1
45. Cont ravention of sub -rule (2) of rule 58 in respect of
security audit and security inspection sub-rule (2) of rule 58 Level - 1
46. Contravention of sub -rule (3) of rule 58 in respect of
internal quality control by entities sub-rule (3) of rule 58 Level - 1
47. Contravention of rule 59 in respect of security training
of employees rule 59 Level - 1
48. Contravention of rule 60 in respect of certification and
competency of screener rule 60 Level - 1
49. Contravention of rule 61 in respect of installation,
operation and maintenance of security equipment rule 61 Level - 2
50. Non-compliance with the directions issued under rule
62 rule 62 Up to level - 6. In case
penalty has already been
provided in any rule for
the same contravention,
then the penalty as
specified for that rule
shall prevail.
3. Procedure for adjudication of penalty by designated officers: —
(1) The designated officer upon his satisfaction that a person has contravened any of the rule as specified in the
Table II under paragraph 2 above, he ma y, after giving a reasonable opportunity of being heard to such person,
by an order in writing, impose penalty in accordance with Tables I and II under paragraphs 1 and 2 respectively,
upon such person, stating the nature of contravention, the provision of rules which have been contravened and
the reasons for imposing such penalty along with the demand notice.
(2) The designated officer shall not proceed for imposition of penalty against a person, where it comes to his
notice that the proceeding for suspens ion or cancellation of clearance , permit, certificate or approval as the case
may be, has been initiated in pursuance of the section 10Bof the Act for contravention of same rule on same
cause of action.
(3) A copy of penalty order passed along with the dem and notice by the designated officer shall be served upon
such person by a recognized mode of service.
(4) The person aggrieved by the order issued under sub-paragraph (1), may prefer an appeal in the Form B along
with the fee of one thousand rupees in the manner as determined by the Director General, within thirty days
from the date on which the copy of order issued by the designated officer is received by such person.
(5) The appellate officer shall , after giving an opportunity of being heard to the appe llant, pass a speaking order,
confirming, modifying or setting aside the order issued by the designated officer.
(6) The copy of appellate order passed by appellate officer shall be provided to the appellant and the concerned
designated officer.
(7) The de signated officer, within thirty days from the date of the receipt of such order passed by the appellate
officer, shall grant the effect to the order by issuing a revised demand notice to the person against whom the
order has been passed for the amount of p enalty imposed in the order.
(8) The penalty thus imposed shall be paid by such person in the manner as determined by the Director -General
within thirty days of the service of demand notice upon the person.
(9) In case the person on whom the penalty is imp osed fails to pay such amount of penalty within the time as
stipulated in demand notice, then, the proceeding for cancellation or suspension of any license, certificate,
authorization, permit or approval, as the case may be initiated under these rules.
FOR M B
(See rule 66)
Form of appeal to the appellate officer
1. Name(s) of Appellant
2. Address
3. Email address
4. Phone No.
5. Order No. with date, against which the appeal is preferred
(Copy of the order to be enclosed)
6. Name and post of the d esignated officer by whom the order is passed
7. Contravention of rules for which order was passed
8. Operative part of order
9. Date on which the copy of order received by the appellant
10. Date of completion of 30 days limitation period
11. Brief facts of the case
12. Grounds of appeal
13. Prayer of the appellant
14. Fee and transaction details
Verification
I_____________________, the appellant, do hereby declare that what is stated above is true to the best of my
information and beli ef.
Name and signature of the Appellant
Date:
Place:
Uploaded by Dte. of Printing at Government of India Press, Ring Road, Mayapuri, New Delhi -110064
and Published by the Controller of Publications, Delhi -110054.
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