Compliance and risk management for financial advisers



Following the recent reviews into financial planning advice and the banks, advisers are finding themselves having to defend their advice to licensees. This session will examine what a financial services expert considers to be a bulletproof client file and provide tips to assist you to file note and evidence the reasons for your advice. It will also explore ASIC guidance in relation to providing advice, licensee expectations and responding to audit ratings, and client expectations.

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selfmanagedsuper is the definitive publication covering Australia’s SMSF sector. It uniquely offers both online and print publications tailored separately for SMSF professionals and individual trustees participating in the fastest growing and largest sector of the superannuation industry. As such, it is a must read for those wanting to stay informed about the latest news, regulatory developments, technical strategies, investments, compliance, legal and administration issues concerning SMSFs.

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