Compliance Australia is an independent firm established in early 1998 to provide consulting and support services to the finance industry. Our original focus was on compliance with laws, regulations and industry standards. Over time our services have expanded to incorporate corporate governance, risk management and business ethics. We service most sectors of the finance industry, including banking, investment banking, funds management, insurance, superannuation, financial planning and stockbroking as well as corporates, government and not for profit organisations.
Our team members and associates are all highly qualified and experienced professionals in their respective areas. We believe our unique combination of skills and experience in compliance, risk management, corporate governance, business ethics, training and recruitment differentiates Compliance Australia from any other consulting firm. By selectively drawing on these skills and experience we are able to complement existing client resources and processes to the extent that they deem appropriate.
We have also formed close associations with a number of firms who provide products or services that are complementary to those offered by Compliance Australia. Collectively we are able to provide a full service consultancy comparable to the major professional consultancies at significantly lower rates without compromising on quality.