Compliance Australia offers a variety of products and services relating to corporate governance, regulatory compliance, business ethics and risk management. We support most sectors of the finance industry, including banking, investment banking, funds management, insurance, superannuation, financial planning and stockbroking, as well as commercial, resources, infrastructure and industrial organisations.
Over time our services have evolved to reflect the increasing focus on corporate governance and enterprise risk management in conjunction with regulatory compliance. We now offer a fully integrated Governance, Risk and Compliance program for directors and senior managers, including benchmarking, performance enhancement and executive coaching at a strategic level combined with operational policies, procedures, support and training.
Every Corporate Governance, Compliance and Risk Management program should include structured training and education for directors, management, employees and service providers. For those organisations subject to the licensing regime under the Corporation’s Act, the Trade Practices Act and the Anti Money Laundering and Counter Terrorism Financing Act there are more prescriptive training and competency requirements that must be satisfied.
At Compliance Australia we can provide training programs for a wide range of topics including:
We have found that the most effective approach to training involves tailored solutions delivered face to face with our clients in small group sessions. As most of our consultants are accredited, experienced trainers we are able to design and implement practical training programs that provide excellent value.