With decades of experience, we have provided advice to a wide network of clients. We have extensive experience in diverse financial services institutions.
We have held roles managing risk and compliance in Financial Services businesses and running Australian Financial Services Licenses as well as previous experience as financial advisers. We have been involved in, and responsible for, building financial planning businesses, restructuring compliance frameworks for businesses of different sizes, establishing external referral alliances and the recruitment and management of advisers. We have been directors and Responsible Manger for several AFSL’s.
We consider ourselves practical, commercial, analytical and detail oriented with an ability to identify process improvements that assist to embed compliance into your daily routine.
We communicate effectively across all aspects of a financial planning practice and work collaboratively with each business to successfully resolve the challenges of building a non-invasive compliance culture. We assist you to navigate the constantly changing compliance landscape and deal with the increasing governance requirements.
As a team, we are focused on your business objectives and the need for effective compliance management, to secure your resources and manage the risks to your business.