2022-10-06 | RG-259

RG 259 Risk management systems of fund operators

The Australian Securities and Investments Commission issued this guide to assist Australian financial services licensees acting as fund operators in complying with their risk management obligations. It provides specific guidance on meeting the requirement under section 912A(1)(h) of the Corporations Act 2001 to maintain adequate risk management systems. The document targets responsible entities and corporate directors to ensure they understand how to effectively implement these necessary controls.

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Australian Securities and Investments Commission

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