2026-04-21 | RG-246The Australian Securities and Investments Commission issued this guide to assist Australian financial services licensees and their representatives in complying with conflicted and other banned remuneration provisions. It outlines the regulator's guidance on meeting requirements under Divisions 4 and 5 of Part 7.7A of the Corporations Act and explains how these rules will be administered. The provisions specifically apply to financial product advice given to retail clients and certain benefits associated with life risk insurance products.