2026-02-20 | RG-078The Australian Securities and Investments Commission issued this guide to assist Australian financial services and Australian credit licensees with their legal obligations. It provides detailed guidance on the requirement to report specific breaches of law under Division 3 of Part 7.6 of the Corporations Act 2001 and Division 5 of Part 2-2 of the National Consumer Credit Protection Act 2009. The document serves as a practical resource for licensees to ensure compliance with these mandatory reporting provisions.