Westpac Banking Corporation

AFS License Number
233714
Name
Westpac Banking Corporation
ABN/ACN/ARBN
33007457141
Licensee issued
Feb. 9, 2004
Address
Sydney, 2000, NSW

Licence conditions

This licence authorises the licensee to carry on a financial services business to:
provide financial product advice for the following classes of financial products:
deposit and payment products including:
basic deposit products;
deposit products other than basic deposit products; and
non-cash payment products;
derivatives;
foreign exchange contracts;
general insurance products;
debentures, stocks or bonds issued or proposed to be issued by a government;
life products including:
investment life insurance products as well as any products issued by a Registered Life Insurance Company that are backed by one or more of its statutory funds; and
life risk insurance products as well as any products issued by a Registered Life Insurance Company that are backed by one or more of its statutory funds;
interests in managed investment schemes including:
investor directed portfolio services;
retirement savings accounts ("RSA") products (within the meaning of the Retirement Savings Account Act 1997);
securities;
standard margin lending facility;
superannuation;
carbon units;
Australian carbon credit units; and
eligible international emissions units;
deal in a financial product by:
issuing, applying for, acquiring, varying or disposing of a financial product in respect of the following classes of financial products:
deposit and payment products including:
basic deposit products;
deposit products other than basic deposit products; and
non-cash payment products;
derivatives;
foreign exchange contracts;
general insurance products;
debentures, stocks or bonds issued or proposed to be issued by a government;
life products limited to:
life risk insurance products as well as any products issued by a Registered Life Insurance Company that are backed by one or more of its statutory funds;
interests in managed investment schemes including:
investor directed portfolio services;
retirement savings accounts ("RSA") products (within the meaning of the Retirement Savings Account Act 1997);
securities;
standard margin lending facility; and
superannuation;
applying for, acquiring, varying or disposing of a financial product on behalf of another person in respect of the following classes of products:
deposit and payment products including:
basic deposit products;
deposit products other than basic deposit products; and
non-cash payment products;
derivatives;
foreign exchange contracts;
general insurance products;
debentures, stocks or bonds issued or proposed to be issued by a government;
life products including:
investment life insurance products as well as any products issued by a Registered Life Insurance Company that are backed by one or more of its statutory funds; and
life risk insurance products as well as any products issued by a Registered Life Insurance Company that are backed by one or more of its statutory funds;
interests in managed investment schemes including:
investor directed portfolio services;
securities;
standard margin lending facility;
superannuation;
carbon units;
Australian carbon credit units; and
eligible international emissions units; and
underwriting:
interests in managed investment schemes; and
an issue of securities;
make a market for the following financial products:
foreign exchange contracts;
derivatives;
debentures, stocks or bonds issued or proposed to be issued by a government and/or debentures issued by any other body;
carbon units;
Australian carbon credit units;
eligible international emissions units; and
limited to financial products other than:
derivatives;
foreign exchange contracts; and
debentures, stocks or bonds issued or proposed to be issued by a government and/or debentures issued by any other body; and
provide the following custodial or depository services:
operate custodial or depository services other than investor directed portfolio services;
to retail and wholesale clients.

Location

Advisers

Name First provided advice Qualification and trainings
 Claude Zeine 2018 1995 - Bachelor of Commerce - - Melbourne University ~ 1998 - AFMA RG146 Accreditation - - AFMA ~ 1998 - Graduate Diploma in Applied Finance and Investment - - Securities Institute of Australia (Later FINSIA) ~ 1998 - Master of Finance - - RMIT University ~ 2021 - MA1769 Ethics for Financial Services - Bridging Course - Ethics - Deakin University
 Hamish Macdonald Thomson 2008 2003 - Bachelor of Agricultural Economics - Bachelor Degree (AQF 7) - Sydney University ~ 2008 - Diploma - Financial Services (Financial Markets) - - FINSIA ~ 2011 - Diploma - Financial Services (Financial Markets) - - AFMA ~ 2024 - Financial Planning Exam - Certificate (AQF 1-4) - ASIC
 Stephen Hughes 2017 2013 - Diploma of Financial Markets - - Australian Financial Markets Association ~ 2020 - Master of Business Administration - Masters Degree (AQF 9) - Australian Institute of Business ~ 2021 - MAI769 Ethics for Financial Services (Intensive) - Bridging Course - Ethics - Deakin University ~ 2023 - Graduate Diploma of Financial Planning - Graduate Diploma (AQF 8) - Kaplan Higher Education Pty Limited