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 limited to:
basic deposit products;
deposit products other than basic deposit 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; and
superannuation; and
deal in a financial product by:
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 limited to:
basic deposit products;
deposit products other than basic deposit 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; and
superannuation;
to retail and wholesale clients.
| Name | First provided advice | Qualification and trainings |
|---|---|---|
| Clint Ducat | 2013 | 2012 - Diploma of Financial Services (Financial Planning) - - Intellitrain ~ 2015 - SMSF Strategies course - - Terra Cordis Pty Limited ~ 2017 - Advanced Diploma of Financial Planning - - Integrity Education Group ~ 2017 - DFP5v2 Tax for Financial Advising - Other - KAPLAN ~ 2017 - TASACLv1 Commercial Law - Other - KAPLAN ~ 2019 - FASEA Code of Ethics - Professional Designations - Financial Adviser Standards and Ethics Authority (FASEA) ~ 2021 - SMSF Specialist Adviser (SSA) - Professional Designations - SMSF Association ~ 2025 - Graduate Diploma of Financial Planning - Graduate Diploma (AQF 8) - KAPLAN |
| Jaclyn Monique Rose | 2018 | 2011 - Advance diploma of Financial Services (Financial Planning) (FNS60404) - - KAPLAN ~ 2014 - Diploma of Finance and Mortgage Broking Management (FNS50311) - - KAPLAN ~ 2019 - Apply Legal Principles in Commercial Law when providing Tax (Financial) advice services - Other - Integrity Education Group ~ 2019 - Apply Taxation requirements when providing Tax (Financial) advice services - Other - Integrity Education Group ~ 2019 - FASEA Code of Ethics - Professional Designations - Financial Adviser Standards and Ethics Authority (FASEA) ~ 2021 - SMSF Specialist Advisor (SAA) - Professional Designations - SMSF Association ~ 2025 - Graduate Diploma of Financial Planning - Graduate Diploma (AQF 8) - KAPLAN |
| Taryn Lee Hayne | 2008 | 2008 - Advanced Diploma Financial Services (Financial Planning) FNS60404 - Advanced Diploma (AQF 6) - Kaplan Australia ~ 2017 - Diploma Financial Planning FNS50615 - Diploma (AQF 5) - Kaplan Australia ~ 2017 - RG146 Securities & Managed Investments - Diploma (AQF 5) - Kaplan Australia ~ 2019 - FASEA Code of Ethics - Professional Designations - Financial Adviser Standards and Ethics Authority (FASEA) ~ 2020 - Ethics and Professionalism in Financial Advice - Bridging Course - Ethics - Kaplan Australia ~ 2024 - SMSF Specialist Adviser (SSA) - Other - SMSF Association ~ 2025 - Graduate Diploma of Financial Planning - Graduate Diploma (AQF 8) - KAPLAN |