Ensure your staff understand how to identify, investigate and resolve actual or potential compliance breaches and incidents in the workplace.
If you want to train your business or do more than one course, please enquire via the "My Company" option above. Rates reduce when training multiple users.
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About this online course
Our Compliance Incidents and Breaches for Insurers course provides participants with essential knowledge and tools to identify, prevent, and address compliance incidents and breaches in customer interactions. Through interactive scenarios and practical guidance, the course offers clear examples of incidents and breaches, along with outlining reporting mechanisms to ensure compliance with legal and regulatory requirements. This course ensures that your organisation remains aligned with the highest standards of regulatory compliance..
By the end of this course, participants will be able to:
Australia: Insurance Act 1973, Insurance Contracts Act 1984, Corporations Act 2001
Ideal for first-time learners or those with little prior knowledge, covering the entire topic in 30-40 minutes.
Allows learners who understand the topic to proceed quickly through the course in 20-30 minutes.
Short modules for time-poor learners, with each module lasting 5-10 minutes.
Quick summaries of specific compliance areas, available in office-based and field-based formats, each lasting 5 minutes.
Our client services team can deliver our courses via SCORM file if you have a Learning Management System (LMS) or SCORM-compliant software.
Alternatively, you can use our Compliance Platform to house any training material, track policy acceptance, administer surveys, and audits—all in one place. We can get you up and running within a few weeks.
Ensure your staff understand how to identify, investigate and resolve actual or potential compliance breaches and incidents in the workplace.
Financial services organisations must comply with various laws, regulations and standards imposed by regulators and authorities.
Incidents and breaches of these regulations can attract heavy penalties, including significant fines, legal action, and reputational damage. Ensuring compliance is not only a legal requirement but also crucial for maintaining trust with clients, stakeholders, and the broader market.
This course will help you understand how to identify, report, and prevent compliance incidents and breaches, safeguarding your organisation from potential risks.
Book a free training needs analysis with one of our Compliance Experts to help you build out the ideal compliance training program.
Increase your compliance by bundling our related courses. This ensures you cover multiple topics and legislations for a holistic approach.
Ensure your staff understand Australia's financial services regulations and clearly understand their role as advisers within the industry while effectively supporting customers in a financial services environment.
Ensure your staff understand Australia's financial services regulations and clearly understand their role as customer service representatives within the industry, recognising their position as non-advice providers, while effectively supporting customers in a financial services environment.
Ensure your staff understand Australia's financial services regulations in relation to supporting vulnerable customers which are fair and suitable for their circumstances.
Ensure your team understand how financial services firms must deal with complaints and disputes, under the Australian Securities and Investments Commission (ASIC) Regulatory Guide 271: Internal Dispute Resolution (RG 271).
Equip participants with the knowledge to comply with product design and distribution obligations
Equip participants with the knowledge to comply with breach reporting guidelines and regulations.
Options include comprehensive compliance courses and short, bite-sized modules to meet diverse training needs.
Our courses provide engaging, customisable content, from videos to interactive modules, tailored to your business.
All content is regularly updated to reflect the latest legislation, ensuring your training remains compliant.
Available via SCORM or our Compliance Platform, with regular updates provided whenever legal changes occur.
Our local Client Services team ensures a smooth setup within a few weeks and offers ongoing support for all your learning and training needs.
Renowned companies like Uber, Chubb, and David Jones rely on our compliance training solutions.
Is your organisation on the Safetrac?
Connect with our team today to explore how our courses can enhance your corporate training program or schedule a training needs analysis to tailor a solution for your compliance needs.
Use Calendly to schedule a time to speak directly to our team about your governance, risk and compliance needs.
Got questions? Reach out, and our compliance experts will get back to you with the answers.