- Company/Commercial (22)
- Regulatory and compliance (19)
- Corporate (16)
- Financial services (15)
- Funds (11)
- Tax (8)
- Litigation / Dispute Resolution (5)
- Insurance/reinsurance (4)
- Crime (3)
- Business Tax (2)
- Commodities (2)
- Employment (2)
- Public Sector/Local Authority (2)
- Real Estate (2)
- Competition/EU (1)
- Construction (1)
- Human Rights (1)
- Information Technology (1)
- Media/Entertainment/Sport (1)
- Professional Indemnity/Negligence (1)
Sort By: Newest first | Oldest first
The BEPS Action Plan sets out 15 actions and further work required to counteract the methods of base erosion and profit shifting (BEPS) used by multinational companies.
John Elias and Struan Lloyd share insights into how the new regime will apply to Australian entities and some of the issues that are likely to arise.
After launching the Shanghai pilot free-trade zone nine months ago, the Shanghai government has released the 2014 Negative List.
The People’s Bank of China released the Administrative Measures for the Foreign Exchange Purchase and Sale Business Provided by Banks on 22 June 2014.
The Corporations Amendment (Streamlining Future of Financial Advice) Regulation 2014 was made on 26 June and registered on 30 June.
The much anticipated Public Governance, Performance and Accountability Act 2013 (PGPA Act) came into effect on 30 June 2014.
The Treasury of the Australian government has released a consultation paper on providing certainty for contractual loss absorption provisions in regulatory capital.
The Anti-Money Laundering and Counter-Terrorism Financing Rules Amendment Instrument 2014 (No.3) (Cth) (Amending Rules) came into force on 1 June 2014.
The long-awaited legislation proposed for security of payment will shortly see the light of day. It has been the subject of a decade-long debate.
On 12 May 2014, the State Administration of Foreign Exchange issued the Rules on the Foreign Exchange Administration for Cross-border Guarantee.
Keeping track of the rapid and inter-related changes and developments in the BEPS Action Plan can be a real challenge for business.
The Supreme Court of New Zealand has allowed appeals brought by four former directors of Lombard Finance & Investments against sentences imposed on them by the Court of Appeal.
The Personal Property Securities Register (PPSR) does not require the person registering a security interest to file the underlying security agreement with the PPSR.
The Australian government released its 2014–15 Budget on 13 May. Karen Payne and Adrian Varrasso highlight a number of issues that will affect corporate Australia.
In July 2013, the Organisation for Economic Cooperation and Development (OECD) released the Action Plan on Base Erosion and Profit Shifting.
The Economics Committee conducting the inquiry into the performance of ASIC will address the role, structure and responsiveness of the regulator.
We welcome the Financial System Inquiry (FSI) and the opportunity to offer detailed insights and recommendations to the inquiry via this written submission.
The Tax Agent Services Act 2009 has been amended, heralding significant changes to the way financial planners are regulated.
The Corporations and Markets Advisory Committee (CAMAC) has released a broad discussion paper to review the establishment and management of schemes.
The Australian Prudential Regulation Authority (APRA) recently released a package of governance measures for banks, and general and life insurance companies.