Financial Services Licensees in South Yarra, VIC
Compare registered financial services licensees in South Yarra, Victoria. All listings sourced from the ASIC AFS Licensee Register.
Statutory protections under Chapter 7
Financial services providers in South Yarra, Victoria are bound by Chapter 7 of the Corporations Act. Before any advice is given, the licensee must provide a Financial Services Guide. Personal advice triggers the Best Interests Duty — the provider must act in your best interests, prioritise them over their own, and only recommend products likely to leave you in a better position. Product disclosure statements (PDS) accompany any specific product recommendation. The Australian Financial Complaints Authority (AFCA) handles disputes free of charge.
Fawkner Capital Management Pty. Ltd.
Imc Insurance Brokers Pty Ltd
Bellwether Partners Ltd
Irt Insurance Pty Limited
Promotional Insurance Agency Pty. Ltd.
River Capital Pty Ltd
Daish & Co Pty Ltd
Rockglobal Capital Markets Pty Ltd
The Advice Exchange Pty Ltd
Gmp Financial Pty Limited★★★★ 4.3 (3 reviews)
Grannus Securities Pty Ltd
Newmark Capital Limited
Iwm Advisors Australia Pty Ltd★★★★★ 5 (3 reviews)
Australian Private Wealth Pty Ltd★★★★★ 5 (1 reviews)
Gersh Securities Pty Ltd
Jak Investment Group Pty. Ltd.
Aquila Securities Pty. Ltd.
Capital And Treasury Solutions Pty Ltd
Ds Capital Pty Ltd
Ida Securities Pty Ltd
Intrinsic Partners Pty Ltd
Ipg Funds Management Pty Ltd
Ark Investment Partners Pty Ltd
Professional Investment Solutions Pty. Ltd.★★★★★ 5 (8 reviews)
Openinvest Limited
Square Peg Invest Pty Ltd
Jadig Prudential Pty Ltd
Octopus Investments Aust Pty Ltd
Potentum Partners Australia Pty Ltd
South Yarra Financial Services Pty Ltd★★★★★ 5 (2 reviews)
Insurance & Superannuation Administration Services Pty Ltd
Npr Management Limited
Tooronga Advisory Group Pty Ltd
Cavendish Place Consulting Pty Ltd
O'Kane Investment Services Pty Ltd
Wealthspan Financial Services Pty Ltd
Cbp Finance Pty Ltd
Domo Insurance Pty Ltd
Finprime International Pty Ltd
Occasio Securities Pty Ltd
Trefor Capital Pty Ltd
Yarraport Capital Pty Ltd
Ascalon Capital Pty Ltd
Co:Act Capital Pty Ltd
Equion Financial Services Pty Ltd
Hansa Capital Pty Ltd
Como Services Pty Ltd
Michael Partners Pty Ltd
Oreana Investments Pty Ltd
Nearby Financial Services Licensees
Frequently asked questions
What is an Australian Financial Services Licence (AFSL)?
An AFSL is the licence issued by ASIC that permits an entity to provide financial services in Australia, including those offered in South Yarra, Victoria. It specifies the designated services (advice, dealing, market-making, custodial) and the financial products covered. The AFSL number must appear on every Financial Services Guide and disclosure document.
What's the difference between general and personal financial advice?
General advice is product information that does not consider your circumstances — it can be given without a Statement of Advice. Personal advice considers your goals, financial situation and needs, and triggers the Best Interests Duty. Personal advice always requires a written Statement of Advice before any recommendations are implemented.
Are financial services providers required to act in my best interests?
Providers giving personal advice are bound by the Best Interests Duty under the Corporations Act. They must prioritise your interests over their own, only recommend products likely to leave you in a better position, and disclose all fees, commissions and conflicts of interest in writing before you act.
Where do I go if I have a complaint about a financial services provider?
Complaints go through the licensee's internal dispute resolution (IDR) process first; the licensee has 30 days to respond. If unresolved, the Australian Financial Complaints Authority (AFCA) is the free external dispute resolution body. AFCA can make binding determinations up to specified caps under the Corporations Act.