Ph: (07) 3878 5098
David has over 30 years' experience in business advice, compliance and training, large projects, contract drafting and reviews and day-to-day corporate issues.
His experience includes: advice to credit unions, building societies, banks, superanuation funds, private health insurers and other mutuals in relation to regulatory matters including corporate governance, takeovers and mergers, capital issuance, commercial and regulatory matters; business and commercial law, banking and finance, technology and intellectual property.
His compliance experience includes National Consumer Credit, PPS, FSR, AML,FSR, Privacy and Consumer Protection and Competition and Trade Practices Law.
David provides compliance and CPD training, both face to face and online, as well as compliance program reviews.
He edits the Australian Regulatory Compliance Review and the firm's other publications.
He is currently an independent director of a private company and was previously a member of a Queensland Government Board.
B.A (1975), LL.B(1976), University of Queensland.
Company Directors Course Diploma (UQ, 2001).
Solicitor of Supreme Court of Queensland (1979) and High Court of Australia
Fellow of the Australian Institute of Company Directors
Associate of the Australasian Compliance Institute
Justice of the Peace (Qld)