RPS Advisory Group Pty Ltd is an Authorised Representative of Bombora Advice Pty Ltd (Bombora Advice) ABN 40 156 250 565. Bombora Advice is the holder of an Australian Financial Services Licence, (AFSL number: 439065). The Authorised Representative number for RPS Advisory Group Pty Ltd is 398136
It is important for all RPS Advisory Group clients to understand the relationship that exists between Bombora Advice and its Authorised Representatives.
The financial services environment in Australia is highly regulated by the Australian Securities and Investment Commission (ASIC). Bombora Advice is an Australian Financial Services Licensee (AFSL No: 439065), and it authorises several entities, including RPS Advisory Group, to provide advice and services to clients, on its behalf. Although RPS Advisory Group will provide you with financial advice and services, Bombora Advice remains responsible for that advice whilst RPS Advisory Group is an authorised representative of Bombora Advice.
Bombora Advice was formed in July 2013 by a group of like minded financial advisers who wanted to provide the highest levels of professional advice to their clients, in a business relationship which matched their collective views on advice preparation, advice delivery, and client service. Bombora Advice is not owned or operated by any product manufacturer (i.e. life insurance company, fund manager or administration services company). Bombora Advice and its Authorised Representatives aim to provide the highest standards of professional advice and ongoing service to their clients.
Whilst financial advisers authorised through Bombora Advice Pty Ltd have access to a broad range of investment products, investment platforms and insurance underwriters, Authorised Representatives of Bombora Advice are only permitted to recommend financial products which are listed on the Bombora Advice Approved Products List. This Approved Products List is formulated via external research support with an internal overlay.
Bombora Advice is currently a member of the two peak professional bodies representing financial advisers in Australia and supports the ideals embodied in each body’s Code of Conduct and Ethics.