Kinsmen Securities Compliance Committee
Kinsmen has appointed a Compliance Committee comprised of a majority of independent members as required under the Corporations Act. This Committee has the role of overseeing the Manager's compliance with scheme documentation and that investors' interests are not being disadvantaged.
The external members of the Compliance Committee are:
Prof Michael Burgess (Chairman)
Michael Burgess' expertise consists of business risk management and operations reviews, financial management reporting and planning, internal audit and financial control systems, operational quality services audits, forensic accounting and auditing, financial services compliances auditing, financial reporting and regulatory compliance and external audit.
Michael is currently a consultant with KPMG in the areas of Health and Not for Profit Organisations, an Adjunct Professor at the School of Business and Enterprise, University of South Australia and is director of various professional bodies, companies and government boards.
Michael is well known in the business community and is recognised for conducting research and preparing accounting advice for clients on various transactions in relation to legislative requirements and generally accepted accounting practices.
Paul Massey
Paul Massey has extensive financial services compliance, strategic planning and project management experience gained in his senior management roles within several major financial institutions over the last 18years.
Commencing as a financial advisor and moving into business development, Paul eventually headed the compliance department for the Commonwealth Bank in South Australia. He has successfully achieved two financial planning start up projects including the compliance, business and marketing plans and personal recruitment.
Paul is currently contracted on special projects by the South Australian Centre for Innovation in assisting small to medium enterprises (SME's) in developing compliance plans, policies and procedures. He is also director of financial services software development company STAG Pty Ltd.
The external members of the Compliance Committee are:
Prof Michael Burgess (Chairman)
Michael Burgess' expertise consists of business risk management and operations reviews, financial management reporting and planning, internal audit and financial control systems, operational quality services audits, forensic accounting and auditing, financial services compliances auditing, financial reporting and regulatory compliance and external audit.
Michael is currently a consultant with KPMG in the areas of Health and Not for Profit Organisations, an Adjunct Professor at the School of Business and Enterprise, University of South Australia and is director of various professional bodies, companies and government boards.
Michael is well known in the business community and is recognised for conducting research and preparing accounting advice for clients on various transactions in relation to legislative requirements and generally accepted accounting practices.
Paul Massey
Paul Massey has extensive financial services compliance, strategic planning and project management experience gained in his senior management roles within several major financial institutions over the last 18years.
Commencing as a financial advisor and moving into business development, Paul eventually headed the compliance department for the Commonwealth Bank in South Australia. He has successfully achieved two financial planning start up projects including the compliance, business and marketing plans and personal recruitment.
Paul is currently contracted on special projects by the South Australian Centre for Innovation in assisting small to medium enterprises (SME's) in developing compliance plans, policies and procedures. He is also director of financial services software development company STAG Pty Ltd.
Paul Zahara (Compliance Officer)

