When a regulator comes calling or a whistleblower complaint lands, you need to know what to do immediately, what to protect and when to escalate. Gain the tools to identify misconduct and compliance risks early, respond to ASIC and ACCC interest with confidence, protect privilege and guide directors, executives and internal teams through high-stakes investigations. Leave with a clearer framework for managing regulatory pressure, reducing personal and organisational exposure, and providing calm, strategic advice when the stakes are high.
- ASIC and ACCC enforcement trends and recent developments
- Common compliance failures and misconduct risks
- Director and executive liability in regulatory investigations
- Responding to investigations and protecting privilege
Presented by Peter Travis, Barrister and Mediator, Gibbs Chambers
Attend and earn 1 CPD unit in Substantive Law
This program is applicable to practitioners from all States & Territories
Presenters
Peter Travis, Barrister and Mediator, Gibbs ChambersPeter Travis is a Queensland barrister, mediator and California attorney who specialises in commercial disputes. He represents clients before all Australian courts and has a national mediation practice specialising in resolving civil disputes across a broad range of practice areas. Before joining the Queensland Bar in 2008, Peter was employed in the media division of a national firm of solicitors, and became a solicitor of the Supreme Court of New South Wales. He later joined the California Bar and practised as a trial attorney in Los Angeles. In Los Angeles, Peter represented media clients in complex First Amendment, intellectual property and commercial litigation.
This seminar is part of a series
In-House Counsel Series
Today's in-house counsel are expected to do far more than provide legal advice. They must navigate evolving regulatory frameworks, manage legal and commercial risk, support strategic decision-making and help their organisations respond to rapid technological and societal change. This practical webinar series has been designed specifically for in-house legal professionals, delivering timely guidance on the issues shaping legal practice and corporate governance. Across eight focused sessions, gain practical insights into employment law developments, privacy reform and AI governance, ESG and climate reporting, financial literacy, regulatory investigations and corporate misconduct, as well as the ethical, commercial and operational challenges facing modern legal teams. Equip yourself with the knowledge, skills and confidence to manage risk, enhance organisational resilience and deliver greater strategic value to your business.
Attend the complete series and earn 10 CPD units including:
5 units in Substantive Law
3 units in Professional Skills
1 unit in Ethics & Professional Responsibility
1 unit in Practice Management and Business Skills
This program is applicable to practitioners from all States & Territories
*The full series is running from Thursday, 17 September 2026 to Thursday, 26 November 2026
If you register for the full series as a live online product after the date of an individual session, you will be sent the recording for the sessions that have passed. Alternatively, you can register for individual sessions by following the links below.
View series listing