Unit of competency Outline
Date retreived
23/07/2026 4:43 PM AWST
23/07/2026 4:43 PM AWST
Whilst all efforts are made to provide accurate and timely information from the relevant source/documentation, please be aware that the information supplied may not be the most current version. The accuracy of the detail has not been confirmed by the Department and therefore should not be relied upon without first confirming the contents.
Manage regulatory compliance
Manage regulatory compliance
Unit of competency
National Code
PSPREG027
PSPREG027
State Code
AWT74
AWT74
TGA Status
Replaced
Replaced
DTWD Status
Replaced
Replaced
State Implementation and Classification
Approved Date
21/07/2016
Field of Education
090999 - Law, N.e.c.
Original Release Date
21/07/2016
Nominal Hours
60
Description
This unit describes the skills required to manage regulatory compliance, a management role with responsibility for regulatory officers who enforce and promote compliance with legislation. It includes interpreting and advising on enabling and related legislation; developing and implementing strategies to promote long term voluntary compliance and develop a culture of compliance in the community; and providing strategic advice on compliance matters.This unit applies to those working in management roles within the public sector involved in regulatory compliance.The skills and knowledge described in this unit must be applied within the legislative, regulatory and policy environment in which they are carried out. Organisational policies and procedures must be consulted and adhered to.Those undertaking this unit would work autonomously, performing complex tasks in a range of familiar contexts.No licensing, legislative or certification requirements apply to unit at the time of publication.
Notes
Elements and Performance Criteria
1. Interpret and advise on enabling and related legislation
- 1.1 Resolve or refer non routine or complex matters related to enabling and related legislation.
- 1.2 Provide advice to clients and staff that is prompt, consistent and constructive, and within level of authority.
- 1.3 Seek feedback on client level of understanding, and provide additional information or explanation to clarify issues.
- 1.4 Monitor staff understanding of legislation and procedures is and address professional development needs.
2. Develop and implement compliance strategies
- 2.1 Identify and implement strategies and measures to influence long term voluntary compliance to suit the audience and the context.
- 2.2 Provide information that is current and promotes the benefits of compliance to clients.
- 2.3 Adjust information and strategies in response to feedback gathered from a range of stakeholders.
3. Provide strategic advice on compliance matters
- 3.1 Confirm client or government information requirements.
- 3.2 Provide advice based on current information and meets the specific needs of clients in its range, depth and form of presentation.
- 3.3 Maintain presentation standards.
- 3.4 Seek feedback on how well the advice and/or information suits its purpose and audience, and use to recommend further action.
No information
No information
Replaces
| State Code | National Code | Title | Type |
|---|---|---|---|
| C8294 | PSPREG601B | Manage regulatory compliance | Unit of competency |
Replaced By
| State Code | National Code | Title | Type |
|---|---|---|---|
| ODW95 | PSPREG047 | Manage regulatory compliance | Unit of competency |
| State Code | National Code | Title | Type |
|---|---|---|---|
| AZY3 | PSP60116 | Advanced Diploma of Government (Workplace inspection/ Investigations/Fraud control) | Qualification |
| BEL5 | PUA60719 | Advanced Diploma of Public Safety (Community Safety) | Qualification |
| BDT7 | RGR50218 | Diploma of Racing Integrity Management | Qualification |