Prepared by the Office of Parliamentary Counsel, Canberra
Corporations Regulations 2001
Statutory Rules No. 193, 2001
made under the
Corporations Act 2001
Compilation No. 113
Compilation date: 31 March 2015
Includes amendments up to: SLI No. 39, 2015
Registered: 9 April 2015
This compilation is in 7 volumes
Volume 1: regulations 1.0.01–6D.5.02
Volume 2: regulations 7.1.02–7.6.08E
Volume 3: regulations 7.7.01–8.4.02
Volume 4: regulations 9.1.01–12.9.03
Volume 5: Schedules 1, 2 and 2A
Volume 6: Schedules 3–12
Volume 7: Endnotes
Each volume has its own contents
Federal Register of Legislative Instruments F2015C00303
About this compilation
This compilation
This is a compilation of the Corporations Regulations 2001 that shows the text
of the law as amended and in force on 31 March 2015 (the compilation date).
This compilation was prepared on 31 March 2015.
The notes at the end of this compilation (the endnotes) include information
about amending laws and the amendment history of provisions of the compiled
law.
Uncommenced amendments
The effect of uncommenced amendments is not shown in the text of the
compiled law. Any uncommenced amendments affecting the law are accessible
on ComLaw (www.comlaw.gov.au). The details of amendments made up to, but
not commenced at, the compilation date are underlined in the endnotes. For
more information on any uncommenced amendments, see the series page on
ComLaw for the compiled law.
Application, saving and transitional provisions for provisions and
amendments
If the operation of a provision or amendment of the compiled law is affected by
an application, saving or transitional provision that is not included in this
compilation, details are included in the endnotes.
Modifications
If the compiled law is modified by another law, the compiled law operates as
modified but the modification does not amend the text of the law. Accordingly,
this compilation does not show the text of the compiled law as modified. For
more information on any modifications, see the series page on ComLaw for the
compiled law.
Self-repealing provisions
If a provision of the compiled law has been repealed in accordance with a
provision of the law, details are included in the endnotes.
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Corporations Regulations 2001 i
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Contents
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ii Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Schedule 1—List of forms in Schedule 2 1
Schedule 2—Forms 7
Form 314 12
Form 501 14
Form 502 16
Form 503 18
Form 509A 19
Form 509B 20
Form 509C 21
Form 509E 22
Form 509H 23
Form 521 28
Form 5249 29
Form 527 31
Form 529A 34
Form 529B 35
Form 530 36
Form 531A 37
Form 531B 38
Form 531C 39
Form 532 40
Form 535 41
Form 536 43
Form 537 45
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Corporations Regulations 2001 iii
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Form 538 46
Form 539 48
Form 541 50
Form 542 53
Form 543 54
Form 544 55
Form 547 57
Form 548 58
Form 549 59
Form 550 60
Form 551 61
Form 552 63
Form 553 64
Form 701 65
Form 719 79
Form 719A 81
Form 719B 83
Form 720 85
Form 721 87
Form 905 88
Form 910 91
Schedule 2A—Forms of transfer of Division 3
securities 94
Form 1 94
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iv Corporations Regulations 2001
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Form 2 96
Form 3 98
Form 4 100
Form 5 101
Form 6 103
Form 7 105
Form 8 107
Form 9 108
Form 10 109
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List of forms in Schedule 2 Schedule 1
Corporations Regulations 2001 1
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Schedule 1—List of forms in Schedule 2 (regulation 1.0.03)
Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
Chapter 1 Introductory
1 Regulation 1.0.16 Verification or
certification of a
document
911
1A Regulation 1.0.21 Cover page for office
copy of a court order
105
2 Subsection 117(2)
Subsection 163(3)
Subsection 254X(2)
Subsection 601BC(2)
Certification of
compliance with stamp
duty law
207Z
3 Subparagraph 206F(1)(b)(i) Notice to demonstrate
why disqualification
should not occur
5249
4 Subsection 206F(3) Notice of disqualification
from managing
corporations
587
Chapter 3 Internal administration
23A Section 250P Extension of time for
holding AGM
2501
26 Paragraph 263(2)(b) Notification of further
issue of debentures in a
series
310
30 Paragraph 324(2)(e) Return of members of
firm of auditors
314
31 Paragraph 319(5)(a)
Subsections 324(1) & (2)
Subsections 327(4) & (15)
Paragraph 329(11)(c)
Section 330
Notice of resignation or
removal of auditor
315
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Schedule 1 List of forms in Schedule 2
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Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
Chapter 4 Various corporations
Chapter 5 External administration
43 Subsection 414(2) Notice to dissenting
shareholder
501
44 Paragraph 414(9)(a) Notice to remaining
shareholder
502
44A Subsection 419A(3) Notice of controller’s
intention not to exercise
property rights
503
51A Subsection 438C(3) Notice to deliver books
of company to the
administrator
509A
51B Subsection 443B(3) Notice of administrator’s
intention not to exercise
property rights
509B
51C Paragraph 445F(2)(a) Notice of meeting of
creditors to vary or
terminate deed of
company arrangement
509C
51E Paragraph 450B(a) Notice to creditors of
execution of a deed of
company arrangement
509E
51H Paragraph 459E(2)(e) Creditor’s statutory
demand for payment of
debt
509H
61 Subsections 494(1) & (2) Declaration of solvency 520
62 Subsection 496(2)
Subregulation 5.6.12(2)
Notice of meeting of
creditors under
section 496
521
68 Paragraph 568(8)(a) Application requiring
liquidator to decide
whether to disclaim
property
527
69 Subsection 601AA(2) De-registration—
voluntary
6010
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List of forms in Schedule 2 Schedule 1
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Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
71 Subregulation 5.6.12(2) Notice of meeting 529
71A Paragraph 5.6.12(2)(aa) Notice of first meeting of
creditors of company
under administration
529A
71B Subsection 449C(5) Notice of meeting of
creditors to ratify
appointment of
administrator
529B
72 Regulation 5.6.13 Statement in writing of
posting of notice of
meeting
530
73 Paragraph 5.6.27(2)(a) List of persons present at
meeting of members or
contributories
531A
73A Paragraph 5.6.27(2)(b) List of persons present at
meeting of creditors or
debenture holders
531B
73B Paragraph 5.6.27(2)(c) List of persons present at
meeting of committee of
inspection or committee
of creditors
531C
74 Regulation 5.6.29 Appointment of proxy 532
75 Subregulation 5.6.39(3) Notice to submit
particulars of debt or
claim
533
76 Subregulation 5.6.48(3) Notice inviting formal
proof of debt or claim
534
77 Subregulation 5.6.49(2) Formal proof of debt or
claim (General form)
535
78 Subregulation 5.6.49(2) Formal proof of debt or
claim on behalf of
employees
536
79 Subregulation 5.6.54(1) Notice of rejection of
formal proof of debt or
claim
537
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Schedule 1 List of forms in Schedule 2
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Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
80 Regulation 5.6.58 Provisional list of
contributories
538
81 Subregulation 5.6.59(1) Notice to contributories
of appointment to settle
list of contributories
539
83 Subregulation 5.6.60(2) Certificate of liquidator
of final settlement of list
of contributories
541
84 Subregulation 5.6.61(1) Provisional
supplementary list of
contributories
542
85 Subregulation 5.6.61(1) Certificate of liquidator
of settlement of
supplementary list of
contributories
543
86 Subregulation 5.6.62(4) Notice to contributory of
final settlement of list or
supplementary list of
contributories and of
inclusion in list
544
88 Subregulation 5.6.65(1) Notice of intention to
declare a dividend
546
89 Subregulation 5.6.65(1) Notice to creditor or
person claiming to be a
creditor of intention to
declare a dividend
547
90 Subregulation 5.6.65(1) Notice to creditor or
person claiming to be a
creditor of intention to
declare a final dividend
548
91 Subregulation 5.6.67(3) Notice of declaration of
dividend
549
92 Regulation 5.6.70 Notice to liquidator to
pay dividend to a person
named
550
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List of forms in Schedule 2 Schedule 1
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Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
93 Subregulation 5.6.71(1) Schedule of
contributories or other
persons to whom a
distribution of surplus is
to be paid
551
94 Subregulation 5.6.71(2) Notice of distribution of
surplus to contributories
or other persons
552
95 Regulation 5.6.72 Authority to liquidator to
pay distribution of
surplus to a person
named
553
Chapter 6 Acquisition of shares
96 Subsection 671B(4) Notice of initial
substantial holder
603
97 Subsection 671B(4) Notice of change of
interests of substantial
holder
604
98 Subsection 671B(4) Notice of ceasing to be a
substantial holder
605
Chapter 7 Financial services and markets
99 Subregulation 7.6.08D(3)
Subregulation 7.6.08E(3)
Data on intermediated
business with
APRA-authorised
general insurers, Lloyd’s
underwriters and
unauthorised foreign
insurers
701
Chapter 9 Miscellaneous
150 Subsection 1287(1) Particulars of cessation
or change relating to
person registered as an
auditor under
subsection 1287(1)
905
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Schedule 1 List of forms in Schedule 2
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Column 1 Column 2 Column 3 Column 4
Item
Provision of the Act or the
Regulations Description of form
No. of
form
154A Subsection 1302(4) Notice of change of
address
909
155 Section 1313 Penalty notice 910
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Schedule 2—Forms (regulations 1.0.02 and 1.0.03)
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Schedule 2 Forms
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Schedule 2 Forms
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Form 314 (paragraph 324(2)(e))
Corporations Act 2001
RETURN OF MEMBERS OF FIRM OF AUDITORS
Name of firm:
Address of firm 1 :
The full names and addresses of all of the members of the firm are:
Surname First or given names Residential address
Dated
Signature 2
1. Give the address of each place of business of the firm. If there is more than
one place of business, indicate the principal place of business.
2. To be signed by one of the members of the firm.
DIRECTION
Requirements relating to annexures are set out in regulation 1.0.06.
NOTE
The completion of this form does not relieve members of the firm from any
obligation under the law relating to business names.
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Form 501 (subsection 414(2))
Australian Company Number:
Corporations Act 2001
NOTICE TO DISSENTING SHAREHOLDER
(Note that in this form “dissenting shareholder” means a shareholder who has
not assented to the scheme or contract mentioned in paragraph B, or who has
failed or refused to transfer his or her shares to the transferee in accordance
with that scheme or contract)
1. To
of
A. (insert name of person giving notice, in this form called “the
transferee”) The transferee on (insert date) made
an offer to the holders of *shares in Limited/ *shares included in class of shares
in Limited for the transfer of those shares
to the transferee, not being an offer made under a scheme or
contract arising out of the making of takeover offers or a takeover
announcement under the law relating to the acquisition of shares;
and
B. the scheme or contract involving the transfer of those shares to
the transferee was on or before (insert date) approved
by the holders of not less than nine-tenths in nominal value of the
shares *in that company/*included in that class of shares, other
than shares already held at the date of the offer by, or by a
nominee for, the transferee (or, if the transferee is a company, its
subsidiary); and
C. you are a dissenting shareholder of shares *in the company/ *included in that class of shares.
2. The transferee gives you notice under subsection 414(2) that the
transferee desires to acquire those shares held by you.
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3. You are entitled under subsection 414(7) to require the transferee, by
a demand in writing served on the transferee within one month after
the date on which this notice is given, to furnish to you a statement in
writing of the names and addresses of all other dissenting
shareholders shown in the register of members.
*4. You are entitled not later than the expiration of one month after the
date on which this notice is given or 14 days after the date on which a
statement is supplied to you under subsection 414(7), whichever is
the later, to elect, by notice to the transferee, which of the alternative
terms offered to the approving shareholders under the scheme or
contract you prefer. The alternative terms are as follows:
5. Unless, on application made by you within one month after the date
on which this notice is given or within 14 days after a statement is
supplied to you under subsection 414(7), the Federal Court of
Australia or the Supreme Court of (State or Territory) orders
otherwise, the transferee will be entitled and bound subject to
subsection 414(7) to acquire your shares:
(a) on the terms on which under the scheme or contract the shares of
the approving shareholders are to be transferred to the transferee;
or
(b) if alternative terms were offered — on the terms for which you
have elected; or
(c) if you have not so elected — on whichever of those terms the
transferee determines unless the Court otherwise orders.
Dated
(signature of transferee) *Omit if not applicable
DIRECTION
Requirements relating to annexures are set out in regulation 1.0.06.
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Form 502 (subsection 414(9)(a))
Australian Company Number:
Corporations Act 2001
NOTICE TO REMAINING SHAREHOLDER
1. To
of
A. (insert name of person giving notice, in this form called “the
transferee”) The transferee in (insert date) made offers to the holders
of shares *in Limited/*included in class of shares
in Limited for the transfer of those shares to the
transferee, not being offers made under a scheme or contract arising out
of the making of takeover offers or a takeover announcement under the
law relating to the acquisition of shares; and
B. under the scheme or contract the transferee became an (insert date)
beneficially entitled to shares in that company which together with any
other shares in that company to which the transferee, or the transferee
and any corporation related to the transferee, is beneficially entitled,
comprise or include nine-tenths in nominal value of the shares *in Limited/*included in that class of shares
in Limited; and
C. you are the holder of remaining shares *in that company/*included in
that class of shares in that company and have not assented to the
scheme or contract or been given notice in respect of those shares by
the transferee under subsection 414(2).
2. The transferee gives you notice under subsection 414(9) that under that
scheme or contract the transferee on (insert date) become beneficially
entitled to shares in Limited and those shares together
with any other shares in that company to which the transferee, or the
transferee and any corporation related to the transferee, is beneficially
entitled, comprise or included nine-tenths in nominal value of the shares (in
that company/*included in that class of shares in that company.
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3. You are entitled under subsection 414(9) within 3 months after the date on
which this notice is given by notice to the transferee to require the
transferee to acquire your shares. *3. You are entitled under subsection 414(9) within 3 months after the date on
which this notice is given to elect by notice to the transferee which of the
alternative terms offered to the approving shareholders under the scheme or
contract you will accept. The alternative terms are as follows:
4. If you require the transferee to acquire the shares held by you the transferee
will be entitled and bound to acquire those shares:
(a) on the terms that under the scheme or contract were offered to the
approving shareholders; or
(b) if alternative terms were offered—on the terms for which you have
elected;
(c) if you do not so elect
(i) on whichever of the terms the transferee determines or
(ii) on such other terms as are agreed or as the Federal Court of
Australia or the Supreme Court of` on the
application of the transferee or of yourself orders.
Dated
(signature of transferee) *Omit if not applicable
DIRECTION
Requirements relating to annexures are set out in regulation 1.0.06.
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Form 503 (subsection 419A(3))
Corporations Act 2001
NOTICE OF CONTROLLER’S INTENTION NOT TO EXERCISE
PROPERTY RIGHTS
To: (name), of (address) , the *owner/*lessor of property (“the specified property”) being:
(name and description of property including, if appropriate, relevant reference
numbers and account numbers identifying contracts such as leasing
arrangements in relation to that property)
I (name), of (address), the controller of
property of (name of corporation) (“the corporation”) give you notice that I do
not propose to exercise rights in relation to the specified property as controller
of the specified property, whether on behalf of the corporation or anyone else.
Dated
(Controller’s signature)
*Delete if not applicable
NOTES:
1. Under subsection 419A(4) the controller is not liable for rent or other
amounts by the corporation in relation to the specified property while
this notice in force, but the notice does not affect a liability of the
corporation.
2 Under subsection 419A(5), this notice ceases to have effect if the
controller:
(a) revokes the notice, by writing to the owner/lessor; or
(b) exercises or purports to exercise a right in relation to the specified
property the controller.
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Form 509A (subsection 438C(3))
A.C.N. or A.R.B.N.
Corporations Act 2001
NOTICE TO DELIVER BOOKS OF COMPANY TO THE
ADMINISTRATOR
Limited (administrator appointed)
To: (name) of (address)
1. I (name), of (address), the administrator of the company, give you
notice under subsection 438C(3) that I require you to deliver to me, at
the above address, within (insert number being not less than 3)
business days of the date of this notice, the books specified in the
Schedule, being books of the company, that are in your possession.
2. Note that under subsection 438C(5), you must comply with this
notice except so far as you are entitled as against the company and
the administrator, to retain possession of the books.
SCHEDULE
(insert specified books)
Dated
(administrator’s signature)
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Form 509B (subsection 443B(3))
Corporations Act 2001
NOTICE OF ADMINISTRATOR’S INTENTION NOT TO EXERCISE
PROPERTY RIGHTS
Limited (administrator appointed)
To: (name), of (address), the *owner/*lessor of property (“the
specified property”) being:
(name and description of property, including, if appropriate, relevant reference
numbers and account numbers identifying contracts such as leasing
arrangements in relation to that property)
I (name), of (address) , the administrator of (name
of company) (“the company”) give you notice that I do not propose to exercise
rights in relation to the specified property.
Dated
(administrator’s signature)
*Delete if not applicable
NOTES
1. Under subsection 443B(4), the administrator is not liable for rent or
other amounts payable by the company in relation to the specified
property while this notice is in force, but the notice does not affect a
liability of the company.
2. Under subsection 443B(5), this notice ceases to have effect if:
(a) the administrator revokes the notice, by writing to the owner/
lessor; or
(b) the company exercises or purports to exercise a right in relation to
the specified property.
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Form 509C (paragraph 445F(2)(a))
A.C.N. or A.R.B.N.
Corporations Act 2001
NOTICE OF MEETING OF CREDITORS TO VARY OR TERMINATE
DEED OF COMPANY ARRANGEMENT
Limited (subject to deed of company arrangement)
1. Notice is given that a meeting of the creditors of the company will be
held at (insert address and place of meeting) on (insert date) at
(insert time) *a.m./*p.m.
2. The purpose of the meeting is to consider and vote on the following
resolutions:
(Set out each resolution under section 445A or paragraph 445C(b)
that the administrator of the deed of company arrangement proposes
to be voted on at the meeting or, as the case may be, that creditors, in
a request made under paragraph 445F(1)(b), have proposed to be
voted on at the meeting.)
Dated
(signature of administrator) *Delete if not applicable
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Form 509E (paragraph 450B(a))
Corporations Act 2001
NOTICE TO CREDITORS OF EXECUTION OF A DEED OF COMPANY
ARRANGEMENT
Limited (subject to deed of company arrangement)
*To (name) of (address)
*To creditors of the company
1. Notice is given under section 450B that the company executed a deed
of arrangement on (insert date).
2. A copy of the deed may be inspected at (insert address).
Dated
(Signature of administrator of the
deed of company arrangement) *Delete if not applicable
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Form 509H (paragraph 459E(2)(e))
Corporations Act 2001
CREDITOR’S STATUTORY DEMAND FOR PAYMENT OF DEBT
To (name and A.C.N. or A.R.B.N. of debtor company) of (address of the
company’s registered office)
1. The company owes (name) of (address) (“the creditor”) *the amount of $(insert amount), being the amount of the debt described in
the Schedule. *the amount of $(insert total amount), being the total of the amounts of the
debts described in the Schedule.
*2. The amount is due and payable by the company.
*2. Attached is the affidavit of (insert name of deponent of the affidavit), dated
(insert date of affidavit), verifying that the amount is due and payable by the
company
3. The creditor requires the company, within 21 days after service on the
company of this demand:
(a) to pay to the creditor the *amount of the debt/*total of the amounts of
the debts; or
(b) to secure or compound for the *amount of the debt/*total of the amounts
of the debts, to the creditor’s reasonable satisfaction.
4. The creditor may rely on a failure to comply with this demand within the
period for compliance set out in subsection 459F(2) as grounds for an
application to a court having jurisdiction under the Corporations Act 2001
for the winding up of the company.
5. Section 459G of the Corporations Act 2001 provides that a company served
with a demand may apply to a court having jurisdiction under the
Corporations Act 2001 for an order setting the demand aside. An
application must be made within 21 days after the demand is served and,
within the same period:
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(a) an affidavit supporting the application must be filed with the court; and
(b) a copy of the application and a copy of the affidavit must be served on
the person who served the demand.
A failure to respond to a statutory demand can have very serious
consequences for a company. In particular, it may result in the
company being placed in liquidation and control of the company
passing to the liquidator of the company.
6. The address of the creditor for service of copies of any application and
affidavit is (insert the address for service of the documents in the State or
Territory in which the demand is served on the company, being, if solicitors
are acting for the creditor, the address of the solicitors).
SCHEDULE
Description of the debt Amount of the debt
(indicate if it is a judgment debt,
giving the name of the court
and the date of the order)
*Total Amount
Dated:
signed:
Print name: capacity:
Corporation or partnership name (if applicable):
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NOTES:
1. The form must be signed by the creditor or the creditor’s solicitor. It may be
signed on behalf of a partnership by a partner, and on behalf of a
corporation by a director or by the secretary or an executive officer of the
corporation.
2. The amount of the debt or, if there is more than one debt, the total of the
amounts of the debts, must exceed the statutory minimum of $2,000.
3. Unless the debt, or each of the debts, is a judgment debt, the demand must
be accompanied by an affidavit that:
(a) verifies that the debt, or the total of the amounts of the debts, is due and
payable by the company; and
(b) complies with the rules.
4. A person may make a demand relating to a debt that is owed to the person
as assignee.
5. This form was amended in 2006 as part of amendments of the Corporations
Regulations 2001. For the period of 12 months after the commencement of
those amendments a person may comply with paragraph 459E(2)(e) of the
Corporations Act 2001 in relation to a statutory demand for payment of
debt by using:
(a) the version of this form that was in force immediately before the
commencement of the amendments; or
(b) this version of the form.
*Omit if inapplicable
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Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
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28 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 521 (subsection 496(2), subregulation 5.6.12(6))
Corporations Act 2001
NOTICE OF MEETING OF CREDITORS UNDER SECTION 496
Limited
I, (insert name) of insert address)
give notice that, under subsection 496(1), a meeting of the creditors of the
company will be held at (insert place of meeting) on (insert date
of meeting) at *a.m./p.m.
The winding up of the company commenced on and I was
appointed liquidator by resolution of the members of the company. As the
directors declared that the company would be able to pay its debts in full within
a period not exceeding 12 months after the commencement of the winding up,
the liquidation is proceeding as a members’ voluntary winding up.
A list of creditors prepared in accordance with subsection 496(2) is annexed.
I have formed the opinion that the company will not be able to pay or provide
for the payment of its debts in full within that period and this meeting is
summoned in order that the creditors may, if they so wish, exercise their right
under subsection 496(5) to appoint some person other than myself to be the
liquidate of the company for the purpose of winding up the affairs and
distributing the property of the company.
A statement of the assets and liabilities of the company will be laid before the
meeting.
Dated
(signature of liquidator)
*Omit if not applicable
DIRECTION
Requirements relating to annexures are set out in regulation 1.0.06.
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Corporations Regulations 2001 29
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 5249
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
30 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
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Forms Schedule 2
Corporations Regulations 2001 31
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 527 (paragraph 568(8)(a))
Australian Company Number:
Corporations Act 2001
APPLICATION REQUIRING LIQUIDATOR TO DECIDE WHETHER TO
DISCLAIM PROPERTY
Limited
To (insert name), the liquidator of the company.
Under paragraph 568(8)(a), application is made to you by (full name, address
and occupation of applicant) requiring you to decide whether you will disclaim
the property described in the Schedule to this notice or not.
The applicant has the following interest in the property:
SCHEDULE
Dated
(signature of applicant)
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Corporations Regulations 2001 33
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
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Schedule 2 Forms
34 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 529A (subregulation 5.6.12(6))
Corporations Act 2001
NOTICE OF FIRST MEETING OF CREDITORS OF COMPANY UNDER
ADMINISTRATION
Limited (administrator appointed)
1. On (insert date) *the company under section 436A *The liquidator/provisional liquidator of the company under section 436B *a chargee of property of the company under section 436C appointed (insert
name) of (insert address) as the administrator of the company.
2. Notice is now given that a meeting of the creditors of the company will be
held at (insert address and place of meeting) on (insert date) at (insert time) *a.m./*p.m.
3. The purpose of the meeting is to determine:
(a) whether to appoint a committee of creditors; and
(b) if so, who are to be the committee’s members.
4. At the meeting, creditors may also, by resolution:
(a) remove the administrator from office; and
(b) appoint someone else as administrator of the company.
*5. Details of the instrument under the terms of which the administrator was
appointed are:
(a) date of the instrument: (insert date)
(b) nature of instrument: (insert type of instrument, eg mortgage)
(c) place of registration: (insert, if applicable)
(d) registered charge number: (insert, if applicable)
Dated
(administrator’s signature)
*Delete if not applicable
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Forms Schedule 2
Corporations Regulations 2001 35
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 529B (subsection 449C(5))
Corporations Act 2001
NOTICE OF FIRST MEETING OF CREDITORS TO RATIFY
APPOINTMENT OF ADMINISTRATOR
Limited (administrator appointed)
1. On (insert date) *the company under section 449C(1) and subparagraph 449C(2)(b)(i), *the liquidator/provisional liquidator of the company under
section 449C(2)(b)(ii), *a chargee of property of the company, under subsection 449C(1) and
subparagraph 449C(2)(b)(iii),
appointed (insert name) of (insert address) as the administrator of the
company in place of the previous administrator of the company.
2. The new administrator was appointed because the previous administrator
(here set out the applicable circumstances under paragraph 449C(1)(a), (b)
or (c), as the case may be).
3. Notice is now given that a meeting of the creditors of the company will be
held at (insert address and place of meeting) on (insert date) at (insert time) *a.m./*p.m.
4. The purpose of the meeting is:
(a) to determine whether to remove the person appointed from office; and
(b) if so, to appoint someone else as administrator of the company.
*5. Details of the instrument under the terms of which the previous
administrator was appointed are:
(a) date of the instrument: (insert date)
(b) nature of instrument: (insert type of instrument, eg mortgage)
(c) place of registration: (insert, if applicable)
(d) registered charge number: (insert, if applicable)
Dated
(signature of convenor of the meeting) *Delete if not applicable
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
36 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 530 (regulation 5.6.13)
A.C.N. or A.R.B.N.:
Corporations Law
STATEMENT IN WRITING OF POSTING OF NOTICE OF MEETING
Limited
I (name) of (address) state:
1. on (date) a notice of the time and place of the meeting (insert a description
of the meeting) in the form of the annexure marked “A” (see note below)
was sent by prepaid post to each person appearing in the books of the
company, or otherwise known to *me/*the convener of the meeting, as a
creditor/*contributory/ *member/*debenture holder;
*2. the notices were addressed to the creditors according to their names and
addresses appearing in the books of the company or to their last known
addresses;
*2 the notices were addressed to the contributories according to their names
and addresses appearing in the books of the company or to their last known
addresses;
*2 the notices were addressed to the debenture holders according to their
names and addresses appearing in the books of the company or to their last
known addresses;
*3 the persons notified and their addresses specified in the notices sent to them
are *set out in the annexed list (see note below) / *identifiable by reference
to the books of the company.
Signature
* Omit if inapplicable.
Note: Requirements relating to annexures are set out in regulation 1.0.06.
Federal Register of Legislative Instruments F2015C00303
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Corporations Regulations 2001 37
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 531A (paragraph 5.6.27(2)(a))
Corporations Regulations
A.C.N. or A.R.B.N.:
Corporations Act 2001
LIST OF PERSONS PRESENT AT MEETING OF: *MEMBERS/*CONTRIBUTORIES
Limited
Meeting held at (place of meeting) on (date).
No. Name Represented by *Number of
shares
*Number of
votes
(Signature of
person attending)
(NOTE: If a joint meeting of creditors and members is held, both Form 531A
and 531B should be completed)
*Delete if not applicable
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Schedule 2 Forms
38 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 531B (paragraph 5.6.27(2)(b))
Corporations Regulations
A.C.N. or A.R.B.N.:
Corporations Act 2001
LIST OF PERSONS PRESENT AT MEETING OF: *CREDITORS/*ELIGIBLE EMPLOYEE CREDITORS/*DEBENTURE
HOLDERS
Limited
Meeting held at (place of meeting) on (date).
No. Name Represented
by
(signature of
person
attending)
Amount of
proof
lodged
or
Amount of
debentures
held
Nature of
any
security
Value of
any
security, as
estimated
by the
creditor
**Balance
of
creditor’s
debt after
deducting
the value of
the security
(NOTE: If a joint meeting of creditors and members is held, both Form 531A
and 531B should be completed)
* Delete if not applicable
**Do not complete in the case of a meeting convened under Part 5.3A of the
Corporations Act 2001
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Corporations Regulations 2001 39
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 531C (paragraph 5.6.27(2)(c))
Corporations Regulations
A.C.N. or A.R.B.N.
Corporations Act 2001
LIST OF PERSONS PRESENT AT MEETING OF: *COMMITTEE OF
INSPECTION/*COMMITTEE OF CREDITORS
Limited
Meeting held at (place of meeting) on (date).
No. Name Represented by
(Signature of person
attending)
* Delete if not applicable
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
40 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 532 (regulation 5.6.29)
A.C.N. or A.R.B.N.
Corporations Act 2001
APPOINTMENT OF PROXY
*I/*We (if a firm, strike out “I” and set out the full name of the firm) of
(address), a creditor/*contributory/ *debenture holder/*member of
Limited, appoint (name, address and description of the person
appointed) or in his or her absence as *my/*our *general/*special proxy to vote
at the *meeting of *creditors/*contributories*debenture holders/*members/*joint
meeting of members and creditors to be held on (date), or at any adjournment of
that meeting (if a special proxy add the words “to vote for” or the words “to
vote against” and specify the particular resolutions).
Dated
Signature
CERTIFICATE OF WITNESS
(This certificate is to be completed only if the person giving the proxy is blind or
incapable of writing. The signature of the creditor, contributory, debenture
holder or member must not be witnessed by the person nominated as proxy)
I (name), of (address), certify that the above instrument appointing a proxy was
completed by me in the presence of and at the request of the person appointing
the proxy and read to him or her before she signed or marked at the instrument.
Dated
Signature of witness
Description
Place of residence
* Omit if inapplicable.
Federal Register of Legislative Instruments F2015C00303
Forms Schedule 2
Corporations Regulations 2001 41
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 535 (subregulation 5.6.49(2)
A.C.N or A.R.B.N:
Corporations Act 2001
FORMAL PROOF OF DEBT OR CLAIM (GENERAL FORM)
To the liquidator of Limited
1. This is to state that the company was on (date of court order in
winding up by the Court, or date of resolution to wind up, if a
voluntary winding up), and still is, justly and truly indebted to (full
name and address of the creditor and, if applicable, the creditor’s
partners. If prepared by an employee or agent of the creditor, also
insert a description of the occupation of the creditor) for
dollars and cents
Particulars of the debt are:
Date Consideration Amount Remarks
(state how the debt
arose)
(include details of
voucher substantiating
payment)
$ c
2. To my knowledge or belief the creditor has not, nor has any person
by the creditor’s order, had or received any satisfaction or security for
the sum or any part of it except for the following: (insert particulars
of all securities held. If the securities are on the property of the
company, assess the value of those securities. If any bills or other
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
42 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
negotiable securities are held, show them in a schedule in the
following form).
Date Drawer Acceptor Amount Due Date
$ c
*3. I am employed by the creditor and authorised in writing by the
creditor to make this statement. I know that the debt was incurred for
the consideration stated and that the debt, to the best of my
knowledge and belief, remains unpaid and unsatisfied.
*3. I am the creditor’s agent authorised in writing to make this statement
in writing. I know the debt was incurred for the consideration stated
and that the debt, to the best of my knowledge and belief, remains
unpaid and unsatisfied.
Dated
Signature
Occupation
Address
*Do not complete if this proof is made by the creditor personally
Federal Register of Legislative Instruments F2015C00303
Forms Schedule 2
Corporations Regulations 2001 43
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 536 (subregulation 5.6.49(2))
A.C.N. or A.R.B.N:
Corporations Act 2001
FORMAL PROOF OF DEBT OR CLAIM ON BEHALF OF EMPLOYEES
To the liquidator of Limited
I (full name of person making the statement) of (full address) being
(occupation) state:
1. the company was, on (date of court order in winding up, if winding
up was by the Court, or date of resolution to wind up if a voluntary
winding up), and still is, indebted to the persons whose names,
addresses and descriptions appear in Columns 2, 3 and 4 in the
Schedule;
2. the debt is for wages, salaries, annual leave, retrenchment payments
or long service leave, due to them for services rendered while
employed by the company during the periods set out in Column 5
against the names of the persons;
3. the debt of the company due to each person is for the amount set out
in Column 6 against the name of that person;
4. none of those persons has had or received any satisfaction or security
in respect of that debt;
5. I am authorised as and the source of my
information is as follows:
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Schedule 2 Forms
44 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
SCHEDULE
Column 1 Column 2 Column 3 Column 4 Column 5 Column 6
No Full name Address of
employee
Description Period for
which claim
is made (see
note below)
Amount of
claim
Dated
Signature
Note: In case of a claim for annual leave or long service leave, insert a
description of the claim.
Federal Register of Legislative Instruments F2015C00303
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Corporations Regulations 2001 45
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 537 (subregulation 5.6.54(1))
A.C.N or A.R.B.N:
Corporations Act 2001
NOTICE OF REJECTION OF FORMAL PROOF OF DEBT OR CLAIM
Limited
To
of
1. Your claim against the company set out in the formal proof of debt or
claim of (name of person submitting original proof of debt or claim)
made on (date) has been *wholly disallowed/*disallowed to the extent
of (particulars of part of claim disallowed)/*allowed in the sum of $
/*allowed to the extent of your claim for (particulars of part of
claim allowed).
2. My grounds for disallowance of (particulars of part of claim referred
to) are as follows:
3. If you are dissatisfied with my determination as set out above, you
may appeal against it, no later than (number of days, being not less
than 14) days after the service of this notice or, if the Court allows,
within any further period, to the *Federal Court of Australia/*the
Supreme court of (State or Territory). If you do not do so, your
claim will be assessed in accordance with this determination.
Dated
Signature of liquidator
Address
* Omit if inapplicable
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
46 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 538 (regulation 5.6.58)
A.C.N or A.R.B.N:
Corporations Act 2001
PROVISIONAL LIST OF CONTRIBUTORIES
Limited
The following is a provisional list of persons to be placed on the list of
contributories that I have made from the records of the company, together with
the number of their shares or the extent of their interest, their address and other
participants:
PART 1
PERSONS WHO ARE CONTRIBUTORIES
IN THEIR OWN RIGHT
Serial
No.
Name Address Description
of class of
contributory
Number
of shares
(or
extent of
interest)
Amount
called
up at
date of
start of
winding
up
Amount
paid up
at date
of start
of
winding
up
Amount
not
called
up at
date of
start of
winding
up
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Corporations Regulations 2001 47
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
PART 2
CONTRIBUTORIES WHO ARE REPRESENTATIVES OF, OR LIABLE
FOR THE DEBTS OF, OTHERS
Serial
No.
Name Address Description
of class of
contributory
and in what
character
included
Number
of shares
(or
extent of
interest)
Amount
called
up at
date of
start of
winding
up
Amount
paid up
at date
of start
of
winding
up
Amount
not
called
up at
date of
start of
winding
up
Dated
Signature of liquidator
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
48 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 539 (subregulation 5.6.59(1))
A.C.N or A.R.B.N:
Corporations Act 2001
NOTICE TO CONTRIBUTORIES OF APPOINTMENT TO SETTLE LIST
OF CONTRIBUTORIES
Limited
Take notice that I (name) of (address), the liquidator of the company, have
appointed (time) *a.m./*p.m. on (date) at (address of place appointed for
settlement), at which I must settle the list of the contributories of the company
that I have made. You are at present included in that list.
Particulars of your inclusion are set out below. Unless, before or at the time
appointed for the settlement, you give me sufficient reason for your exclusion,
your name will be included in the settled list.
Dated
Signature of liquidator
Serial
No.
Name Address Description
of class of
contributory
and in what
character
included
Number
of shares
(or
extent of
interest)
Amount
called
up at
date of
start of
winding
up
Amount
paid up
at date
of start
of
winding
up
Amount
not
called
up at
date of
start of
winding
up
* Strike out whichever is inapplicable.
Federal Register of Legislative Instruments F2015C00303
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Corporations Regulations 2001 49
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
NOTES
1. Contributories do not have to attend the appointment referred to in
this notice if they are satisfied that the particulars contained in the
notice are correct.
2. A shareholder’s name cannot be omitted from the list of
contributories because he or she is unable to pay calls; this question
will be dealt with when application is made for payment of the calls.
3. A change of address may be notified by giving notice to the
liquidator by post before the date fixed for the appointment.
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
50 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 541 (subregulation 5.6.60(2))
A.C.N. or A.R.B.N.:
Corporations Act 2001
CERTIFICATE OF LIQUIDATOR OF FINAL SETTLEMENT OF LIST OF
CONTRIBUTORIES
Limited
I (name), the liquidator of the company, certify that the result of the settlement
of the list of contributories of the company is as follows:
1. The persons named in Column 2 of Schedule 1 have been included in
the list of contributories as contributories of the company in respect
of the number of shares or extent of interest set out opposite their
names. I have listed in Part 1 of Schedule 1, contributories in their
own right and, in Part 2 of Schedule 1, contributories who are
representatives of, or liable for the debts of, others.
2. The persons named in Column 2 of Schedule 2 were included in the
provisional list of contributories, but have been excluded from the
settled list of contributories.
3. In Column 6 of Schedule 1 and in Column 6 of Schedule 2, I have set
out opposite the name of each person the date when that person was
included in or excluded from the list of contributories.
4. In Columns 7 and 8 of Schedule 1, I have set out opposite the name
of each person the amount called up at the date of the commencement
of the winding up and the amount paid up at that date in respect of the
shares, or interest, of that person.
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Corporations Regulations 2001 51
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
SCHEDULE 1
PERSONS INCLUDED IN THE LIST OF CONTRIBUTORIES
PART 1: CONTRIBUTIONS IN THEIR OWN RIGHT
1 2 3 4 5 6 7 8 9
Serial No. Name Address Description of
class of
contributory
and in what
character
included
Number of
shares (or
extent of
interest)
Date when
included in list
Amount called
up at date of
start of
winding up
Amount paid
up at date of
start of
winding up
Amount not
called up at
date of start of
winding up
PART 2: CONTRIBUTORIES WHO ARE REPRESENTATIVES OF, OR LIABLE FOR
THE DEBTS OF, OTHERS
1 2 3 4 5 6 7 8 9
No. Name Address Description of
class of
contributory
and in what
character
included
Number of
shares (or
extent of
interest)
Date when
included in list
Amount called
up at date of
start of
winding up
Amount paid
up at date of
start of
winding up
Amount not
called up at
date of start of
winding up
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Schedule 2 Forms
52 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
SCHEDULE 2
PERSONS EXCLUDED FROM THE LIST OF CONTRIBUTORIES
1 2 3 4 5 6
No. Name Address Description of class of
contributory and in
what character
proposed to be
included
Number of shares (or
extent of interest)
Date when included in list
Dated
Signature of liquidator
Federal Register of Legislative Instruments F2015C00303
Forms Schedule 2
Corporations Regulations 2001 53
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 542 (subregulation 5.6.61(1))
A.C.N or A.R.B.N.:
Corporations Act 2001
PROVISIONAL SUPPLEMENTARY LIST OF CONTRIBUTORIES
Limited
The following is a list of persons that I have found, since making out the
annexed list of contributories dated , to be, or to have been, *holders of shares in/*members of the company, and who to the best of my
knowledge and belief are contributories of the company:
(insert list in the same form as the original list: see Form 538)
Dated
Signature of liquidator
*Omit if inapplicable
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
54 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 543 (subregulation 5.6.61(1))
A.C.N. or A.R.B.N.:
Corporations Act 2001
CERTIFICATE OF LIQUIDATOR OF SETTLEMENT OF
SUPPLEMENTARY LIST OF CONTRIBUTORIES
Limited
I (name), the liquidator of the company, certify that the result of the settlement
of the provisional supplementary list of contributories of the company that I
made out on (date) is as follows:
(set out the Certificate and Schedules as in Form 541)
Dated
Signature of liquidator
Federal Register of Legislative Instruments F2015C00303
Forms Schedule 2
Corporations Regulations 2001 55
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 544 (subregulation 5.6.62(4))
A.C.N. or A.R.B.N.:
Corporations Act 2001
NOTICE TO CONTRIBUTORY OF FINAL SETTLEMENT OF LIST OR
SUPPLEMENTARY LIST OF CONTRIBUTORIES AND OF INCLUSION
IN LIST
Limited
To:
of:
Take notice that I (name), the liquidator of the company, on (date) settled the
list of contributories of the company. You are included in that list. The
character, if applicable, in which, and the number of share, or extent of interest,
for which, you are included, and the amounts called dup, paid up and unpaid in
respect of those shares or that interest are stated in the Schedule.
You may apply to vary the list of contributories, or to remove your name from
the list, by making an application to *the Federal Court of Australia/*the
Supreme court of (State or Territory) within 21 days from the service on you of
this notice or, if the Court allows, any further period.
You may inspect the list at my office at (address) from Monday to Friday
inclusive between the hours of (insert times making up not less than 3 hours
during the normal working day) and
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
56 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
SCHEDULE
No. Name Address Description
of class of
contributory
and in what
character
included
Number of
shares (or
extent of
interest)
Amount
called up at
date of start
of winding
up
Amount
unpaid at
date of start
of winding
up
Amount
unpaid at
date of start
of winding
up
Amount not
called up at
date of start
winding up
Dated
Signature of liquidator
* Omit if not applicable
Federal Register of Legislative Instruments F2015C00303
Forms Schedule 2
Corporations Regulations 2001 57
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 547 (subregulation 5.6.65(1))
Corporations Act 2001
NOTICE TO CREDITOR OR PERSON CLAIMING TO BE A CREDITOR
OF INTENTION TO DECLARE A DIVIDEND
Limited
A dividend (state the number of the dividend, e.g. “first”, “second”) is to be
declared on (date) for the company.
*You are listed as a creditor in the report on the affairs of the company; *You are known to me to claim to be a creditor, but your debt or claim has not
yet been admitted.
You are required formally to prove your debt or claim on or before (date). If
you do not, you will be excluded from the benefit of the dividend.
Dated
Signature of liquidator
Address
*Omit if inapplicable.
Federal Register of Legislative Instruments F2015C00303
Schedule 2 Forms
58 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 548 (subregulation 5.6.65(1))
Corporations Act 2001
NOTICE TO CREDITOR OR PERSON CLAIMING TO BE A CREDITOR
OF INTENTION TO DECLARE A DIVIDEND
Limited
A final dividend is to be declared on (date) for the company.
You are required formally to prove your debt or claim on or before (date).
If you do not, I will exclude your claim from participation, and I will proceed to
make a final dividend without having regard to it.
Signature of liquidator
Address
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Form 549 (subregulation 5.6.67(3))
Corporations Act 2001
NOTICE OF DECLARATION OF DIVIDEND
Limited
(State the number of the dividend, e.g. “First”, “Second”)
dividend.
A dividend at the rate of in the dollar has been declared for the
company and a cheque is attached for $ calculated at that rate on your debt
as admitted to rank for dividend for $ .
Dated
Signature of liquidator
Address
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Form 550 (regulation 5.6.70)
Corporations Act 2001
AUTHORITY TO LIQUIDATOR TO PAY DIVIDEND TO A PERSON
NAMED
Limited
To the liquidator
*I/*We authorise and request you to pay to (name) of (address) all dividends as
they are declared for the company, and that become due and payable to *me/*us
in respect of *my/ *our claim for $ against the
company.
*I/*We further request that cheques drawn for those dividends are made payable
to the order of (name).
This authority remains in force until revoked by *me/*us in writing.
Date
Signature of creditor
Name of creditor
*Omit if inapplicable
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Form 551 (subregulation 5.6.71(1))
Corporations Act 2001
(Note: Before completing this schedule please read carefully the “Direction for
completing Form 551” at the end of this form)
SCHEDULE OF CONTRIBUTORIES OR OTHER PERSONS TO
WHOM A DISTRIBUTION OF SURPLUS IS TO BE PAID
Limited
Serial No. in
settled list
Name of
contributory
as in settled
list
Address Number of
shares held
as set out in
settled list
Total
amount
called up
Total
amount paid
up
SCHEDULE OF CONTRIBUTORIES OR OTHER PERSONS, TO
WHOM A DISTRIBUTION OF SURPLUS IS TO BE PAID
Arrears of calls
at date of
return
Previous
distributions of
capital
appropriated
by liquidator
for arrears of
calls
Amount of
distribution
payable per
share
Net distribution
payable
Date and
particulars of
transfer of
interest or other
variation in list
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Signature of liquidator
Date
DIRECTION FOR COMPLETING FORM 551
If the Articles:
(a) provide that the amount divisible among members or any class of
members must be dividable in proportion to the amount paid up or
that ought to have been paid up at the date of winding up; or
(b) contain any other provision that requires further information before a
distribution can be made; columns should be added showing the amount called up and the amount paid up
a that date in respect of shares then held by those members or that class of
members, or any other facts that may be required.
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Form 552 (subregulation 5.6.71(2))
Corporations Act 2001
NOTICE OF DISTRIBUTION OF SURPLUS TO CONTRIBUTORIES OR
OTHER PERSONS
Limited
A distribution of surplus at the rate of per share has been declared for
the company and a cheque is attached for $ calculated at that rate per share
on your (number) shares.
Dated
Signature of liquidator
Address
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Form 553 (regulation 5.6.72)
Corporations Act 2001
AUTHORITY TO LIQUIDATOR TO PAY DISTRIBUTION OF SURPLUS
TO A PERSON NAMED
Limited
To the Liquidator
*I/*We authorise and request you to pay to (name) of (address) any distribution
of surplus payable to *me/*us for the company.
*I/*We further request that the cheque drawn for that distribution be made
payable to the order of (name).
This authority remains in force until revoked by *me/*us in writing.
Dated
Signature
Name(s) of person(s) completing this authority
*Omit if inapplicable.
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Form 701
Data on intermediated business with APRA-authorised general insurers, Lloyd’s underwriters and unauthorised foreign insurers
Australian business number
Australian financial services licence
number
Australian financial services licensee name
Reporting period
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TABLE 1: AGGREGATE DATA ON INTERMEDIATED BUSINESS WITH APRA-AUTHORISED GENERAL INSURERS,
LLOYD’S UNDERWRITERS AND UNAUTHORISED FOREIGN INSURERS
Total business placed with APRA-authorised general insurers, Lloyds
underwriters and unauthorised foreign insurers
Premium invoiced this reporting period
Effective this
reporting period
Effective after the
reporting period end
Effective before the
reporting period start
Total invoiced this
reporting period
a. Business placed directly by the general insurance intermediary with
APRA-authorised general insurers
b. Business placed directly, or indirectly through a foreign intermediary, by
the general insurance intermediary with Lloyd’s underwriters
c. Business placed directly, or indirectly through a foreign intermediary, by
the general insurance intermediary with unauthorised foreign insurers
d. Business placed indirectly through another general insurance
intermediary, by the general insurance intermediary with:
i. APRA-authorised general insurers; or
ii. Lloyds underwriters; or
iii. unauthorised foreign insurers
Total
General insurer is defined in subsection 3(1) of the Insurance Act 1973.
Lloyd’s underwriter is defined in subsection 3(1) of the Insurance Act 1973.
Unauthorised foreign insurer is defined in regulation 4 of the Insurance Regulations 2002.
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TABLE 2: TRANSACTION LEVEL DATA ON INTERMEDIATED BUSINESS PLACED DIRECTLY, OR INDIRECTLY THROUGH A
FOREIGN INTERMEDIARY, WITH UNAUTHORISED FOREIGN INSURERS
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15
Policy
transaction
type
Client
code
Policy
code
Invoice
date
Effective
date
APRA
class of
business
Premium Currency
of
premium
UFI
name
UFI
country
code
Exemption
type
HVI
limb
HVI
value
(#)
Atypical
risk
class
Customised
reason
Note It is an offence under section 137.1 of the Criminal Code Act 1995 to provide false or misleading information to a Commonwealth entity. The Australian Prudential Regulation Authority is a Commonwealth entity.
Lodgement requirements
If information is to be lodged in Table 1 only, the licensee may lodge the information electronically or in writing.
If information is to be lodged in both Table 1 and Table 2, the licensee must lodge the information electronically. If the licensee is unable to
lodge the information electronically, the licensee must arrange an alternative method of lodgement with APRA.
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Requirements for forms lodged electronically
A licensee must lodge a form electronically via the licensees portal provided by APRA. A licensee must undertake the steps required by
APRA to become authorised to use the portal.
A document accompanying a form may only be lodged electronically if APRA has approved, in writing, the electronic lodgement of
documents of that kind. If APRA has not approved the electronic lodgement of a document, the document may be lodged in writing.
APRA may approve the electronic lodgement of:
(a) a particular kind of document; or
(b) documents in a particular class of documents.
A document is taken to be lodged with APRA electronically if it is lodged in accordance with APRA’s approval, including any requirements
of the approval as to authentication.
Requirements for forms lodged in writing
If a form is lodged in writing, the form must be signed in accordance with the requirements of section 912CA of the Corporations Act 2001,
as modified by regulation 7.6.08C of the Corporations Regulations 2001.
Licensees lodging by mail or in person must lodge with APRA:
(a) the signed, original form; and
(b) any information, statements, explanations or other matters required by the form; and
(c) any other material required by the form.
Licensees lodging by email must lodge with APRA:
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(a) the signed form in PDF (portable document format); and
(b) any information, statements, explanations or other matters required by the form; and
(c) any other material required by the form.
Licensees lodging by email must retain signed original copies of the forms and attachments for a period of 7 years.
A form, or document, lodged with APRA in writing by, or on behalf of, an entity in an item of the following table, must be signed by
the person specified in the item.
Item Entity Person
1 A body that is not a foreign company A director or secretary
2 A body that is a foreign company (a) a local agent; or
(b) if the local agent is a company — a director or secretary of the company
3 An individual An individual
4 A partnership (a) a partner; or
(b) if the partner is a company — a director or secretary of the company
5 A trust (a) a trustee; or
(b) if the trustee is a body — a director or secretary of the body
Note A body includes a body corporate or an unincorporated body, for example, a society or association — see the definition of body in section 9 of the Act.
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The following table must be completed. In the table, the person’s name must be printed next to the person’s signature.
Lodgement details (for the person who physically completes the form)
Firm/organisation
Contact name/position description
ASIC registered agent number (if applicable)
Telephone number
Postal address or DX address
Signature block
Name
Signature
Capacity
Entity name (if entity acting as local agent)
Date signed
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Form 719 (regulations 7.5.90 and 7.5.92)
Corporations Regulations 2001
STATEMENT ABOUT PAYMENTS OUT OF FINANCIAL INDUSTRY
DEVELOPMENT ACCOUNT
1. The name of the market licensee to which this statement relates is (insert
name of market licensee).
2. This statement relates to the financial year ending on (insert date) (the
relevant financial year).
3. Specify in respect of each purpose approved by the Minister under
subregulation 7.5.88 of the Regulations:
(a) the terms of the purpose as so approved are:
(insert terms)
(b) the date of that approval was (date);
(c) the amount of payments made for that purpose during the relevant financial year was $(amount);
(d) the total, as at the end of the relevant financial year, of all payments made for this purpose in the relevant financial year and previous financial years was $(amount);
(e) further payments for this purpose *are / *are not envisaged.
4. The total of payments for all purposes in respect of the relevant financial
year was $(amount).
REPORT OF AUDITOR
*I/We (insert name of the auditor or auditors signing this report), report that:
(a) *I / *We have audited the above statement; and
(b) it accurately represents the payments that it mentions.
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Dated
(signature of auditor)
(under the signature add the name under which the auditor practises or the
name of the firm in which the auditor is employed)
* Omit if not applicable
DECLARATION
I (insert name of officer of the market licensee and the office he or she
occupies), declare:
(a) that, to the best of my knowledge and belief, the information contained in the above statement is correct; and
(b) that the Board of (insert name of the market licensee) has accepted the information contained in the statement and resolved that the statement be lodged with ASIC.
Dated
(signature of officer of the market licensee)
(under the signature add the name of the person signing)
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Form 719A (subregulation 7.5.56(4))
Corporations Regulations 2001
COMPENSATION FOR LOSSES RESULTING FROM THE
UNAUTHORISED TRANSFER OF RIGHTS, SHARES, DEBENTURES
OR OTHER SECURITIES BY DEALER
This notice relates to the unauthorised transfer of securities by (insert name of
the dealer who is claimed to have transferred securities without authority of
transferor) (in this notice called ‘the dealer’) of (insert residential address of
the dealer) *formerly carrying on / *carrying on business at (insert address of
the principal place of business of the dealer, including State or Territory).
A person wishing to make a claim under regulation 7.5.54 or 7.5.55 of the
Corporations Regulations 2001 in respect of loss suffered as a result of a
transfer of securities executed between (insert date of first day of applicable
period) and (insert date of last day of applicable period, being a date before the
date on which the notice is first to be published) (inclusive) by the dealer
without authority must lodge his or her claim with:
Securities Exchanges Guarantee Corporation
(insert address, including State or Territory and postcode).
The claim must be made in writing before the end of (specify last application
day, at least 3 months after last day of publication of notice).
Under subregulation 7.5.56(3) of the Corporations Regulations 2001, a claim
that is not made before the end of that day is barred unless the Board of the
Securities Exchanges Guarantee Corporation otherwise determines.
The effect of regulation 7.5.54 of the Corporations Regulations 2001 is to allow
a person who:
(a) owned securities that were transferred by a dealer; and
(b) did not authorise the dealer to transfer those securities; and
(c) suffered loss as a result of the transfer;
to make a claim for compensation for the loss suffered in respect of the
securities.
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The effect of subregulation 7.5.55(1) of the Corporations Regulations 2001 is to
allow:
(a) a person to whom securities were transferred by the dealer without the authority of the owner of the securities; or
(b) a successor in title of that person;
to make a claim for compensation for the loss suffered in respect of the securities.
Under regulation 7.5.55 of the Corporations Regulations 2001, the following
persons are not entitled to make a claim:
(a) a person who knew that the owner of the securities had not authorised the dealer to transfer them;
(b) a person who is connected with the dealer in a way described in regulation 7.5.04 of the Corporations Regulations 2001.
(signature of an officer of the SEGC)
(under the signature add the words ‘for the Securities Exchanges Guarantee
Corporation’)
(add the date of signature)
* Omit if not applicable
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Form 719B (subregulation 7.5.61(4))
Corporations Regulations 2001
NOTICE CALLING FOR CLAIMS AGAINST SECURITIES
EXCHANGES GUARANTEE CORPORATION
This notice relates to claims for pecuniary loss suffered in respect of a
contravention of the ASTC certificate cancellation provisions by (insert name of
dealer who is claimed to have contravened SCH certificate cancellation
provisions) (in this notice called ‘the dealer’) *formerly carrying on business / *carrying on business at (insert business address of the dealer).
A person wishing to make a claim under subregulation 7.5.60(1) of the
Corporations Regulations 2001 for pecuniary loss suffered in respect of a
contravention by the dealer of the SCH certificate cancellation provisions
during the period beginning on and ending on (insert dates) is required to serve
the claim on:
Securities Exchanges Guarantee Corporation
(insert address including relevant State or Territory and postcode).
The claim must be made in writing and served on or before the end of (specify
last application day — at least 3 months after last day of publication of notice).
(NOTES:
1. Under subregulation 7.5.61(3) of the Corporations Regulations 2001, a
claim that is not served before the end of the day specified will be barred,
unless the Board of the Securities Exchanges Guarantee Corporation
(‘SEGC’) otherwise determines.
2. Regulation 7.5.60 of the Corporations Regulations 2001 provides that a
person who suffers pecuniary loss in respect of a contravention, by a
dealer, of the ASTC certificate cancellation provisions may make a claim
in respect of the loss. ASTC certificate cancellation provisions are
provisions of the ASTC operating rules that deal with brokers cancelling
certificates or other documents of title to Part 4 financial products or with
matters incidental to that function.)
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A person may not make a claim under regulation 7.5.60 of the Corporations
Regulations 2001 if:
(a) the loss is in respect of an unauthorised execution (within the meaning of regulation 7.5.53 of those Regulations) in respect of which the person has made, or is entitled to make a claim under Subdivision 4.7 of Part 7.5 of those Regulations; or
(b) the person was involved in the contravention of the ASTC certificate cancellation provisions.
(signature of an officer of the SEGC)
for the Securities Exchanges Guarantee Corporation
(add the date of signature)
* Omit if not applicable
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Form 720 (subregulation 7.5.70(1))
Corporations Regulations 2001
NOTICE CALLING FOR CLAIMS AGAINST THE SECURITIES
EXCHANGES GUARANTEE CORPORATION
In relation to (insert name of dealer who has become insolvent) (in this notice
called ‘the dealer’) of (insert residential address of the dealer), *formerly /
carrying on business at (insert address of the principal place of business of the
dealer, including State or Territory), a dealer who has become insolvent.
Persons wishing to make a claim under subregulation 7.5.64(1) of the
Corporations Regulations 2001 in respect of property that was, in the course of,
or in connection with, the dealer’s business of dealing in securities, entrusted to
or received by the dealer (or another person as provided under that
subregulation) are required to lodge their claim with:
The Securities Exchanges Guarantee Corporation
(insert address, including State or Territory and postcode).
The claim must be made in writing on or before (insert date).
Subject to regulation 7.5.70 of the Corporations Regulations 2001, claims not
made on or before that date are barred unless the Board of the Securities
Exchanges Guarantee Corporation otherwise determines.
Subregulation 7.5.64(1) of the Corporations Regulations 2001 provides to the
effect that, where the requirements of that provision are otherwise met, a person
may make a claim in respect of property that was, in the course of, or in
connection with, the dealer’s business of dealing in securities, entrusted to or
received by:
(a) unless paragraph (b) applies, the dealer or an employee of the dealer; or
(b) if the dealer was, at the time the property was so entrusted or received, a partner in a participant, the participant, or a partner in, or an employee of, the participant.
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(signature of an officer of the SEGC)
(under the signature add the words ‘For the Securities Exchanges Guarantee
Corporation’)
(add the date of signature)
* Omit if not applicable
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Form 721 (regulation 7.5.80)
Corporations Regulations 2001
NOTICE OF DISALLOWANCE OF CLAIM AGAINST THE SECURITIES
EXCHANGES GUARANTEE CORPORATION
(Set out the name and address of the claimant or the claimant’s solicitor and an
appropriate form of salutation)
In relation to (insert name of the dealer to whom the claim relates), *formerly
carrying on / *carrying on business at (insert business address of the dealer).
The *Board of the Securities Exchanges Guarantee Corporation / *delegate of
the Board of the Securities Exchanges Guarantee Corporation under
section 890C of the Corporations Act 2001 has considered your claim against
the Corporation in respect of (insert description of the circumstances giving rise
to the claim and the loss allegedly suffered by the claimant).
After considering all the available evidence, the Corporation has decided that
the claim under *regulation (insert relevant regulation number) / *regulations
(insert relevant regulation numbers) should be *disallowed / *partly disallowed
to the extent set out below.
If you are not satisfied with this decision, you may bring proceedings within 3
months after service of this notice (see section 888H of the Act).
Yours sincerely,
(signature of an officer of the Corporation)
(under the signature add the words ‘for the Securities Exchanges Guarantee
Corporation’)
(add the date of signature)
(If the claim has been partly disallowed, insert a heading
‘PARTICULARS OF PARTIAL DISALLOWANCE’
and specify the necessary particulars under it)
* Omit if not applicable
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Form 905
Registration no:
Corporations Act 2001
PARTICULARS OF CESSATION OR CHANGE RELATING TO A
PERSON REGISTERED AS AN AUDITOR UNDER
SUBSECTION 1287(1)
Surname First or given names
Residential address
*1. CESSATION
On (insert date) , I ceased to practise as an auditor. I request ASIC to
exercise its discretion under subsection 1290(1) and cancel my registration
as an auditor.
*2. CHANGE OF NAME
On (insert date) , I changed my name
from:
to:
*3. CHANGE IN OTHER PARTICULARS *On (insert date) , the full address of the principal place at which I
practise was changed from:
to: (insert full address)
*On (insert date) , the full address of a place at which I practise was
changed from:
to: (insert full address)
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*On (insert date) , I commenced to practise at: (insert full
address)
*On (insert date) , I commenced to practise under a name and style
other than my own at: (insert full address)
*On (insert date) , I ceased to practise at: (insert full address)
*On (insert date) , the *name/*address of a firm of which I am *a
member/*an employee was changed from:
to:
*On (insert date) , I became *a member/*an employee of: (insert
name and full address)
*On (insert date) , I ceased to be *a member/*an employee of: (insert
name and full address)
*On (insert date) , a name or style other than my own under which I
practise was changed from:
to:
Dated: (insert date)
(signature of the registered company auditor)
* Omit if not applicable
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Form 910 (section 1313)
Corporations Act 2001
PENALTY NOTICE
To (insert name of person alleged to have committed offence and, if a
corporation, its Australian Company Number or its Australian Registered Body
Number)
1. It is alleged that at (insert place) on (insert date) you committed an
offence under or in relation to (insert provision under or in relation to
which the offence is alleged to have been committed) because you
(set out particulars of alleged offence, including description of
alleged conduct constituting the offence. Where applicable, include
the name and Australia Company Number or Australian Registered
Body Number of any corporation in connection with which the
offence is alleged to have been committed).
This offence is a prescribed offence.
2. Prescribed penalty: $
Payable to: (insert name and address of the office of the Australian Securities
and Investments Commission)
*3. APPLIES IF THE PENALTY NOTICE RELATES TO AN
OFFENCE CONSTITUTED BY A FAILURE TO DO A
PARTICULAR ACT OR THING
Take notice that:
(a) the obligation to (see Note below) continues, despite the service of
this notice or the payment of the prescribed penalty; and
(b) if, within 21 days after the date of service of this notice, you:
(i) pay the prescribed penalty to the authority specified in
paragraph 2; and
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(ii) (see Note below);
no further action will be taken against you in relation to the offence
described in paragraph 1; and
(c) if, at the end of 21 days after the date of service of this notice, you:
(i) have not paid the prescribed penalty to the authority specified in
paragraph 2; or
(ii) have not (see Note below);
proceedings may be instituted against you.
*3. APPLIES IF THE PENALTY NOTICE RELATES TO AN
OFFENCE OTHER THAN ONE CONSTITUTED BY A FAILURE
TO DO A PARTICULAR ACT OR THING
Take notice that if, within 21 days after the date of service of this notice, you
pay the prescribed penalty to the authority specified in paragraph 2, no further
action will be taken against you in relation to the offence described in
paragraph 1.
If, at the end of 21 days after the date of service of this notice, you have not paid
the prescribed penalty to the authority specified in paragraph 2, proceedings
may be instituted against you.
4. Payment of the penalty is not an admission of liability: see
subsection 1313(6).
Given by on behalf of the Australian Securities and
Investments Commission at on
* Omit if not applicable
Note: insert a description of the particular act or thing that the person allegedly
failed to do in committing the alleged offence.
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Schedule 2A Forms of transfer of Division 3 securities
Form 1
94 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Schedule 2A—Forms of transfer of Division 3
securities (regulation 7.11.04)
Form 1
DIVISION 3 SECURITY TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 assets: Class: If not fully
paid, paid to: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) of transferor(s):
The transferor(s) hereby transfer(s) the above Division 3 assets to the transferee(s) named in
Part 2 hereof or to the several transferees named in Part 2 of the Broker’s Transfer Form(s),
Split Transfer Form(s) or Consolidated Transfer Form(s) relating to the assets.
This transfer is executed on the transferor’s behalf by the transferor’s broker, who certifies:
(a) as to the validity of documents; and
(b) that stamp duty, if payable, has been or will be paid.
[Transferor’s broker’s stamp]
Affixed at
on
(place and date of affixing stamp)
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 1
Corporations Regulations 2001 95
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
PART 2
Full name(s) and address(es) of transferee(s): Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in
Part 1 above, having been purchased in
the ordinary course of business, are to
be registered in the name(s) of the
transferee(s) named in this Part; and
(b) that stamp duty, if payable, has been or
will be paid;
and hereby requests that such entries be
made in the register as are necessary to give
effect to this transfer;
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1 above, having been purchased in the ordinary
course of business, are to be registered in the name(s) of the transferee(s) named in the
Consolidated Transfer Form relating to the Division 3 assets; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that such entries be made in the register as are necessary to give effect to
this transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 2
96 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 2
BROKER’S TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 assets: Class: If not fully
paid, paid to: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) of transferor(s):
Transferor’s broker hereby certifies:
(a) that the Security Transfer Form relating to
the Division 3 assets set out above has been
or will be lodged at the company’s office;
and
(b) that stamp duty, if payable, has been or will
be paid.
[Transferor’s broker’s stamp]
Affixed at
on
(place and date of affixing stamp)
PART 2
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 2
Corporations Regulations 2001 97
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1
above, having been purchased in the
ordinary course of business, are to be
registered in the name(s) of the transferee(s)
named in this Part; and
(b) that stamp duty, if payable, has been or will
be paid;
and hereby requests that such entries be made in
the register as are necessary to give effect to this
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1 above, having been purchased in the ordinary
course of business, are to be registered in the name(s) of the transferee(s) named in the
Consolidated Transfer Form relating to the assets; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that such entries be made in the register as are necessary to give effect to
this transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 3
98 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 3
SPLIT TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 assets: Class: If not fully
paid, paid to: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) of transferor(s):
The [name of market licensee] hereby certifies that
the Security Transfer Form or the Broker’s
Transfer Form relating to the Division 3 assets set
out above has been or will be lodged at the
company’s office.
[Market licensee stamp]
Affixed at
on
(place and date of affixing stamp)
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 3
Corporations Regulations 2001 99
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
PART 2
Full name(s) and address(es) of
transferee(s)
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1
above, having been purchased in the
ordinary course of business, are to be
registered in the name(s) of the transferee(s)
named in this Part; and
(b) that stamp duty, if payable, has been or will
be paid;
and hereby requests that such entries be made in
the register as are necessary to give effect to this
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1 above, having been purchased in the ordinary
course of business, are to be registered in the name(s) of the transferee(s) named in the
Consolidated Transfer Form relating to the Division 3 assets; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that such entries be made in the register as are necessary to give effect to
this transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 4
100 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 4
CONSOLIDATED TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 assets: Class: If not fully
paid, paid to: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Transfer Consolidation Number(s):
PART 2
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that the Division 3 assets set out in Part 1 of the
Form(s) whose Transfer Consolidation
Number(s) is (or are) set out in Part 1 above,
having been purchased in the ordinary course of
business, are to be registered in the name(s) of
the transferee(s) named in this Part; and
(b) that stamp duty, if payable, has been or will be
paid;
and hereby requests that such entries be made in the
register as are necessary to give effect to the
transfer(s).
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 5
Corporations Regulations 2001 101
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 5
SECURITY RENUNCIATION AND
TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 rights: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) of transferor(s):
The transferor(s) hereby renounce(s) and transfer(s) the above Division 3 rights in favour of
the transferee(s) named in Part 2 hereof or to the several transferees named in Part 2 of the
Broker’s Renunciation and Transfer Form(s), Renunciation and Split Transfer Form(s) or
Renunciation and Consolidated Transfer Form(s) relating to the above Division 3 rights.
This transfer and renunciation is executed on the transferor’s behalf by the transferor’s
broker, who certifies:
(a) as to the validity of documents; and
(b) that stamp duty, if payable, has been or will be paid.
[Transferor’s broker’s stamp]
Affixed at
on
(place and date of affixing stamp)
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 5
102 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
PART 2
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1 above
having been purchased in the ordinary course of
business, the Division 3 assets to which the
Division 3 rights relate are to be issued to the
transferee(s) named in this Part; and
(b) that stamp duty, if payable, has been or will be
paid;
and hereby requests that the Division 3 assets be issued
by the company to the transferee(s) and such entries be
made in the register as are necessary to give effect to
this renunciation and transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1 above having been purchased in the ordinary
course of business, the Division 3 assets to which the rights relate are to be issued to the
transferee(s) named in the Renunciation and Consolidated Transfer Form relating to the
Division 3 rights; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that the Division 3 assets be issued by the company to the transferee(s)
and such entries be made in the register as are necessary to give effect to this renunciation and
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 6
Corporations Regulations 2001 103
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 6
BROKER’S RENUNCIATION AND
TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 rights: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) and address(es) of
transferor(s):
Transferor’s broker hereby certifies:
(a) that the Security Renunciation and Transfer
Form relating to the Division 3 rights set out
above has been or will be lodged at the
company’s office; and
(b) that stamp duty, if payable, has been or will
be paid.
[Transferor’s broker’s stamp]
Affixed at
on
(place and date of affixing stamp)
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 6
104 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
PART 2
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1
above having been purchased in the ordinary
course of business, the Division 3 assets to
which the Division 3 rights relate are to be
issued to the transferee(s) named in this Part;
and
(b) that stamp duty, if payable, has been or will
be paid;
and hereby requests that the Division 3 assets be
issued by the company to the transferee(s) and
such entries be made in the register as are
necessary to give effect to this renunciation and
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1 above having been purchased in the ordinary
course of business, the Division 3 assets to which the Division 3 rights relate are to be
issued to the transferee(s) named in the Renunciation and Consolidated Transfer Form
relating to the rights; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that the Division 3 assets be issued by the company to the transferee(s)
and such entries be made in the register as are necessary to give effect to this renunciation and
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 7
Corporations Regulations 2001 105
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 7
RENUNCIATION AND SPLIT TRANSFER
FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 rights: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Full name(s) of transferor(s):
The [name of market licensee] hereby certifies that
the Security Renunciation and Transfer Form or
the Broker’s Renunciation and Transfer Form
relating to the Division 3 rights set out above has
been or will be lodged at the company’s office.
[Market licensee stamp]
Affixed at
on
(place and date of affixing stamp)
PART 2
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1
above having been purchased in the ordinary
course of business, the Division 3 assets to
which the Division 3 rights relate are to be
issued to the transferee(s) named in this Part;
and
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 7
106 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
(b) that stamp duty, if payable, has been or will
be paid;
and hereby requests that the Division 3 assets be
issued by the company to the transferee(s) and
such entries be made in the register as are
necessary to give effect to this renunciation and
transfer.
[Transferee’s broker’s stamp]
Date of affixing stamp:
PART 3
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1 above having been purchased in the ordinary
course of business, the Division 3 assets to which the Division 3 rights relate are to be
issued to the transferee(s) named in the Renunciation and Consolidated Transfer Form
relating to the rights; and
(b) that stamp duty, if payable, has been or will be paid;
and hereby requests that the Division 3 assets be issued by the company to the transferee(s)
and such entries be made in the register as are necessary to give effect to this renunciation and
transfer.
(Transferee’s broker’s stamp)
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 8
Corporations Regulations 2001 107
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 8
RENUNCIATION AND CONSOLIDATION
TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 rights: Register:
Quantity: [Words] [Figures]
Transfer identification number:
Transfer Consolidation Number:
PART 2
Full name(s) and address(es) of
transferee(s):
Transferee’s broker hereby certifies:
(a) that, the Division 3 rights set out in Part 1 of
the Form(s) whose Transfer Consolidation
Number(s) is (or are) set out in Part 1 above
having been purchased in the ordinary
course of business, the Division 3 assets to
which the Division 3 rights relate are to be
issued to the transferee(s) named in this Part;
and
(b) that stamp duty, if payable, has been or will
be paid;
and hereby requests that the Division 3 assets be
issued by the company to the transferee(s) and
such entries be made in the register as are
necessary to give effect to the renunciation(s) and
transfer(s).
[Transferee’s broker’s stamp]
Date of affixing stamp:
Federal Register of Legislative Instruments F2015C00303
Schedule 2A Forms of transfer of Division 3 securities
Form 9
108 Corporations Regulations 2001
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 9
TRUSTEE TRANSFER FORM MARKING STAMP
PART 1
Full name of company:
Description of Division 3 assets: Class: If not fully
paid, paid to: Register:
Quantity: [Words] [Figures]
Transfer identification number, where
appropriate:
Full name(s) of transferor(s):
PART 2
Full name(s) and address(es) of
transferee(s):
Transferor hereby certifies that the Division 3
assets set out in Part 1 above are to be registered in
the name(s) of the transferee(s) named in this Part,
being the person(s) for or on whose behalf the
transferor held them, either alone or together with
another person or other persons, in the ordinary
course of business immediately before the
execution of this transfer, and hereby requests that
such entries be made in the register as are
necessary to give effect to this transfer.
I [or We] hereby transfer the above Division 3 assets to the transferee(s) named in Part 2
hereof.
Execution by the transferor(s):
Date of execution:
Federal Register of Legislative Instruments F2015C00303
Forms of transfer of Division 3 securities Schedule 2A
Form 10
Corporations Regulations 2001 109
Compilation No. 113 Compilation date: 31/3/15 Registered: 9/4/15
Form 10
TRUSTEE RENUNCIATION AND
TRANSFER FORM
PART 1
Full name of company:
Description of Division 3 rights: Register:
Quantity: [Words] [Figures]
Transfer identification number, where
appropriate:
Full name(s) of transferor(s):
PART 2
Full name(s) and address(es) of
transferee(s):
Transferor hereby certifies that, the Division 3
rights set out in Part 1 above having been
transferred to the person(s) for or on whose behalf
the transferor held them, either alone or together
with another person or other persons, in the
ordinary course of business immediately before
the transfer, the Division 3 assets to which the
Division 3 rights relate are to be issued to the
transferee(s) named in this Part, and hereby
requests that the Division 3 assets be issued by the
company to the transferee(s) and that such entries
be made in the register as are necessary to give
effect to this renunciation and transfer.
I [or We] hereby renounce and transfer the above Division 3 rights in favour of the
transferee(s) named in Part 2 hereof.
Execution by the transferor(s):
Date of execution:
Federal Register of Legislative Instruments F2015C00303