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PrivacyLaw

APPs — Australian Privacy Principles

The Australian Privacy Principles (APPs) are a set of 13 principles that form the privacy protection framework under the Privacy Act 1988. They govern how personal information is collected, used, disclosed, and managed by organizations and agencies subject to the Act.

Office of the Australian Information Commissioner (OAIC) • Australia

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GRCStandard

CPS 230 — Prudential Standard CPS 230 Operational Risk Management

CPS 230 sets out requirements for APRA-regulated entities to effectively manage operational risks. It covers obligations on governance, risk frameworks, and risk controls to ensure resilience against operational disruptions.

Australian Prudential Regulation Authority (APRA) • Australia

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GRCGuideline

RG 104 — RG 104 AFS Licensing: Meeting the General Obligations

This regulatory guide provides information for Australian Financial Services (AFS) licensees and applicants about compliance with general obligations under section 912A(1) of the Corporations Act. It outlines what ASIC looks for during assessments of compliance.

Australian Securities and Investments Commission (ASIC) • Australia

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GRCGuideline

RG 105 — RG 105 AFS Licensing: Organisational Competence

This guide outlines the requirements for Australian financial services (AFS) licensees and applicants to meet the 'organisational competence obligation' under the Corporations Act. It provides clarity on compliance expectations relating to the qualifications, experience, and capability of key individuals within the licensee's organization.

Australian Securities and Investments Commission (ASIC) • Australia

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GRCStandard

CPS 510 — Prudential Standard CPS 510 Governance

This is a prudential standard issued by the Australian Prudential Regulation Authority (APRA) to provide requirements for governance of regulated entities. It focuses on promoting sound corporate governance practices.

Australian Prudential Regulation Authority (APRA) • Australia

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GRCGuideline

RG 270 — RG 270 Whistleblower Policies

This guide provides entities with information on establishing whistleblower policies that comply with legal obligations under the Corporations Act. It includes guidance for both entities required to have such policies and those managing whistleblowing under legal frameworks.

Australian Securities and Investments Commission (ASIC) • Australia

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GRCGuideline

RG 259 — RG 259 Risk management systems of fund operators

This regulatory guide provides specific guidance for Australian financial services (AFS) licensees that are responsible entities or corporate directors (fund operators) on how to comply with their obligation under s912A(1)(h) of the Corporations Act 2001 to maintain adequate risk management systems.

Australian Securities and Investments Commission (ASIC) • Australia

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