Financial Adviser · ADELAIDE, SA

Lachlan Iain Walton

10 Years experience
Tax advice
authorised
ASIC Registered · ADV 001249626

Lachlan Iain Walton is a financial adviser based in Adelaide, South Australia, with 10 years of experience in the financial services industry. Lachlan is currently authorised under Shadforth Financial Group Limited. Lachlan holds authorisations to advise on superannuation, life insurance, life insurance investments and managed investments, as well as tax financial advice services (TFAS). Their qualifications include a Bachelor of Business (International Business, Finance and Trade) from University of South Australia.

Authorised to Advise On

Tax Financial Advice Superannuation Life Insurance Life Insurance Investments Managed Investments Securities Deposit Products Government Bonds

Restrictions: Advice on superannuation excludes self-managed superannuation funds.

Authorised to provide tax financial advice services

Qualifications and Training

2013
Bachelor of Business (International Business, Finance and Trade)
University of South Australia
2016
FNS50615 Diploma of Financial Planning
Kaplan Education Pty Ltd
2017
FNS60415 Advanced Diploma of Financial Planning
Kaplan Education Pty Ltd
2019
FPC002B Ethics and Professionalism in Financial Advice
Ethics - Kaplan Education Pty Ltd
2025
Accredited Listed Product Adviser Program
Kaplan Education Pty Ltd
2025
Tax for Financial Advising
Kaplan Education Pty Ltd

Registration History

Jun 2023 - Present Current
Advice on superannuation excludes self-managed superannuation funds.
May 2022 - May 2022 Ceased
IFS authorises the Adviser to provide Personal Advice, General Advice and Deal In financial products only in relation to the following advice topics as defined in IFS guidance: Limited - (a) Member Investment Choice (b) Contributions into superannuation (c) Insurance within superannuation (d) Planning for retirement (e) Transition to Retirement
STATEWIDE SUPERANNUATION PTY LTD
Jan 2020 - Apr 2022 Ceased
Scope of Authority: LIMITED. Adviser Is RESTRICTED from providing advice for the following classes of financial products: (i) debentures, stocks or bonds issued or proposed to be issued by a government; (ii) interests in managed investment schemes including;(A) investor directed portfolio services; (iii) securities; (iv) standard margin lending facility; (v) Self Managed Superannuation Funds (SMSFs). Adviser is RESTRICTED from dealing in a financial product by applying for, acquiring, varying or disposing of a financial product on behalf of another person in respect of the following classes of products: (i) deposit and payment products limited to: (A) basic deposit products; (B) deposit products other than basic deposit products; (ii) debentures, stocks or bonds issued or proposed to be issued by a government; (iii) interests in managed investment schemes including; (A) investor directed portfolio services; (iv) securities; (v) standard margin lending facility; (vi) Self Managed Superannuation Funds (SMSFs); to retail or wholesale clients.
Aug 2017 - Dec 2019 Ceased
This Authority permits the person to provide the financial services specified under the direct supervision of a Personal Client Adviser (PCA) who is a registered Tax (financial) adviser, or in the case of written advice, where it has been checked and countersigned by a PCA who is a registered Tax (financial) adviser before issue. Can provide advice in Superannuation except for Self-Managed Superannuation Funds.
Nov 2016 - May 2018 Ceased

Source: ASIC Financial Advisers Register