(1) An audit (a
"compliance audit") of the compliance of members, or of specified members or a
specified class or classes of members, of an occupational association with the
association's risk management strategies—
(a) may
be conducted at any time by the Council or the association; or
(b) must
be conducted by the association if requested to do so by the Council.
(2) If a
compliance audit is conducted by the Council—
(a) the
occupational association must give, and ensure that its members give, the
Council any information or a copy of any document that the Council reasonably
requests in connection with the conduct of the audit; and
(b) the
Council must provide a copy of a report of the audit to the association.
(3) If a
compliance audit is conducted by the occupational association, it must provide
a copy of a report of the audit to the Council.