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Workplace Code of Conduct (Australia)

Workplace Code of Conduct

Code of Conduct Policy (Australia)

WORKPLACE CODE OF CONDUCT

Issued pursuant to the Fair Work Act 2009 (Cth) and the employer’s right to give lawful and reasonable directions

Organisation: [Organisation Name] (ABN [Organisation ABN])

Address: [Organisation Address], [Organisation Suburb] [Organisation State] [Organisation Postcode]

Policy Version: [Policy Version]

Effective Date: [Policy Date]

Next Review Date: [Review Date]

Responsible Officer: [Responsible Officer Name], [Responsible Officer Title] | [Responsible Officer Email]

1. PURPOSE AND APPLICATION

[Organisation Name] is committed to maintaining the highest standards of ethical conduct, professional behaviour, and workplace integrity. This Workplace Code of Conduct (“Code”) sets out the standards of conduct expected of all workers, defines the organisation’s values, and establishes the consequences of failing to meet those standards. It is issued as a lawful and reasonable direction by [Organisation Name] under the employment relationship and in exercise of the organisation’s right to direct and manage its workforce.

This Code applies from [Policy Date] and supersedes any prior code of conduct issued by [Organisation Name].

2. SCOPE

This Code applies to all persons engaged by or working for [Organisation Name], including employees (full-time, part-time, casual, and fixed-term), contractors, subcontractors, labour hire workers, volunteers, and interns. It applies to conduct at the workplace, at work-related events and functions (including social events, conferences, and client engagements), during business travel, and in all communications connected to the employment or engagement relationship, including electronic communications and social media.

3. LEGAL FRAMEWORK

This Code has been prepared having regard to the following legislation and principles:

(a) Fair Work Act 2009 (Cth) — an employer has the implied right under common law, and by the terms of a contract of employment, to give lawful and reasonable directions to employees regarding their conduct, performance, and workplace behaviour. A direction is lawful if it does not require an employee to do something unlawful, and reasonable if there is a legitimate business reason for it. Under ss 387 and 388 of the Fair Work Act 2009 (Cth), the Fair Work Commission assesses whether disciplinary action or dismissal for a Code breach was justified, having regard to whether the reason was valid, whether the employee was notified and given a chance to respond, and whether dismissal was proportionate to the conduct.

(b) Work Health and Safety Act 2011 (Cth) s 28 — imposes duties on workers to take reasonable care for their own safety and the safety of others, and to comply with any reasonable WHS instruction or policy issued by the PCBU, including policies that form part of a Code of Conduct.

(c) Australian Human Rights Commission Act 1986 (Cth), Age Discrimination Act 2004 (Cth), Disability Discrimination Act 1992 (Cth), Racial Discrimination Act 1975 (Cth), Sex Discrimination Act 1984 (Cth), and applicable state and territory anti-discrimination legislation — conduct standards in this Code must be applied without discrimination. The Code is to be read alongside the organisation’s Anti-Discrimination and Diversity Policy.

(d) Privacy Act 1988 (Cth) and the Australian Privacy Principles — all workers must handle personal information in accordance with the Privacy Act 1988 (Cth). Workers who handle personal information in the course of their employment must comply with the organisation’s privacy obligations.

(e) Corporations Act 2001 (Cth) (for corporate entities) — directors and officers must comply with statutory duties including the duty to act in good faith and in the best interests of the corporation (s 181), and the prohibition on using position or information to gain advantage or harm the corporation (ss 182–183).

4. OUR VALUES

The conduct standards in this Code are grounded in the core values of [Organisation Name]:

[Core Values]

All workers are expected to embody these values in their day-to-day work and interactions, and to make decisions that reflect these values even in circumstances not specifically addressed by this Code.

5. PROFESSIONAL CONDUCT STANDARDS

5.1 Honesty and Integrity. Workers must act honestly in all dealings with [Organisation Name], its clients, customers, suppliers, and the public. Workers must not make false or misleading representations, falsify records, misrepresent qualifications or experience, or engage in any form of deception in the course of their employment or engagement.

5.2 Respect and Inclusion. Workers must treat all colleagues, clients, customers, contractors, and visitors with dignity, courtesy, and respect. Workers must not engage in bullying, harassment, sexual harassment, discrimination, or vilification on any ground. This Code is to be read alongside the organisation’s Anti-Discrimination and Diversity Policy and Workplace Bullying and Harassment Prevention Policy.

5.3 Compliance with Laws. Workers must comply with all applicable laws and regulations relevant to their role, including employment law, privacy law, corporations law, and any industry-specific regulatory requirements. Workers who are required to hold a professional registration or licence must ensure that registration or licence remains current and must notify [Organisation Name] immediately if it is suspended, cancelled, or subject to a condition or restriction.

5.4 Use of Organisation Property and Resources. Workers must use [Organisation Name]’s property, equipment, systems, and resources only for legitimate business purposes and must not use them for personal benefit without authorisation. Workers are responsible for taking reasonable care of any property or equipment in their custody. Loss, theft, damage, or inappropriate use of organisation property must be reported promptly.

5.5 Confidentiality. Workers must maintain the confidentiality of all confidential information belonging to [Organisation Name], including client information, commercial information, financial data, intellectual property, and personnel information. These obligations continue after the termination of the employment or engagement. Workers must not disclose confidential information to any third party without proper authorisation, and must comply with their obligations under the Privacy Act 1988 (Cth) when handling personal information.

5.6 Social Media. Workers must not post, share, or publish content on social media platforms (whether on personal or professional accounts) that: discloses confidential information of [Organisation Name] or its clients; is defamatory, discriminatory, harassing, or offensive; is likely to damage the reputation of [Organisation Name] or its people; or otherwise breaches this Code or any other [Organisation Name] policy. When using social media in a personal capacity, workers must not represent themselves as speaking on behalf of [Organisation Name] unless expressly authorised to do so.

5.7 Health and Safety. Workers must comply with all WHS obligations under the Work Health and Safety Act 2011 (Cth) and [Organisation Name]’s Workplace Health and Safety Policy, including the duty to take reasonable care for their own health and safety and the safety of others, and the duty to comply with reasonable WHS instructions and procedures.

6. CONFLICTS OF INTEREST

Workers must avoid situations in which their personal interests conflict, or may be perceived to conflict, with the interests of [Organisation Name]. A conflict of interest arises when a worker has a personal, financial, or other interest that could improperly influence their decisions or actions in the course of their duties.

Workers must disclose any actual, potential, or perceived conflict of interest to [Responsible Officer Name] ([Responsible Officer Title]) as soon as they become aware of it. Disclosure should be made in writing. After disclosure, the organisation will determine the appropriate management steps, which may include the worker recusing themselves from relevant decisions, being reassigned, or other arrangements.

Outside Employment. [Outside Employment Policy]

7. GIFTS, BENEFITS, AND HOSPITALITY

Workers must not solicit or accept gifts, benefits, or hospitality that may create a conflict of interest, or that could be perceived as seeking to influence the worker’s decisions or actions. Any gift, benefit, or hospitality with a value exceeding [Gifts Threshold] that is offered to a worker in connection with their role must be disclosed promptly to [Responsible Officer Name] and recorded in the organisation’s gifts and hospitality register. The organisation will determine whether the gift can be accepted, should be declined, or should be donated to charity.

Workers must never offer gifts, benefits, or hospitality to a third party (including a government official or public servant) for the purpose of improperly influencing a business decision or obtaining a commercial advantage. Such conduct may constitute bribery under the Criminal Code Act 1995 (Cth) or applicable state criminal legislation.

8. REPORTING AND SPEAKING UP

Workers who become aware of a potential breach of this Code, or who have concerns about unethical, unlawful, or unsafe conduct, are encouraged to report those concerns promptly. Reports may be made to [Responsible Officer Name] at [Responsible Officer Email], to the worker’s manager (if the worker is comfortable doing so), or through any other reporting channel identified in the organisation’s Whistleblower Policy.

[Organisation Name] will not tolerate retaliation against any worker who makes a report in good faith. Victimisation of a person who makes a report in good faith is itself a breach of this Code. Workers who make reports in good faith are also protected under the Corporations Act 2001 (Cth) ss 1317AA–1317AC (for corporate-related disclosures) and the Fair Work Act 2009 (Cth) s 341 (general protections for making a complaint or inquiry in relation to employment).

Workers who are uncertain whether conduct is appropriate or whether a conflict of interest should be disclosed are encouraged to seek guidance from [Responsible Officer Name] before acting. When in doubt, seek guidance.

9. CONSEQUENCES OF BREACH

A breach of this Code is a serious matter. [Organisation Name] will respond proportionately to any breach, taking into account the nature and severity of the conduct, the worker’s employment history, and any mitigating or aggravating circumstances. Disciplinary outcomes may include counselling, a formal written warning, mandatory training, changes to duties or reporting arrangements, suspension with or without pay, or termination of employment or engagement. Criminal conduct may be referred to the relevant law enforcement authorities.

All disciplinary actions will be conducted in accordance with procedural fairness principles consistent with the Fair Work Act 2009 (Cth). Workers subject to formal disciplinary action will be provided with written notice of the allegation, a reasonable opportunity to respond, and the right to have a support person present at any formal disciplinary meeting.

10. POLICY REVIEW

This Code of Conduct will be reviewed by [Responsible Officer Name] no later than [Review Date], and thereafter at least annually or following any significant legislative change, relevant court or tribunal decision, or material change to the organisation’s operations, structure, or regulatory environment. Workers will be notified of any material amendments to this Code.

11. AUTHORISATION

This Workplace Code of Conduct is authorised and adopted by [Organisation Name] as of [Policy Date].

Authorised By: [Authorised By Name]

Title: [Authorised By Title]

Organisation: [Organisation Name]

Date: [Policy Date]

Responsible Officer: [Responsible Officer Name]

Title: [Responsible Officer Title]

Date: [Policy Date]

Authorised Officer

________________

Signature

Date: ________________

Responsible Officer (HR)

________________

Signature

Date: ________________

Maintained by Vladislav Sergienko, Founder·Template last modified: ·Report an error

What Is a Workplace Code of Conduct (Australia)?

A Workplace Code of Conduct in Australia sets the organisation's rules and expectations on workplace and the responsibilities of staff and users, supporting compliance with the Fair Work Act 2009 (Cth).

The legal foundation rests on the employer's implied common law right and contractual right to issue lawful and reasonable directions. A direction is lawful if it does not require the employee to do something unlawful, and reasonable if there is a legitimate business justification. The Fair Work Act 2009 (Cth) is central to enforcement: under ss 387 and 388, the Fair Work Commission (FWC) considers whether a dismissal for a Code breach was fair, examining whether the employer had a valid reason, whether the employee was notified, whether they had an opportunity to respond, and whether dismissal was proportionate.

The Australian Public Service Code of Conduct under ss 13 and 15 of the Public Service Act 1999 (Cth) provides a widely referenced model for public sector conduct standards — including honesty, diligence, care of Commonwealth resources, compliance with applicable laws, and avoidance of conflicts of interest — that private sector organisations have adopted as a framework.

Several Commonwealth laws interact directly with a Code of Conduct. The Criminal Code Act 1995 (Cth) Divisions 141 and 142 criminalise bribery of Commonwealth public officials, and ss 70.2 and 70.3 address foreign bribery. The Privacy Act 1988 (Cth) and 13 Australian Privacy Principles (APPs) impose confidentiality and data handling obligations that a Code should reinforce. The Corporations Act 2001 (Cth) ss 181–183 impose statutory duties on directors and officers not to use their position or information for personal advantage — obligations that filter into any Code applicable to corporate employees. The Corporations Act 2001 (Cth) ss 1317AA–1317AC provide whistleblower protections that a Code must not undermine.

For Australian Financial Services Licence (AFSL) holders regulated by the Australian Securities and Investments Commission (ASIC) under the Corporations Act 2001 (Cth), a Code of Conduct that meets ASIC's Regulatory Guide 104 (Licensing: Meeting the general obligations) standards is a key component of demonstrating that the licensee has adequate training and competence arrangements and maintains the standards of honesty and integrity required to hold a licence. APRA-regulated entities — banks, insurers, and superannuation funds — are similarly expected to maintain documented conduct frameworks consistent with APRA's Prudential Practice Guide CPG 511 (Remuneration). Forms-legal.com provides this template as a starting point for Australian employers building a legally defensible conduct framework.

When Do You Need a Workplace Code of Conduct (Australia)?

Every Australian employer needs a Workplace Code of Conduct in place. The document is most immediately required in the following specific circumstances.

Employee onboarding: The Code should be signed by all new employees at commencement and incorporated by reference into employment contracts. Incorporating the Code contractually gives it contractual force, making a serious breach a basis for termination. The Fair Work Commission (FWC) consistently holds that where a Code is clearly communicated and incorporated into an employment contract, a serious breach constitutes a valid reason for dismissal under s 387(a) of the Fair Work Act 2009 (Cth).

Misconduct investigations and disciplinary proceedings: When an employer investigates alleged misconduct — including dishonesty, conflicts of interest, misuse of company resources, or inappropriate social media use — the Code provides the benchmark against which the employee's conduct is measured. Without a Code, the employer must rely on implied common law obligations, which are narrower and harder to enforce before the FWC or the Federal Circuit and Family Court of Australia.

Industry-specific regulatory compliance: Financial services entities regulated by ASIC under the Corporations Act 2001 (Cth) and the Australian Financial Services Licence (AFSL) conditions are required to demonstrate that representatives comply with conduct standards. ASIC Regulatory Guide 104 and RG 146 (for financial advice) require licensees to have documented conduct and training obligations. AFSL holders who fail to maintain adequate conduct frameworks risk licence suspension or cancellation under s 915B of the Corporations Act 2001 (Cth).

Government contracting and procurement: Commonwealth and state government procurement frameworks — including the Commonwealth Procurement Rules administered by the Department of Finance — require contractors to maintain documented ethical conduct standards. A Code of Conduct is frequently a mandatory tender requirement, and failure to maintain a current Code can result in disqualification from government panels and contracts.

Culture reviews and AHRC compliance: Organisations conducting culture reviews, responding to first strike or second strike remuneration report votes under the Corporations Act 2001 (Cth) ss 250U–250V, or seeking to demonstrate compliance with the AHRC's Respect@Work seven-standard framework will be expected to produce and update their Code of Conduct as a primary accountability document.

ASX Corporate Governance: For ASX-listed companies, Principle 3 of the ASX Corporate Governance Principles and Recommendations (4th Edition) requires the board to instil a culture of acting lawfully, ethically, and responsibly, and Recommendation 3.1 requires listed entities to have and disclose a code of conduct or summary of it.

What to Include in Your Workplace Code of Conduct (Australia)

A thorough Australian Workplace Code of Conduct must address the following elements to meet the requirements of the Fair Work Act 2009 (Cth), the Corporations Act 2001 (Cth), the Privacy Act 1988 (Cth), the Criminal Code Act 1995 (Cth), and applicable ASIC and APRA regulatory guidance.

Organisation details and scope: The full legal name, ABN, and the effective date and version of the Code. The Code must state who it applies to — all employees, contractors, directors, officers, and volunteers — and whether it applies to conduct at work-related events and activities outside normal working hours.

Core values: A statement of the organisation's values, providing the ethical context for the conduct standards that follow.

Honesty and integrity: A requirement to act honestly in all dealings with the organisation, its clients, suppliers, and regulators, and a prohibition on fraud, theft, and misrepresentation. Cross-reference to the Corporations Act 2001 (Cth) ss 181–183 duties for officers.

Respect and inclusion: A commitment to treating all persons with respect, with cross-references to the Anti-Discrimination and Bullying and Harassment policies and the obligations under the Sex Discrimination Act 1984 (Cth), Racial Discrimination Act 1975 (Cth), Disability Discrimination Act 1992 (Cth), and Age Discrimination Act 2004 (Cth).

Confidentiality and privacy: Obligations to protect confidential business information and personal information under the Privacy Act 1988 (Cth) and Australian Privacy Principles, including after the employment relationship ends.

Use of resources: Rules governing the use of company property, IT systems, email, and internet, including reference to the Acceptable Use Policy. Prohibition on using company resources for personal commercial activity.

Social media: Obligations covering both professional and personal social media use where there is a connection to the employment relationship, consistent with the Fair Work Commission's approach in cases including Pearson v Linfox Australia Pty Ltd [2014] FWC 446.

Conflicts of interest: A mandatory disclosure obligation for actual, potential, or perceived conflicts of interest, a register of disclosed conflicts, and a process for managing them. Officers are subject to additional duties under Corporations Act 2001 (Cth) ss 191–195.

Gifts, benefits, and hospitality: A gifts policy with a defined monetary threshold (typically AUD 150), a gifts register, and a prohibition on accepting gifts that could influence business decisions or create a perception of impropriety under the Criminal Code Act 1995 (Cth) foreign bribery provisions.

Outside employment: Reasonable restrictions on secondary employment that creates conflicts of interest or affects performance, consistent with the Fair Work Act 2009 (Cth).

Speaking up and whistleblower protections: A reporting obligation for known or suspected breaches, with protections for good faith reports under the Corporations Act 2001 (Cth) ss 1317AA–1317AC and the Public Interest Disclosure Act 2013 (Cth) for Commonwealth entities.

Consequences: A graduated consequence framework from counselling and warnings through to summary dismissal for serious misconduct under s 12 of the Fair Work Act 2009 (Cth). Forms-legal.com provides this template as a starting point for Australian workplace conduct governance documentation.

Cite this page

Reference this free template in an article, syllabus, or research note:

APA

Forms Legal. (2026). Workplace Code of Conduct (Australia) (Australia) [Legal document template]. Forms Legal. https://forms-legal.com/australia/employment/hr-forms/au-code-of-conduct

MLA

"Workplace Code of Conduct (Australia) (Australia)." Forms Legal, 2026, https://forms-legal.com/australia/employment/hr-forms/au-code-of-conduct.

BibTeX
@misc{formslegal-au-code-of-conduct,
  author       = {{Forms Legal}},
  title        = {Workplace Code of Conduct (Australia) (Australia)},
  year         = {2026},
  howpublished = {\url{https://forms-legal.com/australia/employment/hr-forms/au-code-of-conduct}},
  note         = {Free legal document template. Based on Fair Work Act 2009 (Cth)}
}

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Frequently Asked Questions

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This template is provided for informational purposes only and does not constitute legal advice. Laws vary by jurisdiction and change over time. Consult a qualified attorney for advice specific to your situation.Full disclaimer

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A Social Media Policy is a formal workplace policy document that sets out the rules, responsibilities and standards governing the use of social media by employees and other workers engaged by an organisation, both in a professional capacity (on company accounts) and on personal accounts during and outside work hours. An Australian Social Media Policy must be consistent with the Fair Work Act 2009 (Cth), Privacy Act 1988 (Cth), and applicable anti-discrimination and defamation laws. What Is a Social Media Policy? A Social Media Policy (also referred to as a social networking policy, digital media policy, or online conduct policy) is a written workplace document that defines an organisation's expectations and requirements for how its employees use social media in connection with their employment. The policy applies to all social media platforms — including LinkedIn, Facebook, Instagram, X (formerly Twitter), TikTok, YouTube, Reddit, personal blogs, online forums, review sites and messaging platforms — and covers both authorised professional use of the organisation's social media channels and the personal social media activity of employees to the extent it connects to the employment relationship. In Australia, the relationship between social media and employment law has developed significantly through Fair Work Commission decisions. The Commission has consistently held that social media posts made outside of work hours can provide a valid reason for disciplinary action — including termination — if the content has a sufficient connection to the employment relationship, damages the employer's reputation, disrupts workplace harmony, undermines trust and confidence, or constitutes workplace bullying or harassment. When Is a Social Media Policy Needed? An Australian Social Media Policy is needed in the following circumstances: - For any organisation with employees who use social media in connection with their work, whether on company accounts or in ways that reference the organisation, colleagues, or clients; - When the organisation's operations involve employees who have access to confidential business or client information that could potentially be shared on social media; - When the organisation is required to comply with the Privacy Act 1988 (Cth) and the Australian Privacy Principles in relation to the handling of personal information about clients, customers or employees; - When the organisation wants to establish clear standards for professional use of company social media accounts, including who is authorised to post and what approval processes apply; - When the organisation wants to address the risk of employees making defamatory, discriminatory or harassing statements on social media that could expose the organisation to legal liability; - As part of a broader suite of workplace policies addressing conduct, confidentiality, and the use of company resources. Key Elements of an Australian Social Media Policy A comprehensive and legally sound Australian Social Media Policy should include the following elements: 1. Organisation identification: The full legal name, ABN, and principal address of the organisation, together with the name of the policy owner and the effective and review dates. 2. Scope and application: A clear statement of who the policy applies to (including employees, contractors, volunteers and other engaged workers) and the social media platforms and channels covered. 3. Professional use rules: Standards governing the use of official company social media accounts, including who is authorised to post, what content approval processes apply, how client or customer complaints are to be managed online, and how the organisation's brand and intellectual property are to be used. 4. Personal use rules: Standards governing employees' personal social media use, both during and outside work hours. Under Fair Work Commission decisions including O'Keefe v Williams Muir's Pty Ltd [2011], Linfox Australia Pty Ltd v Glen Stutsel [2012], and subsequent decisions, out-of-hours social media conduct can constitute a valid reason for dismissal where it has a sufficient nexus to the workplace. 5. Confidentiality obligations: A clear definition of what constitutes confidential information and an express prohibition on disclosing any such information through social media channels, consistent with the employee's contractual confidentiality obligations and the Privacy Act 1988 (Cth). 6. Privacy obligations: Requirements consistent with the Australian Privacy Principles under the Privacy Act 1988 (Cth), including prohibitions on posting personal information about colleagues, clients or third parties without their consent. 7. Adverse action protections: The policy should acknowledge that it does not seek to prohibit the exercise of any workplace right under the Fair Work Act 2009 (Cth), including the right to make a complaint (s 340) or to participate in industrial activities. 8. Breach and consequences: Examples of prohibited conduct and a clear statement of the range of disciplinary consequences, up to and including termination for serious breaches. 9. Reporting procedure: A mechanism for employees to report concerns about social media conduct by others, with confidentiality protections. 10. Employee acknowledgement: A signed acknowledgement confirming the employee has read and understood the policy. This template is designed for use across all Australian states and territories, including New South Wales, Victoria, Queensland, Western Australia, South Australia, Tasmania, the Australian Capital Territory, and the Northern Territory.