2/23/2010 "The best in the business!"


3/4/2010 "We deal with you because of your ethics"


3/4/2010 "I'm with Crux because of your integrity"


9/7/2010 "True Professionals"


Our Company Profile

Crux Compliance ( Pty) Ltd trading as Crux Consulting Compliance Practitioners was established on 1 October 2004. The practice is headed by Waldy Barske who is a Certified Financial Planner , a Certified Compliance Professional and an admitted Attorney.
It is based on a family practice where we concentrate on a core group of clients who understand us ,our value system and our model.
Crux has developed a business solutions and tools that will assist financial advisers integrate their compliance obligations into their business process.
The Crux team has 20 years collective Financial Planning, compliance and legal experience.They work strategically with like minded professionals where they leverage off a wider knowledge and experience base in practice management ,financial planning and compliance.
Crux Consulting has managed to integrate its combined experience and expertise to offer a structured business process and procedure to comply with legislation. Crux Consulting has consulted to Asset Management ,Life companies,Industry Representative Bodies,Banks,Pension Fund Administrators, including Independent Financial Service Providers.
For more information see our services section



Waldy is a Christ Follower. Everything that he does is a part of the great commission and mission Jesus called all people to be a part of. What he does is a ministry first and a business second. Waldy Barske Managing Director


Stephanie has been with Crux since its inception and has 7 years experience in the Compliance Industry.She is a teacher by profession with a BA HDE .She is responsible for  Finance and profile changes. Stephanie Barske Operations Director


Shirley has held various positions as administrator organiser ,planner and client liaison.She brings a strong background in administration and operations to Crux. Shirley Pegram Administration Manager and compliance officer under supervision


Justin has 15 years experience in Financial planning,pension fund administration and compliance.He has a Post Graduate Diploma in Compliance and is studying towards his LLB degree. Justin Joannides Director and Senior Compliance Officer