• Provide specialized regulatory expertise and carry out impact analysis for new/upcoming regulation held by the Bank and various government agencies including the SEC, SET, BOT and AMLO
• Oversee compliance activities and issues (compliance incidents/customer complaints), review and update internal compliance policies and procedures, provide advices to all Business Units (BUs)
• Act as primary contact point between BU and Group Compliance
Qualifications:
• Master’s Degree in Accounting, Business Administration, Finance, Economics or Legal
• At least 3-5 years of working experience in compliance, Audit or Law would be advantage
• Excellent personality and can do attitude, detail oriented and ability to meet deadlines
• Male must be exempt from military service
Required Skills:
• Good communication and presentation skills, including ability to interface with executive management
• Strong collaborative skills to leading and working in a multi-layers, cross functional environment
• Fluent in both written and spoken in English (TOEIC 700 or equivalent)
• Computer literate in Microsoft Word, Excel and Power Point