Advice and provide approaches in corporate governance issues effectively and timely including corporate registration.
Maintain current awareness of applicable and proposed laws and regulations and make recommendations to Management on compliance with applicable regulations.
Develop and maintain the Company’s compliance policies and procedural manuals
Organize Board of Directors Meeting and Shareholders Meeting as required by law and take minutes.
Review business contracts and legal documents including advice on legal issues.
Handle Complaints and Ethics Issues
Involve in the Global/Regional Project and prepare compliance reports.
1. Monitoring activities of Securities and Provident Fund/Private Fund business to comply with regulatory of The Securities and Exchange Commission Thailand (SEC) and/or The Stock Exchange of Thailand (SET) requirements
2. Monitor the performance of employees and third party service providers to
ensure that they are following the Company’s established internal compliance policies and procedures
3. Handling consultation and advice regarding SEC and SET rules and regulations
4. Updating, follow up the rule, regulations, notification concerned the business issued by SET SEC AIMC etc.
5. Conduct trainings and communication plans to encourage strong understanding
of compliance policies within business
6. Review policies and procedure in relation to regulatory requirement
7. Serve as representative contact and communicate with regulators regarding
compliance issues and maintain good relationship with regulators