Oversee and provide consultation to listed companies to ensure accurate and timely disclosure of information and compliance with applicable rules and regulations. Take appropriate actions against listed companies that fail to comply with requirements, while monitoring their financial position and operating performance to assess potential risks and identify early warning signs of future financial difficulties.
Provide advice and guidance to relevant stakeholders, including Relationship Managers (RMs), legal advisors, and financial advisors, to promote a clear understanding of regulatory requirements and ensure that listed companies disclose information and comply with applicable rules consistently and appropriately.
Review and assess the qualifications of companies applying for the listing of companies and securities on the Stock Exchange of Thailand (SET).
Monitor and oversee listed companies that may be subject to delisting, ensuring that they take appropriate actions to regain their qualifications for trading within the prescribed timeframe, or proceed with delisting consideration where applicable.
Develop recommendations and provide professional opinions on enhancing the regulatory framework, monitoring systems, and information management for listed companies to ensure greater standardization, efficiency, and effectiveness.
Qualifications
Bachelor's degree or higher in Finance, Accounting, Economics, or a related field.
At least 2 years of experience in financial services, such as investment banking, financial analysis, accounting, or securities regulatory/compliance functions, will be highly advantageous.
Good command of Microsoft Office applications.
Good command of English, with a TOEIC score of 600 or above.