Job Description:
• Regulatory Monitoring: Monitor changes to laws and regulations in the areas that impact the Group’s operations (Agricultural, Rice, Transportation, Engineering, Trading business, ), and provide guidance to ensure compliance
• Policy Management: Issue, review, and update corporate compliance policies, including Compliance Policy, Code of Conduct, Business Ethics, and Data Protection Policies, ensuring alignment with local regulations and global standards.
• Promoting awareness and engagement with regulatory topics such as Personal Data Protection, Anti-Corruption Laws, and other applicable laws
• Training and Communication: Collaborate with stakeholders to provide guidance on compliance matters and facilitate training programs
• Communicate with all relevant business units to ensure compliance in business operations and update management on all non-compliance issues
• Coordinating and investigating Whistle-Blower cases and reporting to relevant parties
• Follow up and track outstanding incidents or issues relating to regulatory requirements raised by regulators, and monitor action taken until it has been closed completely.
• Developing, implementing, and reviewing the annual compliance action plan in alignment with corporate goals and emerging regulatory risks