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- Compliance – M&A
As the Compliance – M&A, you will be responsible for overseeing and ensuring that an organization adheres to legal and regulatory requirements, as well as internal policies and procedures. The primary focus is on conducting thorough compliance processes to assess and mitigate potential risks associated with new clients, partnerships, investments, and transactions.
Responsibilties:
- Conducting comprehensive compliance reviews and risk assessments in M&A activities.
- Developing and implementing robust compliance frameworks for new ventures.
- Liaising with various stakeholders to ensure all compliance needs are met and risks are mitigated.
- Staying updated with the latest legal and regulatory developments affecting the fintech industry.
If you are a highly motivated professional with experience in M&A, Compliance, and have a passion for fintech as well as an interest in joining a growing organization, we encourage you to apply.
- Bachelor’s degree in Law, Finance, Business Administration, or related fields.
- Relevant professional certifications in Compliance, Legal, or Risk Management.
- Proven track record in Compliance roles, preferably within the fintech or banking sectors.
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