Global Investor Distribution Solutions (GIDS) provides information processing and computer software services and products. The Company’s operating segments include financial markets, customer management, professional services, and output solutions. GIDS serves the alternative investments, asset and wealth management, banking and lending, insurance, and real estate industries.
Job Description
Reporting directly to the Head of Risk & Compliance for APAC, you’ll lead the Risk & Compliance Department for GIDS Thailand. This is more than a leadership role; it’s a chance to design and drive strategies that achieve asymmetric results for the business.
Key responsibilities:
- Developing, implementing, and continuously improving the company’s risk management framework to effectively identify, evaluate, and mitigate risks.
- Staying ahead of Thailand's evolving regulatory landscape, ensuring all business operations comply with applicable laws and industry standards.
- Designing and enforcing company policies and procedures that address risk and compliance requirements, ensuring they are well-communicated and understood across the organisation.
- Leading investigations into compliance breaches or risk-related incidents, recommending corrective actions, and implementing preventive measures.
- Collaborating with internal teams to provide compliance-related guidance on business decisions, projects, and strategies, integrating risk mitigation into organisational plans.
- Managing internal and external audits, preparing detailed risk and compliance reports for senior leadership and other relevant stakeholders.
- Establishing and maintaining relationships with regulatory authorities, industry bodies, and external auditors to ensure alignment and proactive compliance management.
- Fostering a company-wide culture of risk awareness and accountability through training programmes and regular updates on compliance requirements.
- Collaborating with regional and global risk and compliance teams to ensure local practices align with broader corporate strategies and goals.
- A business-related degree and professional qualifications in risk management or compliance (e.g. ICA, CAMS, CFE, CIA).
- Demonstrable experience leading compliance functions within the fund management/administration industry.
- Expertise in navigating Thailand’s regulatory (e.g. SEC) landscape.
- Proven leadership skills with the ability to influence, inspire, and drive results.
- Strong analytical and problem-solving skills, with a strategic mindset.
- Hybrid Work Model and Business Casual Dress Code, including jeans, Centralized location – 6 minutes’ walk from Phromphong BTS or 10 minutes’ walk from Sukhunvit MRT
- Your Future: Retirement Program, Professional Development Reimbursement
- Work/Life Balance: Flexible Personal/Vacation Time Off, Sick Leave, Paid Holidays, Business Leave, Maternity Leave, Ordination Leave
- Your Wellbeing: Medical, Dental, Vision, Life Insurance, Annual Health Check Up, Employee Assistance Program, Parental Leave, Well-Stocked Pantry and Provident Fund Contribution
- Diversity & Inclusion: Committed to Welcoming, Celebrating and Thriving on Diversity
- Hands-On, Team-Customized, including company University
- Paid further education opportunities for employees who are eligible
- Extra Perks: Bonus Scheme, Stock(s) Allocation for employees who are eligible
- Welfare Committee: Discounts on fitness clubs, travel and more!