Notification of the resignation of an independent director and a director of the Company, and the appointment of a new director to replace the resigned directors.
The Stock Exchange of Thailand·12/26/2025 10:11:54
Change of director/Executive
Expired by rotation
The date of board's resolution/submit : 26-Dec-2025
news
Director Name : Miss BENJAWAN RAKWONG
Position in company (1) : DIRECTOR
Effective Date (1) : 10-Nov-2021
Expire Date (1) : 26-Dec-2025
Terminate Reason : Expired by rotation (term not
expired) : Resigned from position /the company due to other professional
commitments.
______________________________________________________________________
Change of director/Executive
Expired by rotation
Director Name : Mr. KARL JAMORNMARN
Position in company (1) : INDEPENDENT DIRECTOR
Effective Date (1) : 15-Mar-2023
Expire Date (1) : 26-Dec-2025
Position in company (2) : AUDIT COMMITTEE
Effective Date (2) : 15-Mar-2023
Expire Date (2) : 26-Dec-2025
Position in company (3) : Member of Nomination and Remuneration
Committee / Chairman of Risk Management and Sustainability Committee / Member
of Corporate Governance Committee
Expire Date (3) : 26-Dec-2025
Terminate Reason : Expired by rotation (term not
expired) : Resigned from position /the company due to other professional
commitments.
______________________________________________________________________
Change of director/Executive
New election
Director Name : MISS HATAITIP MADJUI
Position in company (1) : DIRECTOR
Effective Date (1) : 26-Dec-2025
______________________________________________________________________
Form to Report on Names of Members and Scope of Work of the Audit Committee
(F24-1)
Date of shareholders/board resolution : 26-Dec-2025
The scope of duties and responsibilities of The Audit Committee
Determination/Change in the scope of duties and responsibilities of the Audit
Committee with the following details :
1. Review and ensure that the Company has in place financial reports that are
correct and adequate.
2. Consider and review related transactions or transactions that may involve a
conflict of interest to ensure compliance with the applicable laws and
regulatory requirements of the Stock Exchange of Thailand. This is to ensure
that such transactions are reasonable and conducted for the maximum benefit of
the Company.
3. Review and ensure that the Company has in place both internal control and
internal audit systems that are appropriate and effective.
4. Review and ensure that the Company fully complies with all laws on securities
and securities exchange, the regulations of the Stock Exchange of Thailand, and
other laws applicable to the Company's business.
5. Review the formulation of policies and procedures for handling complaints
related to financial accounts, auditing, internal audit, internal control, and
risk management received by the Company from employees or other persons, in
order to examine the information and report the results to the Board of
Directors. In this regard, whistleblowers must be ensured of an independent
investigation process and appropriate follow-up actions.
6. Consider and review the regulations and the audit procedures to ensure that
it is consistently appropriate with the business environment.
7. Review the operation of the Internal Audit.
8. Review self-assessment forms for the Company's anti-Corruption measures and
related documents under Thailand's Private Sector Collective Action Coalition
Against Corruption and supervise the implementation of anti-corruption policies
and guidelines.
9. Authorized to select, nominate, terminate, propose remunerations, and
supervise the operation of external auditor(s) and Internal Audit, as well as
review the policy on determining services that are not related to external
auditor(s)'s audit (including the outline of the service to be submitted for
pre-approval if necessary) and attend a meeting with external auditor(s) without
the management at least once a year.
10. Provide suggestions to external auditor(s) to review certain transactions
that may be necessary or important during the auditing process of the Company
and subsidiaries.
11. Review the report of external auditor(s) and submit to the management for
adjustments as well as follow up on such suggestions.
12. Consider the adequacy and efficiency of coordination between external
auditor(s) and Internal Audit.
13. Act on received information from the external auditor as soon as possible
regarding suspicious activities of directors, managers or persons responsible
for operating the Company that may constitute a breach of Section 281/2 Clause
2, Section 305, 306, 308, 309, 310, 311, 312 or 313 of the Securities and
Exchange Act and promptly check the information received and report preliminary
findings in the first instance to SEC and the external auditor within 30 days
from the date when a given breach was reported.
14. Report the performance to the Board of Directors, as well as prepare and
disclose the report of the Audit and Corporate Governance Committee in the
Company's Form 56-1 One Report. The report of the Audit and Corporate Governance
Committee must be signed by the Chairman of the Audit and Corporate Governance
Committee.
15. Report to the Board of Directors upon finding or having doubt about the
following actions or transactions which may significantly affect the financial
position and performance of the Company in order to find remedy within a period
deemed appropriate by the Audit and Corporate Governance Committee.
16. Follow all issues mentioned above, regarding the business operations of
subsidiaries, as assigned or requested by the subsidiaries and to the extent
within the power of the Audit and Corporate Governance Committee.
17. Perform any other act assigned by the Board of Directors with approval of
the Audit and Corporate Governance Committee.
The Determination/Change of which shall : 26-Dec-2025
take an effect as of
The Audit Committee is consisted of
No : 1
Audit Committee's Position : CHAIRMAN OF AUDIT COMMITTEE
Full Name : Mr.PREECHA LEELASITHORN
Remaining term in office (year) : 1 Year 3 Month
No : 2
Audit Committee's Position : AUDIT COMMITTEE
Full Name : Mr.CHAROEN SANGVICHAIPAT
Remaining term in office (year) : 1 Year 3 Month
No : 3
Audit Committee's Position : AUDIT COMMITTEE
Full Name : Mr.POLPAT ASAVAPRAPHA
Remaining term in office (year) : 1 Year 3 Month
______________________________________________________________________
The company hereby certifies that the information above is correct and complete.
Signature _________________
( MR.NAVAMIN PRASOPNET )
DIRECTOR
Authorized person to disclose information
Signature _________________
( MR.BANNASIT RAKWONG )
DIRECTOR
Authorized person to disclose information
______________________________________________________________________
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