| Risk | Opportunity |
|---|---|
| Any misconduct by the Company or its business partners, including suppliers and contractors, that is inconsistent with ethical principles and the Company's Code of Business Conduct, fails to comply with applicable laws and regulations, or involves corruption, can undermine stakeholder confidence and adversely affect the Company's operations, reputation, and corporate image. Such conduct may also hinder the Company's long-term sustainable growth, as well as the broader economic and social development of the country. | The Company's stability and sustainability can be ensured by operating a business with transparency, ethics, and moral values, considering the impact on all stakeholders, which will gain support from those affected and attract talented individuals, investors, or businesses that share the same values. |
The Company is dedicated to conducting its business operations with integrity and responsibility toward its stakeholders. It strongly emphasizes transparency, integrity, and compliance with laws and regulations, alongside adherence to the principles of good corporate governance and the business code of ethics. These guidelines define the scope and standards of behavior that all employees, including the Board of Directors and executives, must follow to align with ethical values.
All executives and employees are obligated to adhere to the Company’s Code of Ethics policy and manual to instill values of morality and accountability in the organizational culture. It is important for each executive and employee to behave with civility and consciousness, to consider the benefits and impacts of their actions on the Company’s stakeholders impartially and fairly, to conduct business with responsibility, and to establish a robust work system that prevents corruption through an internal audit system.
The Board of Directors delegates responsibility to the Corporate Governance and Sustainable Development Committee to establish policies, oversee implementation, and review the adequacy of anti‑corruption measures. This includes ensuring the effectiveness of internal control systems, complaint‑handling mechanisms, and appropriate whistleblower protection. Meanwhile, management and relevant functions are responsible for implementing these policies across the organization through the development of procedures, risk assessments, communication and training, compliance monitoring, and operational audits, to ensure that anti‑corruption measures are effectively applied throughout the organization.
The Company has announced policies and guidelines that are more suitable for the current business environment. These policies comply with generally accepted criteria and regulations, promoting and supporting ethical business operations. Additionally, the Company has published its manuals for Good Corporate Governance and a Code of Conduct along with other policies, on its website and intranet. This enables all members of the organization, including the Board of Directors, executives, and employees of the Company and its subsidiaries, to access and use them as guidelines for operations. Further to this, the Company has established AMATA’s Supplier Code of Conduct to ensure that its suppliers operate in accordance with the Company’s practices and standards. The Code encompasses key areas such as ethical conduct, legal compliance, anti-corruption, human rights, safety, and social and environmental responsibility. The Company publicly discloses the Supplier Code of Conduct on its website and requires suppliers to acknowledge and sign their commitment to adhering to these practices.
See more details about our Business Ethics and Anti-Corruption Policy
The Company has established clear guidelines for specific situations under its Anti‑Corruption Policy to prevent corruption risks in sensitive activities that may give rise to conflicts of interest, as follows:
The Company requires that the giving or receiving of gifts, hospitality, or other benefits be carried out with caution, transparency, and in compliance with applicable laws, Company regulations, and appropriate business practices. Such actions must not be intended, nor perceived, as an inducement to influence improper actions or to obtain inappropriate business advantages.
The Company requires that charitable donations and sponsorships be conducted transparently, verifiably, and solely for public benefit, community development, or genuine social purposes. Such activities must not be used as a means to seek improper benefits or to conceal corruption in any form.
The Company upholds political neutrality and has no policy of providing direct or indirect political support in exchange for business benefits or to obtain inappropriate operational advantages.
In 2025, the Company did not make any political contributions, whether in monetary or non-monetary forms, to political parties, politicians, or election candidates. The Company did not contribute funds, assets, services, facilities, materials, equipment, or other resources to political activities, either directly or indirectly, in line with the principle of political neutrality set out in the Company’s Anti‑Corruption Policy.
The Company has integrated corruption risk assessment as part of its internal control system and enterprise risk management framework, with the objective of preventing and reducing the likelihood of corrupt practices across all business activities.
In 2025, the Company conducted corruption risk assessments covering 100% of its core operations in Thailand, totaling four operational units. These include the Bangkok Head Office, AMATA City Chonburi Industrial Estate, AMATA City Rayong Industrial Estate, AMATA Smart City Chonburi Industrial Estate, and AMATA City Chonburi 2 Industrial Estate, as well as subsidiaries under the Company’s operational control within the defined reporting boundary.
The Company applied the framework of the Thai Private Sector Collective Action Against Corruption (Thai CAC) to identify potential risk points across 14 business processes. In 2025, 10 processes were subject to in‑depth assessment, representing 71.4% of the total identified processes. Based on the assessment, the Company identified the following significant corruption‑related risks:
For the identified risks, the Company has established appropriate internal control measures, review processes, and checks and balances. This includes the application of technology to reduce reliance on individual discretion in high‑risk processes. Furthermore, the Company plans to expand in‑depth corruption risk assessments to cover the remaining four business processes within 2026, such as public sector‑related procurement and public‑private partnership projects, to ensure comprehensive coverage of all critical processes in a complete and systematic manner.
The Company is committed to promoting knowledge and understanding of business ethics and anti-corruption policies and guidelines among its employees and suppliers through various activities and communication channels. The operating performance in 2025 is as follows:
1. The Company requires all employees to complete training and a knowledge assessment on corporate governance and business ethics, with a minimum passing score of over 80 percent. Knowledge refreshers are conducted on an annual basis. In 2025, the Company organized an online training session on corporate governance and anti‑corruption, delivered by an external speaker on 12 December 2025. A total of 109 employees participated in the session, representing 36.58% of the total workforce. All employees (100%) successfully passed the post‑training assessment with scores exceeding 80 percent. The recorded training session was also made available through the Company’s internal system to allow all employees to review and reinforce their understanding.
2. The Company organized a training course on Good Corporate Governance, Business Code of Conduct, and Anti-Corruption for 43 new employees, accounting for 100% of all new employees to ensure that they have a correct understanding of business ethics, policies, measures, and procedures.
3. The Company has communicated the "No Gift" policy and guideline for accepting and giving gifts during festivals and other occasions to its executives, employees, subsidiaries, and external through various communication channels that are regularly accessible to employees at all levels on an annual basis to ensure widespread awareness. This initiative aims to ensure that executives and employees behave correctly in accepting and giving gifts, thereby avoiding conflicts of interest and establishing norms for conducting business fairly and transparently with all relevant parties.
4. The Company increased awareness of the Supplier Code of Conduct among its partners to promote business practices aligned with AMATA's business ethics for sustainable development. In 2025, the Supplier Code of Conduct was sent to 53 critical tier-1 suppliers and 59 new suppliers via email, totaling 112 suppliers. The Company obtained acknowledgment receipts from all 112 suppliers (100%). As a result, a total of 278 suppliers has acknowledged the AMATA Supplier Code of Conduct, representing 58.77% of suppliers that conduct direct business with the Company.
5. The Company has renewed its membership certification with the Collective Action Coalition against Corruption in the Private Sector (CAC Certification) since 30 September 2023 (valid until 30 September 2026). Additionally, the Company encourages its suppliers to participate in or obtain certification under the Thai Private Sector Collective Action Coalition Against Corruption (CAC) initiative. In 2025, the Company extended invitations to 53 critical suppliers, of which 35 suppliers (66.04%) acknowledged receipt of the invitation.
| Total Individuals (Persons) |
Cumulative individuals reached through communication as of 2025 (Persons) |
% of Total in each group reached through communication as of 2025 | Individuals trained in 2025 (Persons) |
% of Total in each group trained in 2025 | Individuals who passed the knowledge assessment in 2025 (Persons) |
% of Total in each group passed the knowledge assessment in 2025 | |
|---|---|---|---|---|---|---|---|
| All Employees | 298 | 298 | 100% | 109 | 36.58% | 109 | 36.58% |
| • Top Management | 17 | 17 | 100% | 7 | 41.18% | 7 | 41.18% |
| • Middle Management | 30 | 30 | 100% | 14 | 46.67% | 14 | 46.67% |
| • First-line Management | 54 | 54 | 100% | 28 | 51.85% | 28 | 51.85% |
| • Operational Level | 197 | 197 | 100% | 60 | 30.46% | 60 | 30.46% |
The Company has established a Whistleblowing Policy and safe communication channels that allow employees and stakeholders to report any signs, advice, grievances, or complaints related to misconduct violating laws, rules, regulations, corporate governance principles, code of ethics, or anti-corruption policy. Measures are in place to protect the rights of these individuals. The information provided by whistleblowers will be kept confidential and accessible only to those responsible for investigating the complaints. All complaints will be processed according to the procedures stipulated in the Good Corporate Governance Manual.
The Company has established channels for receiving complaints and whistleblowing, as specified in its anti-corruption and whistleblowing policies. These channels provide opportunities for the board of directors, executives, employees, and stakeholders to report or provide information regarding any operational practices that do not comply with legal requirements, regulations, corporate governance principles, business ethics, or cases of corruption. Various complaint channels are provided as follows.
Mr. Anucha Sihanatkathakul Chairman of the Audit Committee |
| ||
Mr. Vikrom Kromadit Chairman of the Board of Directors & Acting CEO |
| ||
Mr. Manachai Kaoprapan Company Secretary |
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Screen facts and investigate according to Whistleblowing Policy by authorized person. The Company ensures that the identity of whistleblowers and all related case details remain strictly confidential, with access to information being restricted. Additionally, the Company has established protective measures to safeguard whistleblowers, informants, and any individuals who provide cooperation or assistance to the Company from any form of unfair treatment or actions that may compromise their safety
Proceed further, on a case-by-case basis, by the executives authorized as investigation committee should any wrongdoing be found. The committee will determine appropriate disciplinary measures for employees who violate the Company’s policies and regulations. Additionally, legal action will be taken if the misconduct involves a breach of law that results in damage to the Company.
Provide remedies to the affected parties ensuring the appropriate and fair remedies in a manner that aligns with the nature and extent of the damage incurred.
Establish preventive measures and corrective actions to mitigate the recurrence of incidents. Additionally, it reinforces internal communication to ensure that employees fully understand and strictly adhere to the Company’s policies and the Code of Conduct.
Report the summary of whistleblowing reports in every Corporate Governance Committee meeting and to the Board of Directors at least once a year, as well as disclosing the information in the annual sustainability report.
In 2025, the Company received a total of 10 complaints through all available reporting channels. All cases were classified as issues related to internal management matters and were reviewed and addressed in accordance with the Company’s complaint management process. During the reporting year, the Company did not receive any whistleblowing reports or complaints related to significant breaches of corporate governance, violations of the Code of Business Conduct, or corruption. No confirmed cases of corruption were identified, and no employees were dismissed or subjected to disciplinary actions as a result of corruption during the reporting period.
| Violations of Corporate Governance and Business Ethics | 2025 | |
|---|---|---|
| Reports/Whistleblower Complaints (Cases) |
Confirmed Violations (Cases) |
|
| Fraud | 0 | 0 |
| Financial Misappropriation | 0 | 0 |
| Bribery and Corruption | 0 | 0 |
| Harassment and Sexual Harassment | 0 | 0 |
| Workplace Bullying | 0 | 0 |
| Insider Trading | 0 | 0 |
| Unauthorized Disclosure of Confidential Information or Personal Data | 0 | 0 |
Regarding complaints about trade competition in 2027, the Company has not received any complaints regarding unfair competition or disputes with competitors.
(+66) 38 939 007
(+84) 251 3991 007 (South)
(+84) 203 3567 007 (North)
(+95) 1 230 5627
(+856) 21 810007
(+856) 20 5710007 (Chinese)
(+856) 20 57550007 (English)
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