Senior Advisor
TEL |
+82-2-6386-6340 |
E-MAIL |
eunyoon.jung@leeko.com |
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Eun Yoon Jung is a Lee & Ko Senior Advisor specializing in transactional and regulatory compliance issues relating to capital markets and corporate finance. Having served with distinction for a total of 34 years as a regulator in key positions for leading regulatory agencies, including the Securities Supervisory Board, the Financial Supervisory Service and the Korea Financial Investment Association, Mr. Jung's extensive experience and expertise is instrumental in providing clients with the best possible advice and assistance in tailoring the most effective solutions for clients dealing with complex capital markets and corporate finance matters.
Mr. Jung's experience working at the Securities Supervisory Board and the Financial Supervisory Service prior to joining Lee & Ko included the supervision and handling of a wide range of regulatory concerns relating to the advancement and development of efficient regulatory practices in such areas as the equity and bond markets and related investigation and enforcement measures involving, among other things, the auditing of investment companies, securities finance business activities, public offerings, public disclosures, unfair trade investigations, M&As and general financial transactions.
In addition, during Mr. Jung's term of service as the Head of the Self-Regulation Division of the Korea Financial Investment Association, he was responsible for compliance monitoring of securities companies, asset management firms, real estate trust companies and futures trading companies, along with preparing and distributing risk-control manuals. He is widely recognized by the industry and regulators as a leading expert regarding the regulation of financial investment firms.
Mr. Jung's experience and expertise, as well as his special insights and familiarity with the internal processes and policies of key regulatory agencies such as the Financial Supervisory Service are of great benefit to clients seeking the best possible advice and up-to-date knowledge required to develop effective solutions for a wide range of transactional and regulatory compliance concerns.
Education
2008-2009 |
Training course at Michigan State University, USA. |
1983 |
Economics, Sogang University |
Work Experience
2017-Present |
Lee & Ko |
2015-2017 |
Head of Self-Regulation Division, Korea Financial Investment Association |
2014-2015 |
Vice President, Investor Education Center, Korea Financial Investment Association |
2010-2014 |
Researcher, Macro-prudential Supervision Department, Financial Supervisory Service |
2009-2010 |
Head of Corporate Disclosure Department, Financial Supervisory Service |
1998-2008 |
Head of Financial Guidance Team/Head of Disclosure Review Office Financial Supervisory Service |
1983-1997 |
Securities Supervisory Board |
Expertise
Capital Markets |
Capital Markets Compliance |
Mergers & Acquisitions |
Project Finance & Infrastructure |
IPO |
Delisting Response |
Asset Management |
Private Equity |
Banking |
Securities |
Structured Finance |
Tech & AI |
Languages