Risk Policy & Governance
Candidate must possess at least a Bachelor's Degree, Master's Degree / Post Graduate Degree, Economics, Finance/Accountancy/Banking, Business Studies/Administration/Management or equivalent from reputable university (state/overseas)
t least 2 year(s) of working experience in the related field is required for this position.
Having or Pursuing Towards Professional certifications (CPA, CFA, or FRM) or advanced degrees in related fields is a plus
Having good communication skill
Having knowledge in Risk Management, Quality Assurance
Experienced in developing policy, frameworks and risk management tools
Experienced in reviewing guidelines / policies risk as well as the risks that exist in the organization's business activity
Required language(s): English, Indonesia
Specific Duties and Responsibilities :
Reviewing policies and procedures within the Organization
Reviewing policy risk as well as the risk in bussiness process activity
Developing methodologies within an organization's operational risk review
Implementing Risk Assessment regurlarly
Developing Risk Awareness in Organization
Implementing compliance check as well as controls to comply with regulations
Investor Relation Manager
Contribute to a positive relationship between the organization and its shareholders / bondholder by organizing and preparing documentation for shareholders / bondholder, including prepare presentation, communicate, legal documents, records, reports, and affix the corporate seal as required.
Meetings and responding to shareholders / bondholder requests for information.
Maintain accurate and up-to-date shareholders / bondholder lists and registrations and advise officers of significant changes or developments in share/stock ownership and control.
Candidate must possess at least a Bachelor's Degree, Master's Degree / Post Graduate Degree, Economics, Finance/Accountancy/Banking, Business Studies/Administration/Management or equivalent.
At least 5 year(s) of working experience in the related field is required for this position.
Preferably Manager / Assistant Managers specializing in Finance - Corporate Finance/Investment/Merchant Banking or equivalent.
Full-Time position(s) available.
Senior Research, Strategy And Business Development
Age maximum 37 years old
Post Graduate Degree in Economics/ Business / Management / Finance
Having minimum 5-10 years experience in Finance / Banking / Capital Market / Management Consulting
Having knowledge in economics, capital market, financial modelling, and analysis
Having experience to formulate investor relation strategy and to deal with investors and analysts
Having experience in corporate planning or research and business development area
Having experience to develop forecasting and financial model
Having experience to explore and identify market and business opportunities
Having experience to coordinating the preparation of the corporate long term plan, budgeting, and corporate key performance indicator
Having experience to to implement strategic initiatives and business development plan
Having experience in fundamental valuation analysis and economic feasibility studies in infrastructure sector
Good organizational and interpersonal skills, attentive to details, and excellent quantitative skills
Having excellent strategic, analytical, presentation, and communication skills
Having creative ability, intelectual curiousity, and excellent learning skills
Proficiency in English both written and spoken
Proficiency in Microssoft Office (Ms. Word, Ms. Powerpoint, and Ms. Excel)
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