Investor Relations Head

Bank Jakarta

Jakarta Pusat

On-site

IDR 1,200,000,000 - 2,400,000,000

Full time

14 days+
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Benefits offered by this job

Health insurance

Job summary

Bank Jakarta is seeking an experienced Investor Relations Head to lead its investor relations function, strengthen engagement with investors, analysts, regulators, and other capital market stakeholders, and ensure transparent communications of financial and non-financial performance.

The role oversees ESG reporting, funding activities, and governance within the function, and requires building governance and cross-functional collaboration across the organization.

Qualifications

  • 12+ years of experience in investor relations, capital markets, or related fields.
  • Proven leadership & cross-functional collaboration with senior management.
  • Strong communication and presentation skills; ability to translate complex data into investor narratives.
  • Solid understanding of capital market regulations, governance, and risk management.

Responsibilities

  • Lead Bank Jakarta's overall Investor Relations strategy.
  • Build and maintain relationships with institutional investors, analysts, regulators, and capital market stakeholders.
  • Lead investor communications, including public presents, reports, and investor materials.
  • Ensure accurate, timely disclosures in line with regulations.
  • Provide market intelligence on trends, competitors, and investor sentiment.
  • Support funding activities and corporate actions, including ESG disclosure integration.

Skills

Investor relations
Capital markets
Corporate finance
Stakeholder management
Leadership
Communication

Education

Bachelor's degree
Master's degree
Finance/Economics

Job description

Investor Relations Head Bank Jakarta

We are looking for an experienced Investor Relations Head to lead Bank Jakarta’s investor relations function and strengthen engagement with investors, analysts, regulators, and capital market stakeholders.

The role will be responsible for ensuring transparent, accurate, and timely communication of the Bank’s financial and non-financial performance, while supporting funding activities, financial instrument issuances, corporate actions, capital market intelligence, and ESG & sustainability disclosure.

Key Responsibilities
  • Lead and develop Bank Jakarta’s overall Investor Relations strategy.
  • Build and maintain strong relationships with institutional investors, analysts, regulators, and other capital market stakeholders.
  • Lead investor communication activities, including public expose, investor presentations, financial performance communication, and investor materials.
  • Ensure financial and non-financial disclosures are delivered accurately, transparently, and in accordance with applicable capital market regulations.
  • Provide capital market intelligence, including market trends, competitor analysis, investor sentiment, and strategic insights for Management.
  • Support investor engagement related to funding activities, issuance of financial instruments, and corporate actions.Oversee ESG & sustainability reporting and disclosure, including the
  • integration of ESG perspectives into investor communication.
  • Lead and develop the Investor Relations team while ensuring strong governance, risk management, and compliance within the function.
Requirements
  • Bachelor’s degree or Master’s degree, preferably in Finance, Accounting, Economics, Business, Management, Communication, or other relevant disciplines.
  • Minimum 12 years of professional experience, with relevant exposure in Investor Relations, Capital Markets, Corporate Finance, Investment Banking, Securities, Equity Research, Financial Communications, Corporate Strategy, or other related fields.
  • Experience may come from banking, financial institutions, securities/investment companies, listed companies, consulting/advisory firms, or other capital-market-related industries.
  • Strong understanding of financial statements, financial analysis, capital markets, corporate actions, and investor communication.
  • Proven experience managing relationships with senior management, investors, analysts, regulators, and external stakeholders.
  • Strong communication and presentation skills, with the ability to translate complex financial and strategic information into a clear and compelling investment narrative.
  • Good understanding of capital market regulations, disclosure requirements, governance, and risk management.
  • Exposure to ESG and sustainability reporting/disclosure will be an advantage.
  • Strong leadership capability with experience leading teams and managing cross-functional collaboration.

If you are passionate about connecting business strategy, financial performance, and the capital market and have the ability to build trust and credibility with investors and stakeholders, we would love to hear from you.

Join Bank Jakarta and be part of your journey in building a stronger, more transparent, and sustainable financial institution.

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