I have more than twenty years of working experience in Auditing, Accounting, Tax, Treasury, Business Digitalization, and Corporate Finance with specialization in Business Controlling, Investment and Fundraising, Restructurings, M&A, and Supply Chain Management for Large-scale Corporations, Project Services in diversified Industries; Accounting Firm, Construction, Oil, and Gas, Infrastructure, Mining, Telecommunication & Satellite, Food and Beverage, & Hospitality Industries at Multinational and Conglomerate Companies.
Before joining SAP Express Tbk, I worked as a CFO and Finance Director at Companies Group, as a Head of Corporate Finance at MNC Group, Bakrie Group, and Pasifik Satelit Nusantara (Majority Shareholder Telkom Indonesia), Rudy also worked as a Head of Accounting&Tax at Truba Jurong Engineering a Leading of Construction & EPC Services and worked as a Senior Auditor at Accounting Firm.
I earned a Bachelor of Economics majoring in Accounting from North Sumatra University and an MBA from Gadjah Mada University and studying Phd Management strategy at University of Indonesia, a Chartered Accountant (CA), CMA Australia and CPA Australia, and a member of CFO Club Indonesia.
• Managing a department of Accounting, Cost Control HO and Branches, Billing, Tax, Treasury, Collection, COD, Risk Management, and Purchasing.
• Manage to report monthly, Quarterly, and annually for IDX, OJK, Tax Office, Foreign Shareholder, and Board Coordination Meeting.
• Managing turnaround business – starting from mapping studies, improvement concepts, and the organization's implementation.
• Manage the company’s corporate activities, to ensure synergies with Finance Directorate, Operation Directorate, Sales& Marketing Directorate, and other Support Directorate.
• Manage the annual budgeting of revenue, operation & administration cost, EBITDA, and the organization's program activities and strategy to achieve the target. Manage training management to internal Finance directorate, Others Directorate, and Management Trainee regularly.
• Manage coordination with Investors, banks, external auditors, Audit Committee, IDX, and OJK for fundraising or corporate action purposes.
• Managing a department of Accounting, Treasury, Cost Control, Financial Controller, Supply Chain, and Subsidiaries.
• Managing expansion projects – starting from feasibility studies, funding, due diligence, financial control, and budgeting.
• Manage company’s treasury activities, treasury management, AR, AP, and cash flow management. Manage financial accounting, reporting (management and statutory reports), and month-end closing process.
• Manage preparation for the annual budgeting and targeting process and provide variable contribution analysis, cost vs benefit, pricing, review sales results, and variance analysis
• Liaise with internal and external auditors and understand local laws and regulations preferably in areas related to the JVs and in dealing with government authority.
• Manage relationships with banks – local and foreign in fundraising purposes.
• Managing all Corporate finance and Accounting activity.
• Developing and coordinating all relationships with lending/Financial institutions.
• Monitor AR/AP, treasury, Investment & funding operations to ensure adequate cash flow to meet the company's needs.
• Develop financial and tax strategies.
• Monitor the financial performance of the business against the plans.
• Manage capital request and budgeting process.
• Oversee issuance of financial information
• Responsible for Corporate Action: M&A, Divestment, and Restructuring.
• Obtaining Funding for Capex and Opex.
• Monitoring and Servicing all Loans, Leasing, and Vendor financing.
• Review and submission of the monthly management report.
• Manage Treasury, Asset, and Insurance Management.
• Present Business Plan 5 years forecast.
• Support Corporate Secretary and Legal division for company corporate action.
• Maintaining relationships with Creditors, Valuer, Lawyers, and Consultants.
• Develop and Maintain financial modeling to support other divisions’ needs.
• Evaluate and Analyze financial statements.
• Prepare Financial projections & review the budget and periodic re-forecasts to raise alerts for corrective action.
• Responsible for restructuring, funding, refinancing, merger & acquisition for opportunities or any other relevant purposes.
• Prepare relevant reports and/ or presentations of the proposed transaction to the relevant parties internally and to outside parties.
• Develop, Implement, and asses effective accounting strategies, policies, procedures, and key operational risks in order to ensure effective internal control and cost reduction opportunities.
• Managing all finance & Accounting activity.
• Develop financial and tax strategies.
• Monitor the Financial performance of the business against the plans.
• Manage the capital request and budgeting process,
• Implement operational best practices and oversee the issuance of financial information.
• Analyzed and reconciled financial statements.
• Represented and supported clients in the finance and tax audit process.
• Supported finance and tax compliance.
• Provided assistance in finance and tax consultation.
Restructuring, Corporate Finance, Strategic Plannning, Business Modelling, Management Strategy, Financial reporting and Taxes, Investment, Bonds and Stocks
undefinedASEAN CPA
CPA Australia
ASEAN CPA
CMA Australia
Chartered Accountant (CA)