ALM & Hedging

Date: 13 May 2026

Location: ID

Company: Digital Edge DC

Who we are:

 

Digital Edge is a trusted and forward-looking data center platform company, established to transform digital infrastructure in Asia. Backed by Stonepeak, a leading alternative investment firm specializing in infrastructure and real assets, Digital Edge has in excess of US$1.6 billion in committed equity capital with investors including some of the world’s largest institutional investors and sovereign wealth funds.

 

Digital Edge’s vision is to be the leading provider of sustainable, next generation digital infrastructure in Asia. Our mission is to build the foundation for the world’s digital future, helping organizations to grow sustainably and empowering populations they serve.

 

Founded in 2020, the company has grown rapidly across multiple markets in the region, and currently provides data center and fiber services across Japan, South Korea, India, Indonesia, the Philippines, Thailand and China. The Company now owns and operates 21 data centers with over 500 MW of critical IT load in service and under construction and development, with another 300 MW held for future development,

 

This role is an exciting opportunity to join our fast growing team as we further expand our footprint across Asia.

 

Our values:

 

  • Respect: We embrace diversity and collaboration.
  • Innovation: We share ideas and solve problems.  
  • Strive: We are driven and determined.
  • Excellence: We seek to deliver the best.   
  • Responsibility: We do what’s right for our people and the planet.

 

What we need:

 

Reporting to the VP of Finance, this role will lead liquidity forecasting, manage the group’s capital structure, and execute hedging strategies across a rapidly growing infrastructure platform. This role will be instrumental in ensuring optimal capital efficiency, prudent risk management, and robust financial planning across the company’s projects and operating entities.

 

This role will be based in Jakarta, Indonesia.

 

Key responsibilities:

 

Liquidity Forecasting & Cash Management

 

  • Build, maintain, and continuously update the group’s rolling liquidity forecast (12-month and long-range horizon).
  • Incorporate real-time updates to construction schedules, capex draws, equipment payments, and project milestones.
  • Proactively identify funding gaps and recommend mitigation strategies.
  • Manage daily cash positioning, intercompany funding flows, and working capital requirements.

 

 

 

Capital Structure & Fundraising Support

 

  • Support upcoming fundraising initiatives, including project finance facilities, corporate debt, and green/sustainability-linked loans.
  • Prepare financial models, materials, and information packs for lenders and investors.
  • Coordinate due diligence, term sheet negotiation, documentation, and closing with banks, advisors, and legal counsel.
  • Monitor covenant compliance and reporting obligations post-close.
  • Stay updated on regional debt markets, pricing benchmarks, and lender sentiment.

 

Hedging Strategy & Execution

 

  • Develop and execute the group’s interest rate and FX hedging strategy based on policy, exposures, and market dynamics.
  • Reassess hedge ratios as capex schedules, debt drawdowns, and currency exposures evolve.
  • Execute trades with counterparties and monitor mark-to-market (MTM) and P&L impacts.

 

Banking Relationships & Treasury Operations

 

  • Manage and deepen relationships with regional and international banking partners.
  • Oversee credit facility negotiations, KYC, and ongoing service delivery.
  • Optimize the transaction banking structure and cash management setup across jurisdictions.

 

Cross-functional Collaboration

 

  • Partner with Development, Construction, Procurement, FP&A, Tax, and Accounting teams to ensure timely and accurate treasury insights.
  • Ensure treasury forecasts and actions are driven by the latest operational data.

 

 

The successful candidate:

 

  • 6–10 years of experience in treasury, project finance, or infrastructure investment banking.
  • Strong knowledge of debt products, hedging instruments, and liquidity management.
  • Exposure to capital-intensive sectors (data centers, telecom, power, or real estate) highly desirable.
  • Demonstrated ability to operate in ambiguous, fast-moving environments and proactively source information.
  • Exceptional analytical and communication skills, with a collaborative mindset

 

Join us to shape the future of Digital Infrastructure in Asia. Apply now for a confidential career discussion.