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 Nomor Surat                           005/CS/CTI-OJK/III/2026

 Nama Perusahaan                       PT Centratama Telekomunikasi Indonesia Tbk.

 Kode Emiten                           CENT

 Lampiran                              1
                                       Penandatanganan dokumen sehubungan dengan perolehan atas fasilitas
 Perihal
                                       pinjaman inkremental (Fasilitas Pinjaman Inkremental) oleh Grup Perseroan
                                       Penerima Fasilitas (sebagaimana didefinisikan di bawah ini) dari Kreditor
                                       Fasilitas Inkremental Baru (sebagaimana didefinisikan di bawah ini)
                                       berdasarkan Perjanjian Fasilitas tanggal 8 Maret 2022 (Perjanjian Fasilitas)


Dengan ini kami untuk dan atas nama perusahaan menyampaikan Laporan Informasi atau Fakta Material sebagai
berikut:

 Nama Emiten atau Perusahaan Publik             PT Centratama Telekomunikasi Indonesia Tbk.

 Bidang Usaha                                   Penyedia layanan infrastruktur telekomunikasi, yang meliputi
                                                penyediaan, pengelolaan dan penyewaan site telekomunikasi


 Telepon                                        021 - 2967 8240

 Faksimili                                      021 - 2967 8241

 Alamat Surat Elektronik (email)                cti@centratamagroup.com


 Tanggal Kejadian                               09 Maret 2026
 Jenis Informasi atau Fakta Material            Penandatanganan dokumen sehubungan dengan perolehan
                                                atas fasilitas pinjaman inkremental (Fasilitas Pinjaman
                                                Inkremental) oleh Grup Perseroan Penerima Fasilitas
                                                (sebagaimana didefinisikan di bawah ini) dari Kreditor Fasilitas
                                                Inkremental Baru (sebagaimana didefinisikan di bawah ini)
                                                berdasarkan Perjanjian Fasilitas tanggal 8 Maret 2022
                                                (Perjanjian Fasilitas)
Page 2
Uraian Informasi atau Fakta Material   A. Fasilitas Pinjaman Inkremental
                                       Sebagaimana telah diungkapkan pada keterbukaan informasi
                                       tertanggal 16 Maret 2022, Grup Perseroan Penerima Fasilitas
                                       (sebagaimana didefinisikan di bawah ini) telah
                                       menandatangani Perjanjian Fasilitas dan menerima fasilitas
                                       pinjaman sebesar US$850.000.000 yang tersedia bagi Grup
                                       Perseroan Penerima Fasilitas (sebagaimana didefinisikan di
                                       bawah ini) berdasarkan Perjanjian Fasilitas. Grup Perseroan
                                       Penerima Fasilitas (sebagaimana didefinisikan di bawah ini)
                                       telah menandatangani dokumen-dokumen untuk memperoleh
                                       Fasilitas Pinjaman Inkremental pada tanggal 9 Maret 2026
                                       dengan rincian sebagaimana di bawah

                                       Para Pihak dalam Perjanjian Fasilitas setelah terdapat
                                       Fasilitas Pinjaman Inkremental

                                       a. Debitur:
                                       Perseroan dan entitas anak Perseroan (yakni, PT Centratama
                                       Menara Indonesia, PT Network Quality Indonesia dan PT MAC
                                       Sarana Djaya (Grup Perseroan Penerima Fasilitas).


                                       b. Kreditur Awal:
                                       (1) CIMB Bank Berhad, (2) DBS Bank Ltd., (3) ING Bank N.V.,
                                       Singapore Branch, (4) Natixis, Singapore Branch, (5) Oversea-
                                       Chinese Banking Corporation Limited, (6) PT Bank Central
                                       Asia Tbk, (7) PT Bank Negara Indonesia (Persero) Tbk, (8) PT
                                       Bank CIMB Niaga Tbk (sebagai kreditur, sebagai agen dan
                                       sebagai agen jaminan), (9) PT Bank CTBC Indonesia, (10) PT
                                       Bank DBS Indonesia, (11) PT Bank Mandiri (Persero) Tbk,
                                       (12) MUFG Bank, Ltd., Jakarta Branch, (13) PT Bank OCBC
                                       NISP Tbk, (14) PT Bank Permata Tbk, (15) PT Bank BTPN
                                       Tbk, (16) PT Bank Danamon Indonesia Tbk dan (17) PT Bank
                                       Digital BCA.

                                       c. Kreditur Fasilitas Inkremental Baru:
                                       Natixis, Singapore Branch dan ING Bank N.V., Singapore
                                       Branch

                                       (Kreditur Awal dan Kreditur Fasilitas Inkremental Baru, secara
                                       bersama-sama Kreditur Fasilitas Senior)

                                       Tidak terdapat hubungan afiliasi antara Perseroan dengan
                                       Kreditur Fasilitas Senior.

                                       Deskripsi Fasilitas Pinjaman Inkremental
                                       a. Jumlah Fasilitas Pinjaman Inkremental:
                                       Grup Perseroan Penerima Fasilitas menerima US$50.000.000.

                                       b. Penggunaan dana Fasilitas Pinjaman Inkremental:
                                       Dana dari Fasilitas Pinjaman Inkremental akan digunakan oleh
                                       Grup Perseroan Penerima Fasilitas untuk membiayai
                                       perkembangan non-spekulatif atas belanja modal dari Grup
                                       dan pembayaran biaya, ongkos dan pengeluaran sehubungan
                                       dengan Fasilitas Pinjaman Inkremental.

                                       Selain sebagaimana diungkapkan di atas, segala keterangan
                                       penting sehubungan dengan Perjanjian Fasilitas yang telah
                                       diungkapkan pada tanggal 16 Maret 2022 berlaku pula
                                       terhadap Fasilitas Pinjaman Inkremental.
Page 3
 Dampak kejadian, informasi atau fakta        Pelaksanaan atas transaksi tersebut tidak memiliki dampak
 material tersebut terhadap kegiatan          negatif material terhadap kegiatan operasional, hukum, kondisi
 operasional, hukum, kondisi keuangan,        keuangan, atau kelangsungan usaha Perseroan.
 atau kelangsungan usaha Emiten atau
 Perusahaan Publik



Informasi Lain

A. Fasilitas Pinjaman Inkremental
Sebagaimana diungkapkan pada 16 Maret 2022, dengan mempertimbangkan jumlah fasilitas berdasarkan Perjanjian
Fasilitas (termasuk, dalam hal ini, Fasilitas Pinjaman Inkremental) yang diberikan melebihi 20% dari ekuitas Perseroan,
Perjanjian Fasilitas (termasuk, dalam hal ini, Fasilitas Pinjaman Inkremental) merupakan suatu: Transaksi Material
berupa transaksi pinjaman yang diterima langsung dari bank, perusahaan modal ventura, perusahaan pembiayaan atau
perusahaan pembiayaan infrastruktur baik dalam negeri maupun luar negeri.
Oleh karena itu, Perjanjian Fasilitas (termasuk, dalam hal ini, Fasilitas Pinjaman Inkremental) dikecualikan dari
kewajiban untuk menggunakan penilai dan memperoleh persetujuan terlebih dahulu dari Rapat Umum Pemegang
Saham Perseroan berdasarkan ketentuan Pasal 11 huruf b dan huruf c Peraturan 17/2020 dan Pasal 6 ayat (1) huruf d
dan huruf e Peraturan 42/2020.
Perseroan melakukan keterbukaan informasi ini sesuai dengan ketentuan Pasal 6 ayat (3) huruf a Peraturan 17/2020,
yakni paling lambat 2 hari kerja setelah dipenuhinya seluruh persyaratan pendahuluan untuk penarikan dana Fasilitas
Pinjaman Inkremental berdasarkan Perjanjian Fasilitas.
Perjanjian Fasilitas (termasuk, dalam hal ini, Fasilitas Pinjaman Inkremental) tidak mengandung benturan kepentingan
sebagaimana dimaksud dalam Peraturan 42/2020.

Demikian untuk diketahui.


Hormat Kami,
PT Centratama Telekomunikasi Indonesia Tbk.




Daniel Pradipta

Corporate Secretary




PT Centratama Telekomunikasi Indonesia Tbk.
TCC Batavia Tower One 16th & 19 Floor
Telepon : 021 - 2967 8240, Fax : 021 - 2967 8241, www.centratamagroup.com



 Nama Pengirim                       Daniel Pradipta

 Jabatan                             Corporate Secretary
 Tanggal dan Waktu                   11-03-2026 15:17

 Lampiran                           1. CENT - Keterbukaan Informasi Byzantium.pdf


    Dokumen ini merupakan dokumen resmi PT Centratama Telekomunikasi Indonesia Tbk. yang tidak memerlukan
  tanda tangan karena dihasilkan secara elektronik oleh sistem pelaporan elektronik. PT Centratama Telekomunikasi
             Indonesia Tbk. bertanggung jawab penuh atas informasi yang tertera didalam dokumen ini.
Page 4
Go To Indonesian Page

 Letter / Announcement No.           005/CS/CTI-OJK/III/2026

 Issuer Name                         PT Centratama Telekomunikasi Indonesia Tbk.

 Issuer Code                         CENT

 Attachment                          1

 Subject                              Execution of documents in relation to obtaining incremental loan facility
                                     (Incremental Loan Facility) by Company Group Receiving Facility (as defined
                                     below) from New Incremental Facility Creditors (as defined below) based on
                                     Facility Agreement dated 8 March 2022 (Facility Agreement).

The company hereby announce the Material Information or Facts Report as follows

 Name of Issuer or Public Company            PT Centratama Telekomunikasi Indonesia Tbk.

 Business Activities                         Penyedia layanan infrastruktur telekomunikasi, yang meliputi
                                             penyediaan, pengelolaan dan penyewaan site telekomunikasi

 Telephone                                   021 - 2967 8240

 Faximile                                    021 - 2967 8241

 Email Address                               cti@centratamagroup.com


 Date of Event                               09 March 2026

                                              Execution of documents in relation to obtaining incremental
 Type of Material Information or Facts       loan facility (Incremental Loan Facility) by Company Group
                                             Receiving Facility (as defined below) from New Incremental
                                             Facility Creditors (as defined below) based on Facility
                                             Agreement dated 8 March 2022 (Facility Agreement).
Page 5
 Description of Material Information or     A. Inremental Loan Facility
 Facts                                      As disclosed in the disclosure of information dated 16 March
                                            2022, the Company Group Receiving Facility (as defined
                                            below) has entered into the Facility Agreement and received
                                            loan facility in the amount of US$850,000,000 available to the
                                            Company Group Receiving Facility (as defined below) under
                                            the Facility Agreement. The Company Group Receiving Facility
                                            (as defined below) has executed documents to obtain the
                                            Incremental Loan Facility on 9 March 2026, with details
                                            stipulated below.

                                            The Parties in the Facility Agreement after Incremental Loan
                                            Facility

                                            a. Debtors:
                                            The Company and its subsidiaries (i.e., PT Centratama
                                            Menara Indonesia, PT Network Quality Indonesia and PT MAC
                                            Sarana Djaya (Company Group Receiving Facility).

                                            b. Original Creditors:
                                            (1) CIMB Bank Berhad, (2) DBS Bank Ltd., (3) ING Bank N.V.,
                                            Singapore Branch, (4) Natixis, Singapore Branch, (5) Oversea-
                                            Chinese Banking Corporation Limited, (6) PT Bank Central
                                            Asia Tbk, (7) PT Bank Negara Indonesia (Persero) Tbk, (8) PT
                                            Bank CIMB Niaga Tbk (as creditor, agent and security agent),
                                            (9) PT Bank CTBC Indonesia, (10) PT Bank DBS Indonesia,
                                            (11) PT Bank Mandiri (Persero) Tbk, (12) MUFG Bank, Ltd.,
                                            Jakarta Branch, (13) PT Bank OCBC NISP Tbk, (14) PT Bank
                                            Permata Tbk, (15) PT Bank BTPN Tbk, (16) PT Bank
                                            Danamon Indonesia Tbk dan (17) PT Bank Digital BCA.

                                            c. New Incremental Facility Creditors:
                                            Natixis, Singapore Branch and ING Bank N.V., Singapore
                                            Branch.

                                            (The Original Creditors and the New Incremental Facility
                                            Creditors, together the Senior Facility Creditors)

                                            There is no affiliate relationship between the Company and the
                                            Senior Facility Creditors.

                                            Description of the Incremental Loan Facility
                                            a. Incremental Loan Facility amount:
                                            The Group Company Receiving Facility receive
                                            US$50,000,000.

                                            b. Use of the Incremental Loan Facility proceeds:
                                            The proceeds of the Incremental Loan Facility will be used by
                                            the Group Company Receiving Facility for the non-speculative
                                            growth Capital Expenditures of the Group and the general
                                            corporate purposes of the Group.

                                            Except as disclosed above, all important information related to
                                            the Facility Agreement disclosed on 16 March 2022 also
                                            applies to the Incremental Loan Facility.
 Impact of event, material information or   The performance of such transaction does not have negative
 facts towards Issuers or Public            material impact to the operational,legal,financial condition or
 Company’s operational activities, legal,   continuity of the Company's business
 financial condition, or going concern




Other Information
Page 6
A. Incremental Loan Facility
As disclosed on 16 March 2022, considering the facility amount under the Facility Agreement (including, in this
matter, the Incremental Loan Facility) which exceeds 20% of the Company s equity, the Facility Agreement
(including, in this matter, the Incremental Loan Facility) constitutes: a Material Transaction in the form of loan which
directly received from domestic or offshore bank, venture capital company, financing company or infrastructure
financing company.
Therefore, the Facility Agreement (including, in this matter, the Incremental Loan Facility) and the granting of
Security is exempted from the requirement of using independent appraiser and obtaining prior approval of the
General Meeting of Shareholders of the Company in accordance with Article 11 point b and point c of Regulation
17/2020 and Article 6 paragraph (1) point d and point e of Regulation 42/2020.
The Company makes this information disclosure in accordance with the provision of Article 6 paragraph (3) of
Regulation 17/2020, which is at the latest 2 business days after all conditions precedent under the Facility
Agreement to withdraw the amount under the Incremental Loan Facility have been fulfilled.
The Facility Agreement (including, in this matter, the Incremental Loan Facility) does not contain conflict of interest
as referred to in Regulation 42/2020.

Thus to be informed accordingly.


Respectfully,
PT Centratama Telekomunikasi Indonesia Tbk.




Daniel Pradipta

Corporate Secretary




PT Centratama Telekomunikasi Indonesia Tbk.
TCC Batavia Tower One 16th & 19 Floor
Phone : 021 - 2967 8240, Fax : 021 - 2967 8241, www.centratamagroup.com



Sender Name                           Daniel Pradipta

Function                              Corporate Secretary

Date and Time                         11-03-2026 15:17

Attachment                           1. CENT - Keterbukaan Informasi Byzantium.pdf


 This is an official document of PT Centratama Telekomunikasi Indonesia Tbk. that does not require a signature as it
  was generated electronically by the electronic reporting system. PT Centratama Telekomunikasi Indonesia Tbk. is
                          fully responsible for the information contained within this document.

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Names mentioned 20 people and organisations named in the text · linked when the evidence is strong

linked org Centratama Telekomunikasi Indonesia Tbk. · Nama Perusahaan p.1 ×36
linked org PT Centratama Menara Indonesia p.2 ×3
linked org PT MAC Sarana Djaya p.2 ×3
linked org Bank Central Asia Tbk p.2 ×5
linked org Bank CIMB Niaga Tbk p.2 ×5
linked org Bank CTBC p.2 ×2
linked org PT Bank DBS Indonesia p.2 ×3
linked org Bank Mandiri (Persero) Tbk p.2 ×5
linked org Bank OCBC NISP Tbk p.2 ×5
linked org Bank Permata Tbk p.2 ×5
linked org Bank Danamon Indonesia Tbk p.2 ×5
linked person Daniel Pradipta · Corporate Secretary p.3 ×5
possible org DBS Bank Ltd. p.2 ×3
possible org MUFG Bank p.2 ×2
possible org Bank BTPN Tbk p.2 ×4
unresolved org Bank Berhad p.2 ×2
unresolved org PT Bank CTBC Indonesia p.2 ×2
unresolved org PT Bank Digital BCA. p.2 ×2

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