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Page 1 OCR 0.927
FINANCE

No. Corp/sjn/L/V/26-0098
Tangerang Selatan, 18 Mei 2026

Kepada Yth. / To:

PT BURSA EFEK INDONESIA
Gedung Bursa Efek Indonesia Lt. 4
Jl. Jend. Sudirman Kav. 52 - 53
Jakarta 12190

U.p. : Divisi Penilaian Pei r urities

Perihal/ Subject : Kesiapan Menjelang Jatuh Tempo Obligasi / Readiness on Approachin:

Dengan hormat, | Dear Sir/Madam,
Menunjuk kepada Keputusan Direksi PT Bursa Efek | Referring to the Decree of the Board of Directors of PT
| Indonesia Nomor: Kep-00087/BEI/12-2025 tanggal | Bursa Efek Indonesia Number: Kep-00087/BEI/12-2025 |
12 Desember 2025 perihal Perubahan Peraturan Nomor | dated 12 December 2025 regarding Amendments to
I-E Tentang Kewajiban Penyampaian Informasi, | Rule Number I-E concerning the Obligation to Submit
bersama ini kami sampaikan informasi mengenai | Information, we hereby convey information regarding
kesiapan dana untuk pelunasan Efek Bersifat Utang the readiness of funds for the repayment of Debt
yaitu Obligasi Berkelanjutan V BFI Finance Indonesia | Securities, namely Shelf Registration Bond V BFI
Finance Indonesia 5" Tranche Year 2023 Series B
which will mature on June 15, 2026, as follows:

Tahap V Tahun 2023 Seri B yang akan jatuh tempo |
pada tanggal 15 Juni 2026, sebagai berikut: |

I. Apakah Emiten telah menyediakan dana untuk | 1. Has the Issuer provided funds to pay off matured
melunasi pokok dan bunga Obligasi maupun fee, | Bond principal and interest as well as fees,
cicilan imbalan dan imbalan sukuk kepada | installments of return,and sukuk return to the Bond
Pemegang Obligasi atau Sukuk pada saat jatuh holders or Sukuk holders?
tempo? |

| Tanggapan: Response:

We have provided funds for Bond principal and
interest repayment to the Bondholders of Shelf
Registration Bond V BFI Finance Indonesia 5"

Kami telah menyiapkan dana pelunasan pokok
dan bunga Obligasi kepada Pemegang Obligasi
Berkelanjutan V BFI Finance Indonesia Tahap V

Tahun 2023 Seri B untuk dikreditkan sebelum Tranche Year 2023 Series B to be credited before
tanggal jatuh tempo Obligasi tersebut pada | the final maturity date of the Bond on June I5,
2026.

tanggal 15 Juni 2026.

2. If the Issuer has provided Bonds or Sukuk
repayment funds, please mention the amount of
funds that have been available or allocated by the
Issuer to pay off Bonds or Sukuk debt based on the
Issuers current financial position and please
explain about the placement of these funds.

2. Apabila Emiten telah menyediakan dana
pelunasan Obligasi atau Sukuk, mohon disebutkan
besarnya dana yang telah tersedia atau |
dialokasikan Emiten untuk melunasi hutang
Obligasi atau Sukuk berdasarkan posisi keuangan
Emiten saat ini dan mohon dijelaskan mengenai

penempatan dana tersebut.

PT BFI Finance Indonesia Tbk

BFI Tower, Sunburst CBD Lot.1.2
Jl. Kapt. Soebijanto Djojohadikusumo BSD City - Tangerang Selatan 15922

P 482 21 29650300, 29850500 F 462 21 2966 0757, 29660758 #SelaluAdaJalan
Page 2 OCR 0.946
Demikian penjelasan yang dapat kami sampaikan.

Tanggapan:
Kami telah menyediakan dana pelunasan Obligasi |
dengan jumlah sebesar total keseluruhan pokok |
dan kupon bunga dari Obligasi yang akan jatuh |
tempo. Dana pelunasan Obligasi tersebut berasal
dari dana internal Perseroan yang ditempatkan di
rekening giro dan deposito dengan beberapa
bank.

Apabila dana

pelunasan dan

Emiten belum menyediakan
Sukuk,

dijelaskan sumber dana yang akan digunakan |

atau mohon dapat |

atau upaya-upaya yang sedang dan akan
ditempuh Emiten untuk dapat melunasi kewajiban
kepada Pemegang Obligasi dan atau Sukuk tepat |
pada waktunya, |

Tanggapan:
Sebagaimana dijelaskan pada poin 2 di atas.

Hal penting lainnya dari Manajemen terkait hal-hal
di atas

Tanggapan:

Manajemen Perseroan berkeyakinan, akan dapat
melunasi kewajiban kepada Pemegang Obligasi |
tepat pada waktunya baik untuk kupon bunga
maupun pokok Obligasi.

Atas perhatiannya, kami ucapkan terima kasih.

Hormat kami, / Best regards,
PT BFI FINANCE INDONESIA TBK

Sudjono
Direktur / Director

£

3.

And this concludes our report. Thank you for your
attention.

Response:

we have allocated funds for Bond repayment
amounting to the total amount of Bond principal
and interest that will mature. The funds for Bond
repayment is from the Company's internal cash
which are placed in current accounts and time
deposits of several banks.

If the Issuer has not provided Bonds and or Sukuk
repayment funds, please explain the source of
funds to be used or the efforts that are being and
will be taken by the Issuer to be able to repay its
obligation to the Bond holders and/or Sukuk
holders in a timely manner.

Response:
As explained in point 2 above.

Other important matters from the Management |
related to the foregoing.

Response:

The Company management believes that it will
be able to settle all obligations due to the
Bondholders on the maturity date, both the
Bond's interest coupons and principal.

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Source IDX
Size0.6 MB
Published18 May 2026
Pages2
Characters4,888
Text sourceOCR
OCR confidence0.937

Names mentioned 3 people and organisations named in the text · linked when the evidence is strong

linked org BFI Finance Indonesia Tbk p.1 ×9
possible org PT BURSA EFEK INDONESIA p.1 ×3
possible person Sudjono · Direktur / Director p.2

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