Responsiblities
- Managing day to day bank relationships and utilization and placing transactions with our suite of financing banks.
- Further liaising with the same bank throughout the life of the entire transaction to ensure all concerns and issues are promptly addressed.
- Preparing and/or 2nd checking all necessary trade documents such as bank cover letter, bank drafts, commercial invoice etc to ensure all documents presented is acceptable to banks and counterparties.
- Prepare, pre-check export LC and documents against contract and ILC to ensure compliant presentation.
- Advise necessary amendments/revisions to ensure workability of all trade finance instruments.
- Follow up on export / collection bills discrepancies, acceptance payment and any disputes.
- Liaison with banks for rates on L/C confirmations and discounting
- Understanding of UCP600, URC, ISBP and Incoterms.
- Monitoring of daily cash inflows and outflows to ensure prompt receipts from customers and timely payments to suppliers.
- Make sure each business transaction is properly documented and recorded.
- Undertake additional functions and duties when required.
Qualification:
- Fresh graduates are welcome to apply.
- Preferably Min Diploma holder with one years of experience in commodities trade finance within a trading house or bank.
Requirements:
- Singaporean or PR
- Adapt in Microsoft Excel and Words.
- Able to work independently, quick learner and team player.
- Able to commit to objectives in time line set.
How To Apply:
- Submit your application by email to [email protected] detail copy of your updated resume in pdf.