A Trade Operations role who handles paper contract settlement, trade settlement duties and reporting.
Main Duties and Responsibilities:
- Update monthly freight by vessel in trading system.
- Perform settlement of paper contracts being washout and stringed.
- Prepare monthly operational reports such as stock balances and value, document turnaround, CIF outturn and demurrage.
- Backup GR and IR entries for destination offices (USA & Europe).
- Backup LC advising charge payment and collection.
- Backup processing of commission and brokerage payment on a monthly basis.