Work together with existing team in Singapore and other markets for execution of trade. Handling FX confirmation Handling FX settlements with banks , movement of funds to settle trade transaction Underlying document submission with banks for FX bookings and Settlements Work together with other traders and liaise with treasury for issuance of SBLC / payment settlement for transactions being executed. Prepare, monitor, review and ensure proper documents for various trade finance structure to enable smooth execution and ensure compliance Ensure execution of trade in co-ordination with offshore operations team. Co-ordinate and follow-up with banks for document handling for LC Advising, confirmation and negotiation. Work together with Traders to maintain trade MIS relating to execution and maturity and co-ordinate reconciliation with offshore operations team. Maintain contact with internal and external stake holders / customers / counterparts Work together with BU execution team and operations team for original shipping document handling.
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