A well-established international oil trading company with a growing presence in Asia-Pacific is seeking for an enthusiastic and results oriented team player for its Singapore based Trade Finance team, reporting to Trade Finance Manager.
Role: Preparation, review and negotiation (both with our banks and counterparties) of L/C's and guarantees required in the normal course of business. Day to day treasury operations & paper swaps operations. Pro-active monitoring and management of loans, deposits, current accounts, payments, receipts, etc, related to our transactions. Presentation to and regular up-dating of our banks on the progress / execution of transactions financed by them. Effective management of transaction files to ensure correct 'paper chains' (contracts, assignments, payment instruments, guarantees etc,) at all times. Update of the Trade Finance Report (purchase/sale details, collateral in place, due date, pricing formula, etc.)
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