Provide comprehensive coverage for a portfolio of commodity clients across the RCEP region.
Execute end-to-end account processes including new account onboarding, maintenance, periodic reviews, KYC/CDD compliance, AML screening, and risk assessment questionnaires.
Conduct trade transactions and oversee timely renewal of credit facilities in alignment with bank policies.
Proactively identify and capitalize on cross-selling opportunities, including trade finance, corporate loan, cash management solution and treasury services etc.
Collaborate with internal stakeholders to ensure completeness and accuracy of document as per internal and Head Office requirements.
Managing clients’ ongoing activities and enquiries with prompt and professional responses to maintain high service standards.
Maintaining daily trackers, monitoring transaction status and follow up on pending items.