Contract management, import-export document management, trade finance document management, systems support, other adhoc activities requested by the Trade Execution team in Singapore, China and London.
Internal coordination and management of commodity contracts, shipping documents and payment related documents.
Manage trade finance activities, particularly with letters of credit to ensure full operative letters of credit are in place and keep a track record of receipt of funds.
Timely filing of documents and data entry for audit and system related purposes.
Liaise with Trade Execution Team, Trade Structured Finance, Accounting, external service providers, banks and various other teams to resolve problems.