We are looking for experienced trade finance candidate for manufacturing industry. Candidate should be well versed with trade finance products. Responsibilities for this position includes:
- Monitoring and ensuring the bank liabilities are addressed on the respective due dates
- Providing inputs to department heads/management for the clearance of the liabilities and alerting in case of shortfall to address the same.
- Liaising with Sales co-ordinating team to receive the expected cash inflow by means of advances and through planned deliveries
- Sharing the liability and the receivable reports/inputs to department heads to discuss the cash flow management.
- Informing Sales team on the export LC requirement with each banks and allocating the export LCs to respective banks to meet the credit conditions and to open import transactions.
- Reviewing the LC draft/application based on the Sales order and informing Sales team on the amendments required
- Liaising with Sales team and ensuring the shipments are planned within the latest shipment date mentioned in the LC and informing them to extend if the LDS is expired.
- Assisting departments heads in the working capital facility renewal with banks and sharing the necessary documents/reports to banks as required.
- Ensuring the export LC document proceeds from bank and the CAD document proceeds from customer are received on time by liaising with bank and sales team.
- Liaising with procurement team for the import requirements and arranging transactions in respective banks based on the available limits
- Monitoring the open account payments to the suppliers and arranging cash/LC/TR payments based on our cash and the limit positions with the bank.
- Addressing the bank queries related to our accounts/working capital facilities and arranging the necessary documents to the banks as required.
- Assigning the export LC/receivables to the banks as per the credit conditions and ensuring the limit positions are in line with the bank records.
- Sharing the bank transactions/advice copies to the concerned team members and informing them to pass necessary entries in SAP/daily report files.
- Monitoring the day-to-day activities of the team members and ensuring the process are being followed and addressing the queries/escalations (if any)
- Addressing the trade finance queries from both internal and external stakeholders.
- Ensuring the SAP entries and the daily report entries are properly updated/matched by the team members.
Requirements
- Confident, self-motivated individual that thrives in a fast-paced, dynamic environment
- Proficient in the use of bank related business systems and general technology such as Ms office package
- Degree in EXIM, CDCS, Business, Economics, Finance/Accounting, International Relations or similar
- UAE experience must
- Manufacturing industry experience preferable
- Good Communication & negotiation skill
- 5 years of related experience in Trade Finance Services