Details of the Job

Posted on 05-03-2019

Trade Finance Operations - International banking - Mumbai

Banking / Financial Services
Category - Finance
Industry - Banking / Financial Services / Broking
Job Description

 A.   Shareholder & Financial: -         Assist in the monitoring and achievement of Key Performance Indicators (KPIs) on periodic basis.

 B.   Customer (Internal & External): -         Provide adequate and efficient transactions in relating to the Guarantees to internal customers and thereby help them serve external customers in a more efficient manner, resulting in increased external customer satisfaction levels. -         Build and maintain strong and effective relationships with all the other related departments to achieve the Bank’s goals/ objectives. -         Liaise with internal and external clients in order to meet their needs in a timely and accurate manner. 

C.   Internal (Processes, Products, Regulatory): -         Process and handle domestic and international bank guarantees with strict compliance to Bank’s policies and procedures and International Chamber of Commerce rules. -         Process transactions for issuing of guarantees, amendment, cancellation, lodgment of claims and payment within the limit as per the credit policy. -         Handle Swifts/ Telexes of transactions relating to bank guarantees. -         Prepare periodical reports of issued and outstanding guarantees on behalf of customers, and Banks and report them to the Head of Guarantees & Bills for Collection. -         Liaise inside and outside the department in order to improve service quality and for Bank Guarantees services. -         Accurately process ordinary transactions relating to advising, amendment and cancellation of Import and Export Letters of Credit and ensure work accomplishment in strict compliance with International Chamber of Commerce Rules and Bank’s policies and procedures. -         Input transactions for advising, confirmation, amendment and cancellation of Import and Export Letters of Credit on a timely basis. -         Settle value of documents, sight, in same value dates ensuring full funding coverage with FX, Treasury and Credit Department to avoid loss due to delay of payment interest. -         Advise and add confirmation to certain export letters of credit that include special terms and conditions such as Oil and Gas transactions. -         Advice and request beneficiary bank to add their confirmation to certain import letters of credit at the request of the opener of the L/C. -         Prepare vouchers for commissions, charges and contingent liabilities. -         Deal with clients on routine operational issues for advising of Import and Export Letters of Credit and handling of documents. Dispatch export letters of credit and related documents to clients and Banks. -         Communicate with Banks by Swifts/ Telexes for transactions relating to Import and Export Letters of Credit. Receive/ Release negotiated documents from/ to correspondent Banks. -         Provide periodical reports of opened and outstanding Import and Export L/C to the Manager Trade Finance Operations for him to monitor the workflow. -         Prepare and submit reports to the Manager Trade Finance Operations to monitor workflow and income in addition to the monthly and quarterly reports. 

 D.   Learning & Knowledge: -         Keep abreast of changes in International Chamber of Commerce/ relevant URDG and UCP rules and local/ international laws and regulations affecting foreign trade operations relating to guarantees and pertaining to Import and Export Letters of credit. -         Identify areas for professional development of self and act to enhance professional development of self.  

E.   Other: -         Ensure high standards of confidentiality to safeguard commercially sensitive information. -         All other ad hoc duties and/or activities related to QNB that management may request of the employee from time to time 

Location Mumbai - India

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