Treasury Executive (Commodities)

  • Full time
  • Singapore, Singapore View on Map
  • posted 7 days ago
  • Posted: January 24, 2025 -Accepting applications

Job Detail

  • Job Reference T13469

Job Description

Job Description:

  • Achieve in-depth understanding of available financing facilities
  • Monitor, track, plan and allocate bank and utilization for all shipments across all lenders
  • Detailed Cash flow updating, maintenance and planning in spreadsheet and system on deal by deal basis (weekly reporting) (spot and term deals cash requirements)
  • Approach and present to banks new/adhoc financing requirements not within facility framework, security/collateral discussions n requirements, provide KYC etc
  • Daily communication with operations team to approve payment requests by ensuring payment is valid and due for payment – tally and check of invoice and/or shipping documents
  • Assist to resolve outstanding payment issues and discussions with counterparties
  • Monitoring and maintenance of banking accounts across banks and lenders.
  • Monitor and track prepayment risk, open account risk, amortization repayment, stockpile loading schedules etc for reporting purposes
  • Reconciliation of debtors and creditors list/outstanding payables and receivables
  • Attending to and addressing internal and external stakeholders’ queries and inspections and monthly reporting – to be excel proficient, scripting and programming skills preferred
  • Assist to expand and develop company’s banking relationship (review/negotiate term sheets, standard banking terms and conditions from Gulf /Europe banks etc)
  • Understanding shipment & risk exposure and ensure relevant insurance in place eg. Marine open cover, assist in insurance declarations
  • Assist in bank kyc & facility renewals, account opening procedures and adhoc tasks

Requirement:

  • At least 6 years of trade finance experience
  • Knowledge/previous experience in physical commodity trading in Asia
  • Knowledge of trade finance, rules guidelines of UCP ISBP, banking TR procedures
  • Good understanding of full suite of trade finance related terms, processes and functions (LC/collections/ shipping documents/contracts checking, LC/ Guarantee/ Bond issuances, monitor/effect payments)
  • Excel and programming skills
  • Able to multi-task and work in a challenging environment
  • Team player, strong communication skills and to liaise with the different stakeholders

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