Trade Finance and Risk Manager

Reference: JOB483
Location: singapore, singapore, Singapore
Employer: client of Saitech International
Contact: Bhanu Rajan

Our client is a trading company dealing in iron ore, coal, palm oil,etc. They have an immediate requirement for a Trade Finance and Risk Manager

Managing Trade Finance activities including L/C advising, confirmation, bill discounting, L/C issuance, bank guarantee, Documents Collection, Remittances of Inward/Outward and internal transfers, etc.
Track and Perform Risk analysis of the daily trading position, P&L report , MTM and ensure internal control processes to ensure timely and correct P&L and risk reporting.
Responsible for Onboarding and KYC clearances of counter-parties and monitoring credit exposures to the same.
Must be able to apply knowledge of Regulatory requirements regarding Trade Finance and deals with banks and regulatory authorities.
Investigate on any errors/ discrepancies with transactions including settlements with banks.
Maintaining bank positions indicating the line utilization & availability. Planning on the optimal utilization of credit lines from banks and cash flow management.
Cash flow monitoring, supporting the preparation of AOP for the business unit, review of costing and preparation of necessary documentation for internal approvals.
Tracking trade AR/AP and monitoring cash inflows and outflows to ensure timely receipt and payments of trade invoices.
Detailed presentations of daily, weekly & monthly reports for the team. Providing support to accounts teams to supply data.
Any other ad hoc responsibilities as assigned.
Preferred if candidate is ACCA /CA qualified.

Job location : Raffles pl
Work week : Mon-Fri
Salary : S$ 8-12k pm (open for discussions)

Interested candidates may please apply if they meet most of the above requirements. Please email resume to
Include in your resume current/expected salary, notice period, jobs handled, etc.

Job posted by
Bhanu Rajan
EA Regn : R110607