Working closely with Relationship Managers, Global Credit Management, Credit Risk Management & Bill Operations, you will perform commercial credit and performance risk analysis of transactions (contracts, applications etc.) with reference to approved credit facilities & the bank's general guidelines and procedures.
You will contact clients for clarifications and/or exploration of risk mitigating measures. You will raise tickets and obtain appropriate approvals based on transaction analysis done, and update clients' positions with each new deal financed and ensuring important events affecting the transactions are recorded. You will monitor day-to-day events and collaterals throughout the transaction cycle till settlement, perform mark to market and collateral valuation / changes and margin calls top-up etc., and perform reconciliation between client's positions and the accounting entries.
Pre-requisites:
- Tertiary educated
- Good knowledge of trade finance and bills operations
- Possess collateral management experience in terms of commodities transactional financing, inventory financing etc.
- Good knowledge of Incoterms, bills of lading, FCRs & warehouse receipts/ warrants
- Exposure to Risk (credit risk, security documentation etc) would be advantageous
- Good team player with strong verbal & written communication skills
- Able to work independently
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