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Responsibilities Process daily trade transactions in a timely and accurate manner within service level agreement Perform pre-processing review of customers’ submissions and conduct documentary checks Ensure that regulatory, bank’s policies, guidelines, control and compliance requirements are strictly adhered to Complete daily reconciliation activities and prepare reports to internal stakeholders and/or customers Liaise with client and relevant stake holders on updating transaction statuses and support addressing transaction related queries Contribute to various process improvements and other projects as allocated Requirements Graduate, preferably in Banking & Finance Knowledge of UCP, ISBP, URC, ISP, URDG At least 5-7 years of structured trade experience, covering all imports and exports trade products Self-starter who can work effectively in a team setting Ability to manage daily operations with strong risk awareness, analytical and problem-solving skills Good interpersonal skills, decisive in communications Resilient and flexible in challenging circumstances