BANK TRADE BILLS (EXPORT PAYMENTS)

Export Payment (AM/Officer)

Responsibilities:

  • To assist the team lead in the day to day operation of the Export Payment Team.
  • This will include checking and processing of various export trade products/transactions. 
  • To handle/process all trade transaction in accordance with the procedure manual, rules and regulations 
  • To perform reconciliation duties on a daily, weekly and monthly basis. 
  • To handle internal/external customers’ trade related queries in a professional manner
  • To arrange/fix interest/FX rate with Treasury 
  • Miscellaneous duties – DHL duties, Counter duties and scanning
  • Provide training and guidance to junior staff in the section
  • To participate in BCP drills and be familiar of Bank’s and Group’s BCP procedures and processes 
  • Perform duties assigned by the Group Head or Management and to cover  duties and responsibilities of staff in the event of an emergency/crisis

Requirements:

  • At least 2-3 years experience in handling trade operations
  • Fair knowledge in UCP600 and ISBP745E
  • Good interpersonal skills
  • Good communication skill is required to interact with customers