This post has expired! It was posted more than 365 days ago.
Responsible for managing, administering, and processing the bank's trade finance facilities and instruments.
Check and authorize all import and export documentation such as letters of credit, shipping guarantees, and import/export bills.
SWIFT authorization of payments.
Act as custodian for all outstanding documents for Dubai branches.
Act as point of contact for all clients.
Prepares report to Treasury for booking of US dollars, UAE dirhams, and other currencies.
Monitor and investigate any issues and discrepancies in all trade finance transactions.
Attends to all enquiries related to Settlement Unit.
Ensure compliance with operations risk management and corporate audit requirements.