Global Trade Finance Credit
- Register the approved conditions to the bank system accurately.
- Process and check issuance of I/S for FI trade transactions
- Liaise with Relationship Managers to find out the underlying trade flow of the transactions
- Maintain accurate exposure control of FI trade transactions
- Provide news related to clients and commodities to all the marketing staffs and management
- Monitor various due dates relating to credit transactions and confirm settlement of transactions with assistance of the back office