Process transactions for issuance of guarantees, amendment, cancellation, lodgment of claims and payments as per the credit policy.
Handle Swifts/Telexes of transactions related to bank instructions .
Issuing Im & Ex forms strict compliance with the Central bank’s regulations.
Settle worth of documents, sight, in same worth dates guaranteeing full funding coverage with FX, Treasury, and Credit Departments to avoid loss thanks to delay of payment interest.
Manage bank’s clients on routing operational problems for advising consequential and handling of documents.
Prepare and submit reports to the Trade Finance Manager, Operations to watch advancement and financial gain additionally to the monthly and quarterly reports.