6-month renewable contract, with potential for permanent conversion
One of the largest companies in the Oil & Gas industry
Supportive and friendly working environment
Competitive company benefits
Role
Reporting to the Trade Finance/ Settlement Manager, the role is responsible for managing receivables and payables for physical product trading, handling LC issuance and negotiations, reviewing trade contracts, coordinating with operations on trade and shipment details, and processing payments. He/She will also maintain updated trade data for month-end closing and provide receivables and payables information for cash flow planning.
Requirements
The successful candidate will hold a degree in accounting or a related field, with a minimum of 3 years of experience in trade finance or trade settlement. Prior working experience with a commodities trading company is a must. You will have strong knowledge of trade finance instruments (L/Cs, bank guarantees, etc.), as well as excellent attention to detail, organizational skills, and the ability to manage multiple tasks simultaneously.
Apply
To apply, please submit your resume to James Yan at
James@kerryconsulting.com , quoting the job title and reference number JA34316. Only successful shortlisted candidates will be notified.
Licence No: 16S8060
Registration no: R22104741
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