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Job Description
Job Description:
- Maintaining relationships with the Field Operations team. This includes responding to inquiries about printing new contracts on time, applying the required actions by the team on time, eligible transactions and other aspects of the relationship. The jobholder will be responsible for preparing and processing business requested amendments to ongoing guarantee projects. He will also perform tasks/activities relating to the monitoring and reporting of guarantee instruments.
Responsibilities:
- Data entry for the selected retailers to be members in the Trade Finance program on the Trade Finance Database.
- Defining and creating the Trade Finance accounts on the SOF.
- Setting the credit ceiling for each retailer per account.
- Linking the required BTCs to the selected retailers.
- Scoring the enrolled retailers “Scoring Point Database”.
- Changing the credit ceiling and account statuses.
- Transferring the enrolled account between different programs.
- Executing all transactions related to Trade finance (documentary Credits– and documentary collections).
- Analyzing weekly/monthly dashboards for the Trade finance team performance.
Job Requirements
- Bachelor of Commerce or equivalent.
- Good communication skills in English & Arabic.
- Very good experience and understanding of Excel & Access.
- Record of experience on analyzing data.
- Recommended experience 1-2 years.