Operations Team Member_WBG Operations (Ops)-Trade Finance Operations_Thane

Kotak Mahindra Bank Ltd

Thane

On-site

INR 600,000 - 1,000,000

Full time

4 days ago
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Job summary

Kotak Mahindra Bank Ltd in Thane, Maharashtra, is seeking a dynamic and detail-oriented professional to join our Trade Finance Operations team within the Wholesale Banking Group. The successful candidate will handle day-to-day trade transactions, coordinate with internal and external stakeholders, and ensure timely and error-free execution of trade-related services.

You will liaise with CPC, CMS, and Clearing teams, ensure compliance, and deliver accurate documentation like Letters of Credit and

Responsibilities

  • Handle day-to-day trade transactions and understand client requirements.
  • Coordinate with CPC for transaction processing and discrepancy resolution.
  • Liaise with various business groups within the bank for operational support.
  • Ensure error-free and timely execution of trade transactions.
  • Adhere to compliance and internal operational guidelines.
  • Coordinate with clients and correspondent banks to resolve queries raised by Trade Finance/CMS Operations.
  • Issue Letters of Credit and ensure proper documentation.
  • Conduct initial scrutiny of trade documents before forwarding to CPC for processing.
  • Attend to front-end requirements of corporate customers.
  • Coordinate with CPC, CMS, and Clearing teams to ensure timely delivery of customer requirements.
  • Ensure all transactions are processed within agreed turnaround times (TAT).
  • Maintain familiarity with Trade Finance and CMS products.

Job description

We are seeking a dynamic and detail-oriented professional to join our Trade Finance Operations team within the Wholesale Banking Group. The ideal candidate will be responsible for handling day-to-day trade transactions, coordinating with internal and external stakeholders, and ensuring timely and error-free execution of trade-related services.

  • Handle day-to-day trade transactions and understand client requirements.
  • Coordinate with CPC for transaction processing and discrepancy resolution.
  • Liaise with various business groups within the bank for operational support.
  • Ensure error-free and timely execution of trade transactions.
  • Adhere to compliance and internal operational guidelines.
  • Coordinate with clients and correspondent banks to resolve queries raised by Trade Finance/CMS Operations.
  • Issue Letters of Credit and ensure proper documentation.
  • Conduct initial scrutiny of trade documents before forwarding to CPC for processing.
  • Attend to front-end requirements of corporate customers.
  • Coordinate with CPC, CMS, and Clearing teams to ensure timely delivery of customer requirements.
  • Ensure all transactions are processed within agreed turnaround times (TAT).
  • Maintain familiarity with Trade Finance and CMS products.
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