1 Year Contract Treasury Trade Finance #EAT

RECRUIT EXPRESS PTE LTD

Singapore

Hybrid

SGD 70,000 - 110,000

Full time

14 days+
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Job summary

RECRUIT EXPRESS PTE LTD is seeking a hands-on treasury and trade finance professional in Singapore. You will manage LC, BGs, documentary collections, and liaise with bankers for credit facilities and KYC.

You will work with SAP and TRM modules, support process improvements, and participate in UAT and system implementations to ensure successful project delivery. Strong analytical and stakeholder management skills are required.

Qualifications

  • 4–5 years hands-on treasury/trade finance operations experience.
  • Solid understanding of trade finance instruments (LCs, BGs, documentary collections).
  • Experience with SAP and Treasury & Risk Management (TRM) modules preferred.
  • Strong analytical and MS Excel skills.

Responsibilities

  • Manage and administer trade finance instruments (LCs, BGs, documentary collections).
  • Liaise with bankers on credit facilities, KYC, and mandate maintenance.
  • Participate in projects, UAT, and process/system improvements.

Skills

Treasury Operations
Trade Finance
Banking Relationships
SAP
Excel
KYC

Tools

SAP
TRM

Job description

Job Description:
  • Trade Finance Operations: Manage and administer trade finance instruments, including Letters of Credit (LCs), Bank Guarantees (BGs), and Documentary Collections. Support the efficient allocation and utilization of banking limits across business units
  • Banking Relationships: Liaise with bankers on credit facilities, operational matters, issue escalations, mandate maintenance, and KYC requirements. Build and maintain effective working relationships with external banking stakeholders.
  • Treasury system & E-banking: Familiar with Treasury Management Systems (TMS) and experience in accessing e-banking platforms.
  • Project Management & Process Improvement: Participate in and coordinate multiple treasury-related projects simultaneously. Contribute to process enhancements, system implementations, and User Acceptance Testing (UAT) activities to ensure successful project delivery.
Key Requirements:
  • 4–5 years of hands‑on treasury and/or trade finance Operations, preferably within a commodity trading house, multinational corporation or financial institution
  • Sound understanding of international trade finance, including Incoterms, Letters of Credit (LCs), Bank Guarantees, documentary collections, and other trade finance instruments.
  • Experience working with SAP and Treasury & Risk Management (TRM) modules is highly preferred.
  • Strong analytical capabilities, proficiency in MS Excel
  • Excellent communication and stakeholder management skills to collaborate across internal and external stakeholders.
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