Strategic Settlement Analyst - Commodities & Energy

Achieve Group

Singapore

On-site

SGD 70,000 - 110,000

Full time

13 days ago
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Job summary

Achieve Group is partnering with an established organisation in the commodities and energy sector to recruit a Settlement Analyst in Singapore. The role focuses on invoicing, reconciliation and payments across physical and financial trades, collaborating with trading desks, operations and finance to ensure settlements are completed accurately and on time.

Responsibilities include overseeing the settlement cycle, reviewing trade details and pricing, preparing remittance statements and other

Qualifications

  • Bachelor's degree in Accounting, Finance, Business or related discipline.
  • 5+ years of settlement, invoicing or trade-finance operations experience in commodities or energy trading.
  • Familiarity with commodity contracts, pricing, shipping documents and payment terms.
  • Hands-on experience with ETRM/CTRM platforms; SAP experience is advantageous.
  • Proficient in Microsoft Excel and handling large volumes of transactional data.

Responsibilities

  • Oversee the full settlement cycle for physical and financial commodity transactions using the trading system.
  • Review trade details, pricing, volumes and payment terms before processing invoices.
  • Prepare sales invoices, remittance statements and other settlement documentation.
  • Verify supplier invoices and address discrepancies before payment.
  • Perform reconciliations with counterparties, including mid-month and month-end balances.
  • Monitor outstanding receivables and follow up on overdue or disputed items.

Skills

Reconciliation
Analytical thinking
Problem solving
Independent worker

Education

Bachelor’s degree in Accounting, Finance, Business or related discipline

Tools

ETRM/CTRM platform
SAP
Excel

Job description

Achieve Group is partnering with an established organisation in the commodities and energy sector to recruit a Settlement Analyst in Singapore. The role focuses on invoicing, reconciliation and payments across physical and financial trades, collaborating with trading desks, operations and finance to ensure settlements are completed accurately and on time.

Responsibilities include overseeing the settlement cycle, reviewing trade details and pricing, preparing remittance statements and other

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