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إرفاق

مدير خطاب الضمان والجودة في العمليات التجارية للشركات

الخبر, السعودية تم النشر 2023/11/08 10:55:41 تنتهي 2024-01-07 الرقم المرجعي: JB1100041012

وصف الوظيفة

 

 

  • To carry out the role of a Unit Head within the Trade Finance Department and report directly to the Wholesale operations Head.

 

 

  • To effectively process Trade Finance products to ensure and exercise extreme care whilst processing the clients/bank requests in an efficient and precise manner.

 

 

  • To ensure that the banks records are maintained in a professional manner, thereby collecting the appropriate commissions and other charges thereof.

 

 

  • To ensure that work is processed in a timely manner and professional manner abiding by the UCP rules and regulations.

 

 

  • To coordinate and maintain good relationship amongst the Trade Finance staff and with other department of the bank for smooth processing.

 

 

  • To process all activities assigned to him in a precise and professional manner and provide necessary assistance and coverage as and when required.

 

 

  • To maintain accuracy at all times to eliminate any losses that may occur due to negligence.

 

 

  • To go by the banks GIBMAN policies and procedures.

 

 

  • To work as a team member being flexible and assist whenever necessary as per the department’s requirement.

 

 

  • To ensure that the proof is scrutinized and prepared for submission in a timely manner input of information into the banking system (UBS and Eximbill)

 

 

  • To ensure that the AML policies are adhered to at all times.

 

 

  • To adhere to compliance issues in safe guarding the banks interest and eliminating any possible risk.

 

 

  • To participate in any task or project assigned to you that requires your assistance and ensure completion in meeting the deadline.

 

 

  • To manage the overall processing for all GIB branches

 

 

  • Ensure compliance with overall operational procedures, rules and regulations and any other directions issued by the Senior Management

 

 

  • To co-ordinate and professionally attend to staff matters, as and when required in order to maintain an efficient level of cooperation within the Unit.

 

 

  • Identify training needs for his staff and provide essential training opportunities in coordination with the Unit Head.

 

 

  • To act as a holder of the required external signing power for his section and other operations units where necessary.

 

 

  • Ensure that all transactions are correctly recorded In EXIMBILLS and downloaded to UBS Banking System and that any adjustment entries are properly approved.

 

 

  • Maintain close control over the daily report to ascertain that the necessary actions for various events are carried out in a timely manner.

 

 

  • Ensure that commissions and other income are correctly calculated and collected on due dates accordingly

 

 

  • Ensure that all transactions are booked under available credit limits and within the approved FM

 

 

  • Ensure that reconciliation tickets are promptly investigated and cleared in a timely manner

 

 

Ensure that all month-end accounting entries related to his section are booked in a timely manner

 

 

  • In the event of non-receipt of funds, ensure that the necessary follow-ups and non-payment reports (if any) are initiated and dispatched promptly.

 

 

  • Ensure that the Customer Audit Requests are checked, initialed by an Officer and delivered to Internal Controls Department within the deadlines.

 

 

  • Review all month-end departmental proofs, ensuring they are accurately checked and delivered to the Internal Controls Department within the deadlines.

 

 

  • Ensure that operational, accounting and record keeping procedures are maintained in line with the established policies and regulations.

 

 

  • Ensure compliance with overall operational procedures, rules and regulations and any other directions issued by the Senior Management.

 

 

  • Perform duties that are normally assigned by the Department Head or Head of Operations, ensuring they are carried out in a competent and professional manner.

 

 

  • To effectively monitor the processing function of all day-to-day matters concerning All GIB branches processing.

 

 

  • To maintain good relationship and co-operation with all staff for smoothening the workflow.

 

 

  • To provide necessary assistance to other staff members within the Department as and when the need may arise.

 

 

 

المهارات

 

 

  • In depth knowledge of trade finance products and operations

 

 

  • Good understanding of the universal practices and international chamber of commerce rules like (URR 752 URC 522, UCP 600 URDG 758)

 

 

  • Thorough knowledge of Central Bank and other applicable rules and regulations

 

 

  • Thorough understanding of managing risks in trade finance operations

 

 

Must be adept in use of MS Office 2000 or later, particularly Excel and Word, and Internet and email

تقدم الآن

تفاصيل الوظيفة

مكان الوظيفة الخبر, السعودية
الدور الوظيفي المحاسبة/الشؤون المالية
نوع التوظيف موظف مباشر
عدد الوظائف الشاغرة 1

المرشح المفضل

المستوى المهني متوسط الخبرة

وظائف ذات صلة

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