Manage trade finance operations for the oil trading business in Geneva, managing bank relationships, credit lines, and transactional support for global physical trades.
Key Responsibilities
• Manage day-to-day trade finance operations for oil flows (LCs, SBLCs, guarantees, discounting, receivables financing).
• Build and maintain strong relationships with banks and financial institutions.
• Negotiate trade finance facilities, pricing, covenants, and documentation.
• Monitor liquidity, borrowing base utilisation, and working capital needs.
• Support traders with structuring trade finance solutions for new flows.
• Review contracts to ensure trade finance feasibility.
• Coordinate with Operations, Credit, Risk, and Treasury.
• Oversee TF systems, process improvements, and reporting.
• Ensure compliance with internal controls and regulatory requirements.