The posting
About the Company
Our client is a leading Singapore-headquartered global agri-business and commodities trading company with operations across 30+ countries. The organisation manages end-to-end global food, feed and fibre supply chains, spanning sourcing, trading, processing, logistics and risk management. With a strong international footprint and an entrepreneurial, collaborative culture, this is an excellent opportunity to gain exposure to global markets and build a career within the fast-moving commodities and international trading industry.
About the Role
12 Month Contract Treasury Trade Finance Analyst (Commodities) #BJJ
Responsibilities
• Manage day-to-day trade finance operations, including the issuance, amendment, and administration of Letters of Credit (LCs), Bank Guarantees (BGs), and Documentary Collections.
• Support the efficient allocation, monitoring, and utilization of banking facilities and credit limits across business units.
• Liaise closely with banking partners on credit facilities, operational matters, issue resolution, bank mandates, and KYC documentation.
• Build and maintain strong working relationships with external banking partners and internal stakeholders.
• Perform treasury-related transactions using Treasury Management Systems (TMS) and e-banking platforms.
• Support treasury cash management and operational activities to ensure smooth day-to-day treasury functions.
• Participate in multiple treasury projects, including process improvements, system enhancements, and implementation initiatives.
• Coordinate and execute User Acceptance Testing (UAT) to validate new system functionalities and process enhancements.
• Identify opportunities to improve operational efficiency, strengthen controls, and streamline treasury and trade finance processes.
• Ensure compliance with internal policies, banking requirements, and regulatory standards.
Qualifications
• Bachelor's Degree or Diploma in Finance, Accounting, Business, Banking, or a related discipline.
Required Skills
• Minimum 4–8 years of hands-on experience in Treasury and/or Trade Finance Operations, preferably within a commodities trading company, multinational corporation, or financial institution.
• Good understanding of international trade finance, including Incoterms, Letters of Credit (LCs), Bank Guarantees (BGs), Documentary Collections, and related trade finance instruments.
• Experience with SAP, particularly Treasury & Risk Management (TRM) modules, will be highly advantageous.
• Familiarity with Treasury Management Systems (TMS) and corporate e-banking platforms.
• Strong analytical and problem-solving skills with advanced proficiency in Microsoft Excel.
• Excellent communication and stakeholder management skills, with the ability to work effectively across internal teams and external banking partners.
Preferred Skills
• Experience with SAP, particularly Treasury & Risk Management (TRM) modules, will be highly advantageous.
Pay range and compensation package
• Salary ranges between S$6,000 to S$7,000 per month
Equal Opportunity Statement
• Only shortlisted candidates will be notified.
Additional Information
• Please send your application directly via [email protected] for a faster response.
• (Jann) Tan Wei Ying (R1103708)
• Email Address: [email protected]
• Recruit Express Pte Ltd; EA Licence No 99C4599



