Kotak Mahindra Bank
Jobs
Operations Team Member_WBG Operations (Ops)-Trade Finance Operations_Mumbai
Kotak Mahindra Bank
Operations Team Member_WBG Operations (Ops)-Trade Finance Operations_Mumbai
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Process day-to-day trade finance transactions, coordinate with internal teams, clients, correspondent banks, and processing centers, and resolve discrepancies and operational queries. Review trade documents, issue Letters of Credit, support corporate customer requirements, follow compliance and internal guidelines, and ensure accurate processing within agreed turnaround times. Maintain familiarity with Trade Finance and CMS products while coordinating with CMS, CPC, and Clearing teams.
We are seeking a dynamic and detail-oriented professional to join our Trade Finance Operations team within the Wholesale Banking Group. The ideal candidate will be responsible for handling day-to-day trade transactions, coordinating with internal and external stakeholders, and ensuring timely and error-free execution of trade-related services.
ResponsibilitiesHandle day-to-day trade transactions and understand client requirements.
Coordinate with CPC for transaction processing and discrepancy resolution.
Liaise with various business groups within the bank for operational support.
Ensure error-free and timely execution of trade transactions.
Adhere to compliance and internal operational guidelines.
Coordinate with clients and correspondent banks to resolve queries raised by Trade Finance/CMS Operations.
Issue Letters of Credit and ensure proper documentation.
Conduct initial scrutiny of trade documents before forwarding to CPC for processing.
Attend to front-end requirements of corporate customers.
Coordinate with CPC, CMS, and Clearing teams to ensure timely delivery of customer requirements.
Ensure all transactions are processed within agreed turnaround times (TAT).
Maintain familiarity with Trade Finance and CMS products.
Kotak Mahindra Bank Mumbai, Maharashtra, IND Office
Mumbai, India
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Top Skills:
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Yesterday
Fintech • Payments • Financial Services
Process day-to-day trade finance transactions, coordinate with internal teams, clients, correspondent banks, and processing centers, resolve discrepancies, issue Letters of Credit, scrutinize documentation, support corporate customers, meet turnaround times, and follow compliance and operational guidelines.
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