Trade Finance Analyst
Current-Managed nostro account reconciliations, ensuring accuracy and timely reporting of overseas fund receipts.-Reported client receptions for funds and provided comprehensive updates to Treasury for FX rates via FXTool and FX4Cash platforms.-Processed domestic trade payments, ensuring compliance with regulatory standards and organizational policies.-Monitored and reported funds received to GCMS (Global Cash Management Systems), ensuring seamless tracking and updates.-Conducted compliance checks and issued client confirmations before releasing funds, maintaining strict adherence to compliance protocols.-Handled agency commissions and processed export claims, ensuring timely disbursement and reporting.-Collaborated with cross-functional teams to streamline workflows and enhance the efficiency of trade operations.