Role Purpose:
Candidate will be required to work on shift basis including weekendsin Alexandria branch
Trade is a core product for the Group across various customer segments, including GBM, CMB, and Private Banking.The jobholder is responsible for providing a high level of customer service by ensuring processing of Global Trade Solution transactions are actioned within the service level parameters, minimising operational risk by applying a high degree of attention and ensuring accuracy.The job holder will need a good understanding in Trade operations in terms of technical knowledge, thorough understanding of International Chamber of Commerce (ICC) published rules as well as TRF FIM, Internal Controls and Group Compliance Policy including international sanctions and FCC etc.
Principal Accountabilities:Key activities and decision-making areas:
Impact on the Business
Customers / Stakeholders:
Leadership & Teamwork:
Role Context:
- Ensure the return/forward of any requested GTS documents either back abroad to the supplier or his bank or even forward the documents to other local bank inside Egypt as per the instructions of the OPS team.- Ensure that all outstanding documents has been Archived within its time frame.-.- Timely log and handling of CCL complaints. - Handling of DMT tasks against the DMT controls set and DMT frontline checklist. - Following of the approved DMT SOP and all the procedure set in that regards.- Ensure that every and single set of documents is Scanned appropriately against the physical set .- Ensure that All GTEE Letters are upload daily with the correct reference within the agreed SLA .- Ensure that documents are being sent to its correct destination within its agreed time frame .- Ensure that all the inward Mail has been acknowledged correctly on the MPL system and delivered to its target destination. -Clean up queues / outstanding documents for more than 60 days.- Ensure that only the finalized documents are delivered to the appropriate customer document owner.- Handling credit advice, export custom certificate and external signature verification with the agreed SLA - Ensure weekly physical reconciliation against the post approval queue, report uncollected documents pending acceptance and retirement for more than 60 days and update its related uncollected register and updated the documents pending acceptance and retirement to its related register-Ensure that the scanning controls are applied as per the Standard operating procedure -Ensure that any exceptions / errors on WDM is handled in a timely manner -Ensure that the approved documents in the WDM is handled as per the SOP-Checking Original GTEE sent form branches to ensure that it has been handled as per the procedure before filling