Maintain day to day Commodity Trade Finance banking relationships for assigned banks and regionsPerform any commodity trade finance requirements linked to relevant commercial contractHandle all credit facility application and renewal with existing banksPrepare credit facility materialsProcessing of all Trade Finance products with specific focus on export LC advising and confirmationPerform necessary CTF management reportingHandle all bank accounts opening and forms as neededTX Risk: handling with banks or third party FX providersWork on new initiatives and develop projects as neededHelp and support the Treasury Officer for cash management and Treasury tasks as needed8+ years of experience working in relevant positions mainly in the commodity corporate world with proven external referencesVery strong problem solving and project management skills with great attention to detailFluency in EnglishExcellent verbal and written communication skillsGood with numbers and figuresSuperior knowledge of Excel, MS Office and experience using CTRMsAbility to work well under pressure and manage sensitive and confidential informationAbility to work as part of a team effectively using strong collaborative and communication skillsPragmatic, flexible, multitasking with excellent organisational skills and ability to work independentlyAble to manage relationships with existing and new banking partners as assigned