Job Purpose: 工作概述: To execute the day to day branch operations transactions for Trade Finance. 为贸易融资部执行日常分行操作交易; To co-ordinate day to day transactions with TSU, Shanghai, India, Customers and relationship managers. 与TSU、上海、印度、客户及关系经理协调日常交易; To help in automation projects for Shanghai Operations team. 帮助上海营运团队实施自动化项目; To provide transaction processing support to relationship manager. 为关系经理提供交易处理报告; To coordinate with various groups for activities of the branch. 针对分行的各项活动,与各团队进行协调。 Core Responsibility: 核心职责: Handling all Trade Finance day to day transactions. 处理所有贸易融资日常交易; Preparing OPS memo to TSU team for processing various trade transactions 为TSU团队准备OPS备忘录,以便处理各种贸易交易; Monitoring and resolving all the transactions' issues from GTSU Shanghai team in India. 在印度对GTSU上海团队提交的所有交易问题进行监督并予以解决; Handling customers and relationship managers' queries related to all Trade Finance transactions. 处理客户与关系经理提出的、与各种贸易融资交易相关的询问; Preparing daily/weekly overdue reports. 准备每日/每周逾期报告; Providing information to business / IFIG for Banker’s Acceptance arrangement. 向业务/ IFIG提供信息,以便进行银行承兑安排; Monitoring Corporate Account opening and servicing Operations 对公司账户的开户和维护操作进行监督; Monitoring RMA pending exchange 对RMA未决交易进行监督; Helping in automation of Shanghai Branch operations 帮助上海分行实现自动化运营; Monitoring & Processing loan transactions outsourced to Shanghai COPS and Shanghai GTSU in India 在印度对外包给上海COPS和上海GTSU的贷款交易进行监督和处理; Providing various month-end report and consolidating report for senior management 为高级管理层提供各种月末报告并整合报告; To handle outward/inward remittance for FCY. 处理外币汇出/汇入汇款。 处理日常交易文件归档。 To handle daily transaction filing.