The Trade Finance Analyst will be responsible for ensuring accurate and timely invoice reconciliation and payment for Customs brokers invoices, ensuring compliance with payment terms/methods, financial policies, and international trade regulations. This role involves researching and resolving payment discrepancies, assisting with process implementation, and documenting standard operating procedures (SOPs). The analyst will also perform daily system checks, generate management reports, analyze financial data to identify trends and opportunities, and monitor key performance indicators (KPIs). Additionally, the role focuses on identifying and executing process improvements, supporting system upgrades and automation initiatives, and collaborating with internal teams and external Customs brokers. The analyst will present findings and recommendations to leadership and stakeholders.
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Job Type
Full-time
Career Level
Mid Level