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SME - Finance Operations (Structured Trade Finance) @ Trafigura

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 SME - Finance Operations (Structured Trade Finance)

Job Description

Main purpose

Finance Operations (STF) is an independent function responsible for the end-to-end operational management of Trafigura's structured finance portfolio, from transaction onboarding and pre-disbursement control through to ongoing transaction monitoring, debt servicing, exposure reporting, and portfolio analytics.

The function plays a critical control and governance role in the structured finance lifecycle owning the verification and disbursement process, managing covenant and conditions subsequent compliance, administering debt service and financing arrangements, and providing regular exposure reporting to Credit, Accounting, and senior management. Finance Operations (STF) works in close coordination with STF Regional teams, Treasury, Credit, Legal, Distribution, and Accounting, while maintaining independent oversight of operational risk and process integrity across the portfolio.

Key responsibilities

Pre-Disbursement Management

Perform pre-disbursement verifications prior to any disbursement under a loan or prepayment transaction, covering credit limit confirmation, disbursement request validation, legal review sign-off, Conditions Precedent satisfaction, pricing consistency against the Credit Memo, and settlement of pre-disbursement costs; where applicable, additional verifications are performed covering security perfection, independent valuation, credit insurance binding, syndication confirmation, and funding availability.

Upon completion of all verifications, coordinate all required system entries across Trafigura's internal systems and instruct Treasury to disburse with all required supporting documentation.

Transaction Management

Transaction Management covers the lifecycle of each active facility from disbursement through to final repayment

  • Covenant Monitoring
    • Setup a process to maintain a comprehensive covenant register and monitoring calendar
    • Proactively flag covenant stress or potential breaches to relevant stakeholders as defined in SOPs, and maintain audit-ready records of all confirmations and supporting materials
  • Conditions Subsequent (CS) Monitoring
    • Setup a process to maintain a register of all post-disbursement conditions subsequent across active transactions, tracking deadlines and fulfilment status and escalating outstanding items to the relevant stakeholders
    • Coordinate with counterparties and internal legal to obtain and file evidence of CS satisfaction, ensuring the document management system is kept up to date
  • Performance Monitoring Against Contractual Documentation
    • Monitor counterparty performance including delivery schedules, repayment profiles, offtake volumes against the terms set out in each transaction's contractual documentation
    • Manage principal and interest repayment schedules across the portfolio, raise invoices for fees and interest to counterparties
  • Financing Facilities
    • Coordinate all financing activities including cash and interbank funding requests and external loan facility management, ensuring timely and accurate execution of all debt service payments by coordinating with Treasury team.
    • Provide regular updates to funding banks / risk participating institutions on delivery performance, loan rollovers, and offer notices for bank facilities supporting insurance-backed prepayment transactions

P&L Inputs:

  • Provide monthly inputs to Deals Desk on the financing P&L for every transaction.

Required qualifications

  • Experience & Qualifications

  • Click or tap here to enter text.510 years of relevant work experience in structured trade finance, commodity finance, or lending portfolio management at a bank or commodity trading house; experience in the middle office of a commodity-focused bank is particularly relevant
  • MBA in Finance; an undergraduate degree in Engineering is desirable
  • Familiarity with pre-export finance, prepayment facilities, risk participations, ECA structures, and tolling facilities is a strong advantage
  • Technical Skills
    • Ability to interpret legal agreements and term sheets across a range of structured finance products, with an understanding of security arrangements and limited recourse constructs
    • Solid financial analysis skills including covenant monitoring (financial ratios, coverage ratios)
    • Proficiency in Excel; familiarity with covenant monitoring solutions is an advantage
  • Behavioural Competencies
    • Meticulous attention to detail with a strong control mindset
    • Proactive and innovative, with an ability to identify and implement process
    • Strong organisational skills with the ability to manage multiple simultaneous deadlines
    • Excellent written and verbal communication skills in English
    • Collaborative team player who builds effective working relationships across geographies and functions

Department overview

Click or tap here to enter text.

STF is a fast growing department, which sources, structures, arranges and syndicates Finance solutions for Trafiguras clients. The STF portfolio is around ~USD 6 bln and consists of around 120+ Pre-export Finance facilities, Pre-payment facilities, Reserve based Lending facilities etc.

The STF team is made up of around 30 staff members, who are based on Montevideo, Houston, Geneva, Johannesburg, Mumbai, Singapore and Shanghai

Key Relationships     

  • External Counterparties, Banks / Financial Institutions, Insurance Brokers
  • Internal - SF Regional Managers, Deals Desk, Physical Traders, Operators, Trade Finance, Treasury, Corporate Funding, Accounting, Legal, Credit

Equal opportunity employer

We are an Equal Opportunity Employer and take pride in a diverse workforce! We do not discriminate in recruitment, hiring, training, promotion or other employment practices for reasons of race, colour, religion, gender, sexual orientation, national origin, age, marital or veteran status, medical condition or handicap, disability, or any other legally protected status.

Job Classification

Industry: Oil & Gas
Functional Area / Department: Finance & Accounting
Role Category: Treasury
Role: Treasury Operations Manager
Employement Type: Full time

Contact Details:

Company: Trafigura
Location(s): Mumbai

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Keyskills:   financial analysis export finance trade finance pre lending monitoring solutions verbal communication monitoring prepayment excel commodity finance operations financial operations recruitment compliance writing portfolio management risk facilities communication skills

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Trafigura

Founded in 1993, Trafigura is one of the largest physical commodities trading groups in the world. Trafigura sources, stores, transports and delivers a range of raw materials (including oil and refined products and metals and minerals) to clients around the world. The trading business is supported ...