- Review and synthetize daily trading activity through different internal/external channels, ensuring accurate feed of front office system, and internal confirmations when applicable
- Reconcile daily futures/cash position with commercial team
- Review and communicate (internally and externally) futures pricing activity
- Review, execute and report EFP orders
- Manage FX exposure hedging
- Synthetize and report destination market intelligence
- Ad hoc business studies preparation & information collection
- Participate and take responsibilities of various research processes, data collection, synthesis, communication
- Close coordination with various stakeholders (Execution, Finance, Risk) to facilitate trade flow
- Min. 2 years of experience in logistics/operations
- Good verbal and written communication skills and able to interact professionally with co-workers, Company business associates and the general public
- Strong conceptual and analytical thinking
- Good Microsoft Office skills (Excel & Power Point)
- Good English both oral and written