• Prepare, verify, and manage documentation for export-import operations, including invoices, shipping documents, and regulatory compliance paperwork
• Coordinate with banks for LC (Letter of Credit), bank guarantees, and other trade-related financial transactions
• Manage deposits, withdrawals, and account-related queries with efficiency
• Assist the manager in day-to-day office tasks, including scheduling, correspondence, and follow-ups
• Liaise with shipping agencies, customs agents, and other stakeholders to ensure smooth export-import processes
• Follow up on pending tasks with internal and external parties
• Maintain accurate records, databases, and filing systems to support seamless operations
• Visit banks and other institutions as required to handle documentation, inquiries, or submissions
Job Types: Full-time, Permanent, Fresher
Pay: ?18,000.00 - ?25,000.00 per month
Schedule:
• Day shift
• Morning shift
Supplemental Pay:
• Performance bonus
Experience:
• total work: 1 year (Required)
Work Location: In person
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