Job Description
Key Responsibilities Perform end-to-end financial settlement of physical and paper commodity trades Reconcile trade values, invoices, and payments with internal records and counterparties Ensure accurate posting of journal entries and trade-related transactions in the accounting system Monitor and manage accounts receivable/payable related to trading activities Collaborate with traders, finance, and risk teams to ensure accurate P&L reporting Assist in month-end closing, financial reporting, and audit preparation Support compliance with internal controls, accounting standards, and regulatory requirements
Requirements Degree in Accounting, Finance, or a related field 3–5 years of experience in finance, accounting, or settlements (preferably in commodities or trading) Strong understanding of financial instruments, trade lifecycle, and accounting principles Proficiency in Excel and ERP/accounting systems (e.g., SAP, Oracle, or similar) High attention to detail and strong analytical ski...