An international bank is seeking a new addition to its busy growing Trade Finance department. Your duties will include: Processing all aspects of Import/Export L/C’s, Guarantees and Bills for Collection SWIFT payments CDD/AML checking Your experience must include: Proven Trade Finance processing experience gained within banking Good IT skills to include Excel & SWIFT etc Team player with excellent communication skills both written and oral Please note this role will be working 5 days a week in the London office