VENTURA COMMODITIES DMCC
مجموع سنوات الخبرة :20 years, 1 أشهر
situated in Dubai. VCD trades in a diversified
portfolio of products that are classified as, Agro & Consumer Goods, Sulphur & BITUMEN etc.
VIT) is an international commodity trading house with its headquarters situated
in Singapore. VIT trades in a diversified portfolio of products that are classified as, Agro & Consumer Goods, Sulphur &
Fertilizers, Steel & Scrap, and Others In a short span of time, VIT has expanded its network across various continents)
Working as TRADER: Location: - Myanmar/Vietnam/Singapore
Key Deliverables
Managing four major products, i.e. Steel, Bitumen, Fertilizers, and Rice & Pulses.
Having strong procurement sources in Vietnam and Myanmar for Rice (Bulk & Containers).
Dealing directly with customer as per market demand and requirement.
Check and procurement the material as per customer requirement.
Trouble shooting for quality issues from both ends i.e. seller & buyer.
Material management, Procurement planning & Quality Control, Logistics & Shipments
Marketing management, for Steel and Bitumen.
Securing payment realizations as well as arranging fund transfers to H.O.
Negotiating & Servicing Sales Contracts of all products with key focus on quality and shipment deadlines.
Participating in Govt. Tenders and procuring order for supply of Bitumen to the MOC & MEC, Myanmar.
Managing entire branch operations, including Finance, HR & Admin.
Handling over all country operation with excellent problem solving skills & result oriented focus.
Olam International is a leading agri-business operating from seed to shelf in 65 countries, supplying food and
industrial raw materials to over 13, 600 customers worldwide. Olam is having team of 23, 000 employees has built a
leadership position in many businesses including cocoa, coffee, cashew, rice and cotton. Panasia is a subsidiary of
OLAM SINGAPORE and dealing in TIMBER import from Myanmar and
Key Deliveries
Debtors & Creditors Management.
Preparing different kind of MIS reports like site exp., consumable items, Other overheads.
Installation of Accounting & Inventory systems in the company.
Classification of transactions to be grouped under different heads of accounts.
Checking & Clearing of Head Office Expenses.
Checking & Clearing traveling bills of sales staff.
Dealing with bank & handling routine bank/cash transactions.
Monthly MIS and NIS- Trial Balance & P&L.
Coordination with Head Office
Pay Roll Accounting.
Weekly Bank Planning & Fund Requirement
Filing Sales Tax Returns.
Debit / Credit Note
TDS - Professional, Contractor & Rent.
Recording of Journal, Purchase and Sale bills vouchers
Maintaining the Imp rest, Advance accounts of staff.
Final settlement of Employees.
Reconciliation of accounts such as Bank, Debtors & Creditors
Issue Advance to Vendors and Final Payments.
Maintaining fixed assets register.
Interacting with Internal, Tax and Statutory Auditors, Solving queries and
taking corrective actions.
Follow up with customers for outstanding payments
Preparing of Bills of exchange.
Maintain Currency Exchange Report
Maintain M2M on weekly basis.
Maintain Currency Exposure.
Maintain Stock Exposure on Daily Basis.
Dealing with shipping lines- Freight negotiations.
Documents checking i.e. - OBL, Packing list and phyto certificate etc.