Experienced in leading cross-functional teams, fostering collaboration, and implementing best
practices to enhance operational efficiency and drive continuous improvement. Proficient in
analyzing market trends, conducting data-driven analysis, and making strategic decisions to
improve supply chain performance and meet business objectives.
Oversee all team activities, ensuring effective coordination and smooth execution of import andexport processes. Communicate efficiently with suppliers, clearing agents, freight forwarders, and truckers toensure timely and accurate delivery of goods. Handle payment processing for vendors, indenters, and agents, maintaining accurate financialrecords and fostering strong relationships Managing export shipments, documents, Insurance, loading, etc
o Coordinating with the supplier regarding shipping instructions, BL draft, OBL.o Analyzing Pre-shipment, Post shipment, and share report daily.o Updating all shipments in the pipeline and at a port on daily basis.o Managing the shipping documents from the supplier before the ETA.o Follow up with finance dept. for advance payments etc.o Coordinating with the clearing agent for a smooth clearance process.o Liaison with logistics team for timely release of the OBL.o Insurance certificates scrutiny and proceed payments.o Liaison with the sales team and share details for material sales
o Updating the OPSI, after setting the target of sales from sales team.
o Managing the P.O process with Chines HQ team.
o Follow up for draft documents for shipments.
o Preparing goods declaration of products in china custom.
o Preparing documents as per budgeted cost saving plan.
o Follow up with supplier to submit documents into bank in time frame.
o Examine the fta, (cfr & fob prices) and saving cost of direct material.
o Coordinating with clearing agent for correct TP filling in customs.
o Analyzing the duty calculations on clearing agent of duty & taxes.
o Preparing foc invoice for samples, claims, etc.
o Liaison with Finance & Inventory Dept. on monthly basis regarding all shipments
o Prepare Export documentation and liaison with export agent.
Preparation of monthly payment of clearing agent.
o Managing claims from insurance company.
o Examine the duty calculations of clearing agent and prepare funds requisition.
o Follow up of empty containers, and send receipts for refund of deposit.
o Check bills of bonded carrier, proceed payment, and release the payment.
o Update the funds monitoring sheet with the help of finance department and mentaine record and report (weekly, monthly, quarterly basis).