Plantation, Florida, United States
Responsible for converting contracts to inventory or cash. Daily initiation of purchases, inventory and deliveries of coffee/cocoa, coco-trading, off-take agreements, and repurchase programs.
Specialist, Physical Trade Settlement Stonex Commodity Solutions LLC
• Target investment strategies that leverage my sector expertise. • Search for inefficiencies in niche markets. • Increase business relationships by enhancing operational frameworks. • Focus on a series of data platforms and create strong core-operating model for long-term growth potential. • Develop of partnerships to accelerate growth and create value for all stakeholders • Drive value and strive support to the management team. • Managing financial risk by creating differentiated insights on how to succeed value-based care.
Risk Management Consultant_ • Promoted for a new strategic internal consulting assignment to advice on proposals affecting new businesses, tactical actions and resource allocations for continuing projects, especially related to M&A activities. • Analyze customers hedging operations in order to determine their cash market exposure, price sensitivity, and futures risk. • Performs market analysis, including reports on key financial data, illustrate this data graphically and translate complex findings into written text. • Forecast and track sales trends, basis changes and any other information pertaining to market grains and oilseeds. • Develop business by gaining new contracts, analyzing their logistical problems and creating new solutions. • Responsible for monitor and analyze daily futures and options open positions, and effectively execute all related pricing initiatives and open contracts on a discrete perform accountability. • Responsible for planning best logistic options, negotiate with transportation suppliers best logistic initiatives. • Direct assist in new compliance trading requirements, market reports, and new OTC hedging initiatives.
• Review daily reports for all clients with margin call (OTC & Futures), daily cash transfers, data entry into the ETT system, assist the operations and documents departments on a daily basis, participates in analysis and reconciliation of positions and processes customer requests (positions offset, wire transfers). • Accept and place and Notifies customers of filled orders, margin positions and other pertinent information and serves as a back-up resource to check preliminary reports against tickets and trades with daily statements • Reconciles accounts and updates customer information, including hedge records, purchases, open orders and provides assistance to customers with the completion of account papers. • Process EFR/EFP trades and identify which ones need Compliance/Risk approval, write trade tickets, enter trades onto the platform and confirm to the brokers and/or customers when each position is filled. • Elaborate/or Collaborate in the distribution of daily/weekly and USDA monthly reports and any other market report. • Ensures the market and credit risk on non-traditional transactions is captured appropriately, create commissions and financial reports and presentations. • Attends trade conferences, seminars and symposiums to represent products, increase contact with existing client base and identify new opportunities and responds and provides proper follow-up to all incoming inquiries from the corporate web-site and other marketing programs. • Greets public in person and on the telephone, provides general information, answers questions and directs individuals to appropriate party as necessary and maintains up-to-date information on current and prospective customers, especially email distribution lists. • Performs market analysis, including reporting on commodities production, weather, supply and demand variables, and provides risk mitigation and margin enhancement strategies for clients (Grains and Softs).