Gather, analyse, and document business requirements for core Trade Finance modules.
Work closely with business users and vendor teams to configure Trade Finance applications and validate workflows.
Support solution design across LCs, Guarantees, Bills/Collections, Open Account, and Trade Loans, including integration with core banking and allied systems.
Prepare BRDs, FSDs, use cases, test scenarios, and data flow diagrams.
Conduct gap analysis against vendor capabilities and regulatory updates (including UCP, URC, URR guidelines).
Facilitate workshops, cross-functional alignment, and support SIT/UAT cycles.
Assist implementation planning and post-deployment verification.