
DILIP L. SINGH
About Candidate
Multimarket Trade Finance Leader – more than a decade directing operations & product innovation across India, Hong Kong & the GCC, aligning strategy, risk & client service to fuel sustainable growth.
First to Market Product Pioneer – conceived and launched Oil LC / SBLC Confirmation and Back-to-Back LC offerings, cementing competitive advantage and boosting fee income.
Strategic Trade Finance Architect – directs end to end LC, SBLC and supply chain finance operations, ensuring full regulatory alignment (DFSA / HKMA / RBI / OFAC / EU / UN).
Product to Market Champion – drives design & rollout of high margin trade products that expand wallet share & strengthen client stickiness.
Risk & Compliance Custodian – embeds AML / CFT / TBML controls, crafts global trade risk participation policies & instils zero defect cultures.
Client Centric Deal Maker – forges deep relationships with corporates, FIs & commodity traders, pairing advisory insight with swift execution.
Data Driven Operator – leverages KPI dashboards & reconciliations to shorten TAT, uplift SLA adherence & optimise
credit line utilisation.
Change Leader & UAT Specialist – steers system migrations, UAT cycles & process re-engineering to digitalise trade finance
workflows.
Cross Border Team Builder – mentors diverse teams, instilling accountability and continuous improvement mind sets.
Education
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Experiences
Lead a seven-member team managing an oil-sector LC portfolio of USD 3 billion, ensuring flawless processing and compliance with global sanctions programmes. Drive SLA governance, cutting turnaround time and boosting straight-through processing rates. Oversee daily LC / SBLC issuance, document examination and financing workflows; resolve complex client queries in partnership with Sales and Product. Administer FCC checks and red-flag monitoring (vessels, carriers, commodities) to mitigate TBML risk. Oversaw trade, payments, and treasury transactions for institutional clients in Dubai, Europe, and Africa, while cultivating and managing banking relationships across the GCC, Europe, and Africa. Coordinate inter-bank approvals for import LCs, trust receipts, overdrafts and export-document submissions to optimize credit-line utilisation and cash-flow planning. Champion ancillary-income growth by mapping client needs to trade, FX and cash-management solutions. Maintain end-to-end receivables control for centralised stations, collaborating with sourcing & trading desks to accelerate collections. Provide regulatory assurance by aligning every transaction with DFSA and RBI guidelines and internal risk appetite. Supply financial data to Finance & Planning, enabling accurate budgeting and commercial-costing oversight. Mentor, appraise and upskill team members, embedding a culture of accountability and continuous improvement. Liaise with Technology on system enhancements and UAT cycles to elevate processing resilience. Manage daily SWIFT traffic (e.g., MT103 / MT202) and settlement reconciliations for seamless treasury funding.
Owned import & trade-credit product P&L, tracking volume, margin and risk drivers. Drafted and critically reviewed Master Risk Participation documentation, ensuring full compliance with all legal, regulatory, and internal requirements. Originated / distributed FI assets, deepening deal flow with counter-party banks. Drafted materials for new-product approval committees and secured timely sign-offs. Partnered with Digital Banking on product digitalisation and process automation. Conducted portfolio reviews and stress tests to fine-tune credit appetite. Coordinated cross-sell campaigns with Relationship & Treasury teams. Supported training programmes for frontline staff on new trade offerings.
Delivered real-time advisory to corporates, lifting client satisfaction and fee revenue. Enforced OFAC / UN / EU sanctions screening and AML/CFT safeguards. Monitored SLAs, driving faster turnaround with Operations & Technology. Managed full trade-document lifecycle, LC issuance and financing loans. Ensured regulatory compliance with HKMA and RBI standards. Followed up outstanding bills / loans, shrinking past-due exposures. Guided junior team members on complex structured-trade cases.
Processed LC, BG and commodity-finance transactions in line with bank policy. Liaised with Structured-Finance RMs to structure bespoke trade deals. Managed import/export collections, negotiation and discounting of bills. Verified credit-approval conditions pre-drawdown and flagged exceptions. Provided training that lowered defect ratios across processing teams. Supported branches in Asia / ME for buyers’ credit documentation. Led reconciliations and MIS reporting to senior management.
Managed LC & BG desks, co-authored trade-processing manual that standardized nationwide operations.
Oversaw daily treasury, statutory reporting and trade documentation for mineral imports/exports.
Supported audit, reconciliations and compliance reviews across SME clientele.



