2000 - 2012- Coordinate for transshipment containers, such as arrange connecting vessel for transshipment cargoes to ensure container smooth delivery to Destination
- Monitor the connection of both 1st and 2nd vessel to ensure containers connect on the intended vsl , should update load port and discharge port is there any changes of connecting vessel.
- Handle emails & calls from oversea agent, head office and shipper or consignee, coordinate or give direct response as required
- Prepare DG certificate
- Collect payments and monitor for the payment timely
- Liaise with Outside feeders, Agencies and Head office and Port of Authority when necessary
- Prepare weekly report , Statistic report and Rollover problem report.
- Close Onboard list for in house system (Sealiner)
- Apply permit via Trade net for Arms and Detonator cargoes
- Monitor vessel allocation and liaise with vessel operator and HQ
- Portnet processing
Hanjin Shipping
- Senoir Asst
Neuilly sur Seine1998 - 2000- Prepare Export documents (bill of lading)
- Release Bill Of Lading
- Liaise with shipper & agency
- Provide information and assist in the preparation of invoice to the customers
- Check On board list to ensure container loaded onto the intended vsl as per planned
- Verify invoice from feeder operators and PSA bill
- Prepare weekly Statistic report
comenwealth travel
- Tour Consultant
1996 - 1998- Attend to Walk in and calls from customer
- Consult customers regarding information about package Tour
- Leading Group tour to Australia, New Zealand, China and other Asia countries
- Conduct Tour briefing before Tour departure
Fong Ee Industrial Pte Ltd
- Shipping Clerk
1994 - 1996- Checking cost and update into system
- Handle booking enquiry from customers
- Prepare quotation for customers
- Accept order from Oversea customer via email or Fax
- Liaise with oversea suppliers for ordered
- Prepare packing list & Performa invoice
- Arrange booking with Shipping company
- Prepare for draft of Bill of Lading
- Upon shipments arrived arrange arrival notice to customers
- Checking bank documents such as LC and Bill of Lading