Settlements Officer - 8 month contract
At Ampol, we believe in the Power of Us -the extraordinary power of people to connect, act, and make adifference.
As a leading energy company operating acrossAustralia, New Zealand, Singapore and from the United States, our work spansfuel supply, energy solutions, convenience retail, infrastructure, trading andshipping. Every role at Ampol plays a part in something bigger - poweringprogress for our customers, communities, and people.
Your career here is yours to shape. We back our peoplewith real opportunities, the tools to grow, and a culture that rewardsownership and initiative. Whether you’re deepening your expertise or taking onsomething new, we’ll support you to power a career that works for you.
We’re building a workplace where everyone feelswelcome, respected, and valued - because when people are free to be themselves,powerful things happen
About Trading & Shipping
Ourpurpose at Ampol is to power better journeys today and tomorrow. Our Tradingand Shipping team is key to achieving this, not only supplying our customer’sneeds today, but evolving as the energy transition takes place to supply ourcustomers well into the future.
Wetake pride in our people and value innovation, sustainability, and customersatisfaction. If you’re a professional committed to excellence, Ampol islooking for you.
About The Role
Support the end to end settlementactivities for Ampol Singapore Trading (AST), ensuring accurate and timelyinvoicing, payment processing, cash application, and reconciliation of physicalcommodity transactions while maintaining compliance with internal controls andcontractual requirements.
Key Responsibilities
Trade Settlements
- Process third-party and intercompany purchase and sales invoices (provisional and final).
- Verify pricing, quantities, and contractual terms with counterparties.
- Generate and issue AR invoices accurately and on a timely basis.
- Process AP invoices and ensure appropriate approvals are obtained.
- Monitor special pricing adjustments and invoice amendments.
Accounts Receivable
- Monitor outstanding receivables and follow up with counterparties.
- Perform daily cash application and allocation of receipts.
- Investigate and resolve payment discrepancies.
- Support overdue collection activities.
Accounts Payable
- Review payment supporting documents.
- Prepare payment requests and coordinate with Treasury.
- Investigate rejected, returned, or failed payments.
- Maintain vendor banking details in accordance with internal controls.
Physical Trading Support
- Review supporting documents including contracts, nominations, bills of lading, inspection certificates and settlement statements.
- Process freight, demurrage, storage, inspection and other ancillary costs.
- Coordinate with Operations, Chartering, Trade Accounting, Middle Office and Treasury teams.
Reconciliations & Controls
- Maintain settlement trackers and ensure completeness of open items.
- Perform reconciliation of trade settlements and cash transactions.
- Investigate settlement breaks and resolve exceptions promptly.
- Ensure compliance with company policies and audit requirements.
Month-End Activities
- Support month end close by ensuring invoices and settlements are processed within deadlines.
- Provide status of outstanding invoices, disputes and unmatched cash.
- Assist with audit requests and documentation.
Skills & Experience
- 2-5 years' experience in commodity trading, shipping, trade finance, settlements, AR/AP or related finance functions.
- Understanding of physical commodities trading processes.
- Strong Excel skills.
- Experience working with ERP and/or CTRM systems (SAP, Allegro, Aspect, Endur or similar).
- Strong attention to detail and organisational skills.
- Ability to work across multiple time zones.
- Oil, gas, refined products or shipping industry experience.
- Experience with letters of credit, LOIs, freight and demurrage settlements.