To secure a challenging, responsible and rewarding position in a Professional organization that offers growth potential, career Advancement and constant challenges.
1. Operating (HSX) - Nhavasheva Karachi Express Service South East Asia / Far East Trade & (TIP) Thailand India Pakistan service of ONE LINE NETWORK.
2. Preparing weekly schedule / Flyer and circulate in the market as per rotation.
3. Communicating with (PKKHI) Box operators, NVOCC & DEAD FREIGHT customers regarding their shipment/lots for Fareast trades slots.
4. Booking confirmation authority / Vessel planning as per allocation and Principals instruction.
5. Visiting customer for running / new business prospects. Fetching up market information and reporting to local office and Principal.
6. Close coordination with Terminals regarding final planning/confirmations ready and not ready containers especially South Asia Pakistan Terminal (SAPT) Karachi International Containers Terminal (KICT), Pakistan International Containers Terminal (PICT) & Qasim International Containers Terminal (QICT).
7. Visiting Terminal on arrival of vessel. Planning cargo, supervising readiness of cargo with communicate to all box operators & NVOCCs.
8. Co-ordination with Principal on daily basis and update daily activity & market report.
9. Follow up, supervising & Recovery of SLOT payments from local NVOCC.
10. Prepare freight list as per rates and agreement.
11. Update tariff on climax as per rate agreement.
12. After vessel sailing update and send TDR / Agent/CNEE details to next POD/FPOD.
13. Arrange transshipments for 2nd leg vessels and coordination with Principal.
14. Collect NTN numbers and inform loading and discharging to boarding operations for customs & federal board of revenue.
15. Correspondence with accounts and finance team & reporting to Manager and Director.
16. Working Jan 2018 to till date.
1. Correspondence with Port of loading agents NHAVASHEVA, MUNDRA, SINGAPORE, JEBEL ALI & PORTKELANG etc.
2. Update daily booking sheet of GES line containers follow up customer’s service department regarding booking on daily basis.
3. Make daily inventory and stock movement report.
4. Follow up with POL agents regarding movement of containers on daily basis
5. Slot booking for GES line containers.
6. Before berthing of every vessel send planning to POD agents and make TDR after sailing vessel and inform to POD agents rechecking of bill of lading.
7. Correspondence with PICT, SAPT, KICT and QICT regarding import and export containers.
Optional:
• Marketing of GES Line containers.
ADRIMAL FEEDERS as an Agent
Responsibilities:
1. Make upcoming vessel schedule & flyer every week with rotation and update to all customers.
2. Informing customers and follow up regarding their imports containers & update terminal regarding upcoming import and send EDI etc.
3. Daily close co-ordination with terminals regarding recap for ready and not ready containers and permission to terminal to gate-in containers as per planning.
4. Slot bookings as per allocation, Slot rates confirmation to customers for smooth booking and loading on vessel & close follow-up with customers.
5. Collecting agents detail of next port before berthing of vessel. If TBL inform in time to PPL.
6. Make TDR, CBF and FLS and send EDI to next port & principle.
7. Collect NTN numbers and inform loading and discharging to boarding operations for customs and federal board of revenue.
ECON (A PLUS) SHIPPING as an Agent
Responsibilities:
1. Make containers release order from online system.
2. Correspondence with carrier for upcoming vessels for booking and rates.
3. Co-ordination with principle & agents regarding new booking.
4. Making bill of lading (optional).
5. Collecting Carrier/Service bill of lading from vessel operator for PPL and agents.
6. Worked from Feb 2017 to Jan 2018
1. Corresponding and dealing with the clients & responding to all their queries and complaints efficiently and promptly.
2. Full Customer support including vessel schedules, transshipment details updates from Port of discharge, updating exchange rates on sailing of every vessel, import arrival notices, filing VIR’s in WEBOC system.
3. Lining-up Income tax matters with client who loaded with X-press Feeder Vessel’s. Collection of NTN numbers from customers, preparing file of income tax data, maintain FBR record regularly,
4. Arranging Data through online software for Import cargo from loading port and extract for updating customers accordingly
5. Prepare Data for Export through online software for reporting to POD agents.
6. Arrange approvals for loading of special cargo such as DG, Flat racks etc.
7. Make visit to customers and Terminal.
8. Follow up Operations Manager assigned tasks.
9. Filling request for online income tax Port Clearance.
10. Share Special assigned task to promote business with respective Marketing and business development and Operational Team.
11. Performing and promoting 09 services (KDS,SMX HLS,PMX,PIX,AS1,CPX,KME,AIS & CIX) at PICT,KICT & QICT to plan the vessel within allocation provided by the principles, complaining booking from customers & coordinate with Terminal staff to plan the Vessel
12. Check Vessel ETA on daily basis by email. Update customers and terminal with fresh ETA.
13. Make upcoming vessel schedule every week with allocation, codes, and rotation.
14. Update all customers regarding new services vessels for their exports containers.
15. Worked from Oct 2014 to Feb 2017.
1. Corresponding and dealing with the clients & responding to all their queries and complaints efficiently and promptly.
2. Dealing with the prestigious multinational companies like IAL Shipping Karachi, Ali & Trading Company, Timber & Terminal, M. Sharif& Company, The Steel ways group of companies, Jhangda industries, O.S Corporation.
3. Figure achieved in Motor, Marine & Fire with in a cost effectitve manners.
4. Specially Working to Soneri Bank. Summit Bank, Bank Alfalah . JS bank etc
5. Working from Aug 2013 to May 2014