Corporate Finance Manager, Treasury - Chicago, IL.
Archer Daniels Midland
Corporate Finance Manager, Treasury – Chicago, IL
Treasury
This is a full time, exempt position
Position Summary:
The Corporate Finance Manager position is an excellent opportunity to support ADM’s financial performance and apply advanced financial theory in a corporate treasury environment by working cross-functionally throughout the company to ensure that ADM has the capital resources to continue to grow the business globally. The role actively interfaces with ADM’s bank group on the company’s various Capital Markets transactions.
The successful candidate will work closely with the global Treasury and Finance leadership team to support ADM’s capital allocation framework, drive actions that improve ADM’s financial performance and mitigate many key risks including liquidity, FX, interest rate and counterparty risks. This is a demanding and rewarding developmental position that will report to the North American Regional Treasurer in Chicago.
Responsibilities:Lead ADM’s Capital Markets and North American FX desksLead the capital planning process for ADM’s 5 year plan, annual plan and monthly forecastPrepare and recommend ADM’s annual shareholder return strategyPerform ad hoc analysis for ADM’s senior management/Board of DirectorsEnhance capital market transaction proposals provided by ADM’s bank groupDevelop trading strategies for the purchase and sale of equity investmentsDevelop dynamic proposals for asset liability management to manage capital structure, FX, interest rate and liquidity risksCollaborate with the Enterprise Risk Management group to track ADM’s key risks related to Treasury’s transactionsInterface with rating agencies and lead preparation of materials for annual meetingsManage key liquidity facilities including AR securitization and inventory financePosition Requirements:Bachelor’s degree in finance, accounting, economics, engineering, or business related field with a minimum of 5 years relevant professional experienceTreasury, financial markets, corporate development, strategy, or investment banking experience preferredMBA &/or CFA preferredAbility to work independently as well as in a team environmentDemonstrated capacity to perform in a fast-paced work environmentAbility to communicate complex ideas effectivelyStrong interpersonal skillsMust be fluent in Excel and PowerPointExtremely strong attention to detailExcited about this role but don’t meet every requirement listed? Studies show that often applicants will self-select out if they don’t check every box. We encourage you to apply anyway. You may be just the right candidate for this role or another one of our openings.
ADM requires the successful completion of a background check.
AJCIND
REF:87492BR
Treasury
This is a full time, exempt position
Position Summary:
The Corporate Finance Manager position is an excellent opportunity to support ADM’s financial performance and apply advanced financial theory in a corporate treasury environment by working cross-functionally throughout the company to ensure that ADM has the capital resources to continue to grow the business globally. The role actively interfaces with ADM’s bank group on the company’s various Capital Markets transactions.
The successful candidate will work closely with the global Treasury and Finance leadership team to support ADM’s capital allocation framework, drive actions that improve ADM’s financial performance and mitigate many key risks including liquidity, FX, interest rate and counterparty risks. This is a demanding and rewarding developmental position that will report to the North American Regional Treasurer in Chicago.
Responsibilities:Lead ADM’s Capital Markets and North American FX desksLead the capital planning process for ADM’s 5 year plan, annual plan and monthly forecastPrepare and recommend ADM’s annual shareholder return strategyPerform ad hoc analysis for ADM’s senior management/Board of DirectorsEnhance capital market transaction proposals provided by ADM’s bank groupDevelop trading strategies for the purchase and sale of equity investmentsDevelop dynamic proposals for asset liability management to manage capital structure, FX, interest rate and liquidity risksCollaborate with the Enterprise Risk Management group to track ADM’s key risks related to Treasury’s transactionsInterface with rating agencies and lead preparation of materials for annual meetingsManage key liquidity facilities including AR securitization and inventory financePosition Requirements:Bachelor’s degree in finance, accounting, economics, engineering, or business related field with a minimum of 5 years relevant professional experienceTreasury, financial markets, corporate development, strategy, or investment banking experience preferredMBA &/or CFA preferredAbility to work independently as well as in a team environmentDemonstrated capacity to perform in a fast-paced work environmentAbility to communicate complex ideas effectivelyStrong interpersonal skillsMust be fluent in Excel and PowerPointExtremely strong attention to detailExcited about this role but don’t meet every requirement listed? Studies show that often applicants will self-select out if they don’t check every box. We encourage you to apply anyway. You may be just the right candidate for this role or another one of our openings.
ADM requires the successful completion of a background check.
AJCIND
REF:87492BR
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