What are the responsibilities and job description for the Senior Financial Analyst, Treasury - Chicago, IL position at Archer Daniels Midland?
Senior Financial Analyst, Treasury – Chicago, IL
This is a full time, exempt position
Position Summary:
The Treasury’s Senior Financial Analyst position is an excellent opportunity to understand ADM’s financial performance 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 participates in ADM’s capital forecast process and collaborates 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, while protecting ADM’s balance sheet and credit ratings. This is a fast paced and rewarding developmental position that will report to the Corporate Finance Manager in Chicago.
Job Responsibilities:
This is a full time, exempt position
Position Summary:
The Treasury’s Senior Financial Analyst position is an excellent opportunity to understand ADM’s financial performance 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 participates in ADM’s capital forecast process and collaborates 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, while protecting ADM’s balance sheet and credit ratings. This is a fast paced and rewarding developmental position that will report to the Corporate Finance Manager in Chicago.
Job Responsibilities:
- Monitor rating agency metrics and prepare the annual meeting materials
- Collaborate with the financial planning & analysis team on ADM’s 5 year plan, annual plan and monthly forecast process
- Manage ADM’s various financing facilities and liquidity positions
- Monitor the compliance of ADM’s debt covenants
- Prepare and recommend ADM’s annual shareholder return strategy
- Perform ad hoc analysis for ADM’s senior management/Board of Directors
- Collaborate with ADM’s bank group to evaluate various capital markets transactions
- Collaborate with the Enterprise Risk Management group to track key risks related to Treasury’s transactions
- Bachelor’s degree in finance, accounting, economics, engineering, or business related field with a minimum of 3 years relevant professional experience; MBA is preferred
- Robust knowledge of financial statements and leverage metrics
- Ability to work independently as well as in a team environment
- Current or previous experience at a rating agency, corporate treasury, FP&A or Big 4 is a plus
- Demonstrated capacity to perform in a fast-paced work environment
- Ability to communicate complex ideas effectively
- Strong interpersonal skills
- Must be proficient in Excel and PowerPoint
Excited about this role but don’t think you meet every requirement listed? 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.
REF:96373BR
ADM requires the successful completion of a background check.
REF:96373BR