Financial Analyst, Treasury - Chicago, IL
Archer Daniels Midland - Location not specified
Posted Jun 10, 2026
Benefits
- Parental leave
- Not verified
- Non-birth-parent leave
- Not verified
- Family-building benefits
-
- Fertility benefits: Not verified
- Adoption assistance: Not verified
- Surrogacy assistance: Not verified
- Mental health support
- Not verified
- Relocation assistance
- Not verified
- Childcare support
- Not verified
- Learning budget
- Not verified
- Verification
- Not verified checked Jun 13, 2026
- Salary
- Not verified
- 401(k) match
- Reported from DOL Form 5500 industry filing (not employer-specific)
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Market context
- U.S. role benchmark (BLS OEWS)
- $106,409 U.S. median for this role
- Projected growth (BLS Employment Projections)
- +7.7% - Faster than average
Matched to SOC 13-2011 - Finance aggregate by role bucket.
Source: U.S. Bureau of Labor Statistics, OEWS, May 2024 and Employment Projections, 2024-2034.
Schedule
- Shift type
- Not verified
- Weekend work
- Not verified
Company
- Equity
- Offered Verified - SEC 10-K source
Application
- Cover letter
- Not verified
- Assessment
- Not verified
- Deadline
- Not stated
Where they hire
State eligibility is not yet verified.
About this role
Financial Analyst, Treasury - Chicago, IL Financial Analyst, Treasury- Chicago, IL This is a full time, exempt position Position Summary: The Treasury's Financial Analyst position is an excellent opportunity to learn direct cash forecasting and the Foreign Exchange market and how each impacts ADM's business in North America and globally. By having an active interaction with banks and the financial markets, the analyst will be challenged to support the business in cash forecasting and FX related topics. The successful candidate will work closely with global Treasury and Finance leadership teams to drive actions that protect ADM's financial performance and mitigate many key risks including liquidity and FX risks. This is a demanding and rewarding developmental position based in Chicago. Responsibilities: - Coordinate with regional treasury teams to develop the global cash forecast - Track forecast performance - Recommend and lead initiatives to increase forecast accuracy - Manage ADM's North America foreign exchange hedge desk - Backup European foreign exchange hedge desk during part of North America trading hours - Periodically review and update ADM's global foreign exchange policy - Monitor counterparty risk of ADM's FX and interest rate banks - Partner with the global treasury team with a focus on risk mitigation practices - Lead Interest Swap Derivatives Association (ISDA) agreement negotiations with foreign exchange counterparties - Subject matter expert and owner of Weighted Average Cost of Capital (WACC) calculation - Lead the Treasury team's Risk Adjusted Return on Capital (RAROC) calculation - Approve payment of Treasury related invoices -
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