Finance Manager, Cash Optimization - Chicago or Decatur, IL.

Archer Daniels MidlandDecatur, IL
Hybrid

About The Position

We are seeking a dynamic and results-driven Cash Flow Transformation leader to join our team. In this critical role, you will be responsible for driving initiatives that optimize cash, enhance liquidity, and improve overall financial efficiency. You will work closely with cross-functional teams to identify opportunities, implement best practices, and ensure the financial health of the organization. This role requires a strategic mindset, strong analytical skills, and the ability to influence stakeholders at all levels.

Requirements

  • Strong ability to coach and influence, provide clear expectations and timely direct feedback, both positive and constructive
  • Strong analytical abilities, initiative and problem solving skills
  • Strong oral and communication skills as well as the ability to interface with various levels of management
  • Self-motivated with the ability to function independently as well as lead in a team environment
  • Bachelor’s degree in Finance or Accounting.
  • Minimum of 7 years in financial role, business development, and/or accounting role
  • Demonstrated capacity to handle diverse number of projects simultaneously
  • Independent, inquisitive and a self-starter
  • Strong MS Office skills (i.e. Power Point and Excel)

Nice To Haves

  • A Master’s degree is a plus.
  • Experience with Hyperion Financial Management (HFM) and large ERP systems a plus
  • Ability to travel as needed

Responsibilities

  • Analyze the business’ cash flow processes and identify areas for improvement.
  • Develop and implement strategies to optimize working capital, including accounts receivable, accounts payable, and inventory management.
  • Monitor cash flow to ensure sufficient liquidity for operational and strategic needs.
  • Collaborate with Commercial, Operation and Corporate leadership to align cash flow strategies with the organization’s overall financial goals and long-term vision.
  • Provide insights and recommendations on cash flow implications for business decisions, investments, and growth initiatives.
  • Lead process improvement initiatives to streamline cash flow management.
  • Partner with internal teams to automate and digitize cash flow processes where possible.
  • Design and implement key performance indicators (KPIs) to track cash flow performance.
  • Work closely with finance, operations, procurement, origination and sales teams to drive alignment on cash flow objectives.
  • Train staff on best practices for cash flow management and financial efficiency.
  • Identify and drive risk mitigation actions related to cash flow, including currency fluctuations, credit risks, and economic uncertainties.
  • Develop contingency plans to address potential cash flow disruptions.
  • Review cash flow reports and present findings to senior management and stakeholders.
  • Provide actionable insights and recommendations based on data analysis and financial trends.

Benefits

  • competitive pay
  • medical/Rx
  • dental
  • vision
  • on-site wellness center access or gym reimbursement (as applicable)
  • flexible spending accounts
  • health savings account
  • 401(k) with matching contributions and cash balance plan
  • discounted employee stock purchasing program
  • life insurance
  • disability
  • workers’ compensation
  • legal assistance
  • identity theft protection
  • Employee Assistance Program (EAP)
  • Employee Resource Groups (ERGs)
  • Colleague Giving Programs (ADM Cares)
  • Paid time off
  • paid holidays
  • Adoption assistance
  • paid maternity and parental leave
  • Tuition assistance
  • Company-sponsored training and development resources, such as LinkedIn Learning, language training and mentoring programs
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