Job Description & How to Apply Below
Location: Bengaluru
About ADM:
We are one of the world’s largest nutrition companies and a global leader in human and animal nutrition. We unlock the power of nature to provide nourishing quality of life by transforming crops into ingredients and solutions for foods, beverages, supplements, livestock, aquaculture, and pets.
About ADM India Hub:
At ADM, we have long recognized the strength and potential of India’s talent pool, which is why we have maintained a presence in the country for more than 25 years. Building on this foundation, we have now established ADM India Hub, our first GCC in India.
At ADM India Hub, we are hiring for IT and finance roles across diverse technology and business functions. We stand at the intersection of global expertise and local excellence, enabling us to drive innovation and support our larger purpose of unlocking the power of nature to enrich quality of life.
Job Title:
Treasury Trade Finance Specialist
Position Overview:
As part of ADM's Treasury organization, the Treasury Trade Finance Specialist supports the execution and administration of the company's trade finance portfolio, including Letters of Credit, Standby Letters of Credit, bank guarantees, bid bonds, performance bonds, and otherbank-issued instruments supporting commercial and business activities.
The role is responsible for managing day-to-day trade finance activities across the full lifecycle of these instruments, including request review, documentation preparation, issuance,
amendments, monitoring, and closure. The position ensures accurate execution, compliance
with internal policies and banking requirements, and effective coordination with internal
stakeholders, banks, and beneficiaries.
Working under the guidance of the Treasury Trade Finance Manager, the Specialist provides technical expertise, supports complex transactions, maintains portfolio data integrity, and contributes to process standardization, operational efficiency, and continuous improvement
initiatives.
Key Responsibilities:
Trade Finance Operations & Execution:
Execute the end-to-end processing of Letters of Credit (LCs), Standby Letters of Credit, bank guarantees, bid bonds, performance guarantees, and other bank-issued instruments.
Coordinate issuance, amendments, extensions, cancellations, releases, and other lifecycle activities in accordance with approved procedures.
Review transaction requests and supporting documentation to ensure completeness, accuracy, and compliance with internal requirements.
Prepare and review LC and guarantee wording for standard transactions, ensuring alignment with commercial agreements, contractual requirements, and banking standards, and flagging non-standard or high-risk wording to the Treasury Trade Finance Manager for approval.
Maintain accurate records of trade finance instruments, including key terms, expiry dates, beneficiaries, and exposure information.
Stakeholder & Banking Coordination:
Support business units, trading teams, Legal, Real Estate/Facilities, and other functions in preparing and processing LC and guarantee requests.
Act as the primary point of contact for issuing, advising, and confirming banks on standard transaction execution and documentation, resolving routine discrepancies directly and escalating complex or high-risk issues to the Treasury Trade Finance Manager.
Coordinate with internal stakeholders and banks to resolve documentation issues, discrepancies, and execution challenges.
Escalate complex transactions or issues to the Treasury Trade Finance Manager as appropriate.
Portfolio Management & Reporting:
Monitor and maintain the trade finance portfolio, including outstanding LCs, guarantees, expiry dates, releases, renewals, extensions, contingent liabilities, facility utilization, fees, and…
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