Global Commodity Financial Risk Manager
CargillAbout the role
Want to build a stronger, more sustainable future and cultivate your career? Join Cargill's global team of 160,000 employees who use new technologies, dynamic insights and over 157 years of experience to connect farmers with markets, customers with ingredients, and people and animals with the food they need to thrive.
Job Purpose and Impact
The Global Commodity Financial Risk Manager will develop and implement the global group strategy for delivery, specialization, and differentiation of trade product control (TPC) services to support the businesses on commodity and foreign exchange (fx) position, trading profit and loss reporting, trading data and analytics, and derivatives commodity compliance for Cargill's Protein and Salt (CPS) Enterprise. In this role, you will partner collaboratively with senior leaders to lead the design and execution of risk reporting strategies and processes to support trading activities.
Key Accountabilities
- Partner and align with commodity financial risk leadership team on the trade product control strategy, future state process and technology in support of the global Risk Management Group strategy, providing expertise on the execution of the strategic initiatives for CPS.
- Lead the execution of the CPS position, fx, Profit & Loss, and compliance reporting with continuous improvement, leveraging key metrics and measurement for trade product control process effectiveness, evaluate the performance and leverage internal and external industry best practices.
- Collaborate with key business stakeholders to identify and handle impacts of the implementation of the trading and risk management vision for CPS.
- Develop plans and deliver results in a fast-changing business and regulatory environment, while leading and developing a team of experienced professionals and a manager, coaching, and making decisions related to talent management. You will also collaborate with managers and supervisors across the organization to ensure staff selections align with current and future needs.
- Other duties as assigned.
Qualifications
MINIMUM QUALIFICATIONS
- Bachelor’s degree in a related field or equivalent experience
- Broad and deep expert knowledge in physical commodity risk management
- Confirmed experience in a trading environment.
- In depth knowledge to leverage technology in operational, reporting and analysis processes.
- Minimum of six years of related work experience
PREFERRED QUALIFICATIONS
- Broad knowledge in building and improving the company's trading and risk management ecosystem.
- Three years of supervisory experience
Equal Opportunity Employer, including Disability/Vet.
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