Senior Treasury Analyst

Louis Dreyfus Company • Shanghai, Shanghai • Posted June 13, 2026

About the Role

Job Description

Main accountabilities:

  • Independently decide and execute financing drawdown with facility banks, including communication with banks, cost calculation, documents execution and Quantum input.
  • Handle multicurrency cross border payment and collection, e.g. goods trading, service fees; align with platform and FX traders to ensure timely settlement of spot/forward position.
  • Cash forecast and provide liquidity support to all platforms margin call and cash commodity purchasing
  • Operate transit trades under general settlement a/c or FTE a/c
  • Manage and monitor domestic and cross border cash pool
  • Handle capital account business, such as capital injection, dividend payment, foreign debt, equity transfer
  • FX gain or loss settlement based on daily FX exposure reporting
  • Management and execution of deposit products in banks as well as deposit rates in system
  • Daily inter-company funding...