Treasury Analyst - Regional Treasury Center Europe ( Hungarian OR Polish OR Romanian Speaker
Job Description & How to Apply Below
Title:
R2860477 Treasury Analyst - Regional Treasury Center Europe ( Hungarian OR Polish OR Romanian Speaker )
Location:
BE-Bruxelles Work Arrangements:
Hybrid (3 days on site, 2 days home office) - Few travels expected Job Purpose Under the supervision of the Treasury Area Lead of Regional Treasury Team, the Treasury Analyst will be responsible for performing and controlling treasury operations for all Sanofi legal entities within a designated geographical area, encompassing multiple countries or Market Company Organizations (MCOs). This role ensures efficient cash management, risk mitigation, and compliance with Group treasury policies while supporting business growth and operational excellence.
Key Accountabilities & Responsibilities Treasury Operations Management Execute daily operational treasury management activities across assigned geographical region Perform reconciliation of bank flows with forecasts and maintain optimal bank account balancing Prepare daily cash positions and rolling liquidity forecasts for centralized countries to ensure adequate financing of shortages and optimal placement of surpluses Execute treasury-related payment activities including wire transfers, electronic funds transfers, intercompany loan/deposit settlements, and other treasury transactions Cash Flow & Working Capital Optimization Deliver comprehensive actual and forecast cash flow reporting and analysis (internal and external) Conduct working capital analysis including Cash Conversion Cycle KPIs with focus on DSO (Budget, Actuals, Forecast), DPO, DIO, and customer overdue management Identify opportunities for cash flow optimization and working capital efficiency improvements Foreign Exchange Risk Management Provide accurate and timely reporting of FX exposures and manage subsequent settlements for centralized countries Monitor and report on FX gains & losses, ensuring compliance with hedging policies Support implementation of FX risk mitigation strategies Banking Relationship Management Manage bank account operations (opening/closing, overdrafts) and banking authorization matrices Serve as primary point of contact with local banks for treasury operational matters, ensuring high-quality service delivery Maintain local banking and payment systems in accordance with Group policies Monitor and control bank fees to optimize costs Compliance & Risk Management Maintain comprehensive documentation for treasury business processes Review and update procedures to ensure compliance with internal control requirements and regulatory standards Support audit activities and implement control improvements as needed Strategic Projects & Business Support Provide operational support to Global Treasury Operations for M&A, business development, and divestment activities Participate in process improvement initiatives and technology implementations to enhance operational efficiency Collaborate with IT function on system enhancements and process optimization projects Additional Responsibilities Manage annual insurance renewal processes with local brokers, including data consolidation and analysis (where applicable) Support Global Treasury Operations on legal/tax activities including dividend payments, legal restructurings, and intercompany loan management Maintain accurate local intercompany loan schedules and documentation
Required Qualifications & Experience Essential Requirements Education :
Bachelor's degree in Finance, Economics, Business Administration, or related field Experience :
Minimum 2 years of treasury experience in a corporate environment Technical Skills :
Proficiency in S4/SAP, FxNet (Hedging), TREMA (Cash flow reporting), and Microsoft Office Suite (Excel, PowerPoint)
Preferred Qualifications Previous finance experience in an international, multi-country environment Knowledge of cash management and treasury systems
Experience with accounting and/or financial analysis Familiarity with Treasury Management Systems, particularly S/4
HANA Treasury System Professional treasury certification (CTP, ACT, or equivalent) is advantageous Key Competencies & Skills Technical Competencies Strong analytical and financial…
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