Global Treasury Analyst – Cash Flow
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Sanofi in Brussels is seeking a Treasury Analyst to perform and control treasury operations for multiple entities within a designated region, ensuring cash management efficiency, risk mitigation, and policy compliance.
The role emphasizes daily cash positions, liquidity forecasting, FX risk management, and collaboration with banks, IT, and business units in a multinational setting.
Hybrid work arrangement: 3 days on site, 2 days from home; some travel expected.