Hybrid Treasury Analyst: Cash Flow

Il y a 6 jours

Brussel Hoofdstad, Brussel Hoofdstad, Belgique Sanofi Temps plein 70 000 € - 94 000 € Contrat

Sanofi Brussels is seeking a Treasury Analyst to manage daily treasury operations across multiple entities within a hybrid setup (3 days on site, 2 days from home). The role emphasizes cash flow forecasting, liquidity management, FX risk reporting, and collaboration with bank partners.

Responsibilities include intercompany settlements, bank relationship maintenance, and supporting M&A and process improvements within Global Treasury Operations.