Hybrid Treasury Analyst: Cash Flow
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Sanofi is seeking a Treasury Analyst in Brussels to join the Regional Treasury Team. Hybrid work arrangement available (3 days on site, 2 days from home) with limited travel expectations.
You will manage daily treasury operations, liquidity planning, cash flow reporting, FX risk management and intercompany settlements across multiple MCOs. The role requires a Bachelor's degree in Finance or related field and at least 2 years in treasury, with strong SAP/S4, TREMA, and Excel skills.