Treasury Analyst
孟买, 印度 Permanent 发布日期 Nov. 20, 2024Job Title: Treasury Analyst
Location: Mumbai
Reports To: Head Treasury, India
About the Job:
At Sanofi Consumer Healthcare, we have one overarching mission - to work passionately, challenging ourselves and our industry every day, to build a healthier future by helping people, help themselves, bringing “Health in Your Hands”.
Our teams are building trusted & loved brands that connect with hundreds of millions of consumers worldwide, enabling better self-care for individuals and communities, while also contributing to a healthier planet. To fulfill this mission, we are embarking our consumers, our customers, healthcare professionals, and our employees in this journey because this is what will make us become the “Best Fast-Moving Consumer Healthcare (FMCH) Company In & For the World”.
We strive to act as a force for good by integrating sustainability along our business and employees’ mission and operate responsibly from both a social and environmental point of view.
To achieve this, we need strong talent who will help us shape the future of our Consumer Healthcare business and challenge our industry. At Sanofi Consumer Healthcare, we aspire to create a work environment where people can thrive, grow, and be at their best every day. Our priority is working with integrity to improve the health and well-being of people and communities where we operate, working towards making a positive impact in the world.
What you’ll be doing:
The Treasury Analyst will be responsible for managing and optimizing the organization's cash flow and liquidity position, ensuring efficient financial management and compliance with treasury policies. This role involves monitoring daily cash positions, supporting investment and debt transactions, managing foreign exchange, and providing analytical support to strengthen decision-making within the treasury and finance departments. Role will be managing India and candidate may be asked to support other countries in AMEA region.
Key Responsibilities:
Cash Management:
- Monitor daily cash balances and ensure adequate liquidity for business operations.
- Prepare and execute cash positioning reports and manage intercompany cash flows.
- Coordinate with banks for daily operations, including payments, receipts, and funds transfers.
- Maintain and monitor short-term cash forecasts and adjust funding strategies accordingly.
Investment and Debt Management:
- Support investment activities, including analysis and recommendation of asset classes.
- Assist in debt transactions, credit facilities, and loan documentation.
- Track and record interest and principal payments, ensuring timely settlement and compliance.
Bank Relationship Management:
- Maintain relationships with banking partners to ensure efficient service and competitive rates.
- Assist in opening, modifying, and closing bank accounts as required.
- Negotiate bank fees, services, and optimize banking structures for cost efficiency.
Foreign Exchange and Risk Management:
- Support foreign exchange transactions and hedging activities to manage currency exposure.
- Monitor market conditions and recommend strategies for minimizing FX risk.
- Ensure compliance with the company's risk management policies and procedures.
Treasury Reporting and Analysis:
- Prepare monthly and quarterly treasury reports, including cash flow, debt, and investment summaries.
- Conduct variance analysis between forecasted and actual cash flow positions.
- Collaborate with accounting and finance teams for month-end reconciliations.
Process Improvement and Automation:
- Identify and implement process improvements within cash management and treasury operations.
- Support automation initiatives to streamline reporting and transaction processing.
- Assist in the development of treasury policies and maintain documentation of treasury activities.
Qualifications:
- CA first attempt / master’s degree from Top Tier Institute in finance, Accounting or a related field.
- 1-5 years of experience in treasury, finance, or accounting.
- Knowledge of financial markets, banking products, and cash management practices.
- Proficiency in ERP systems (e.g., SAP) and Microsoft Excel.
- Strong analytical, problem-solving, and communication skills.
- Ability to work collaboratively across departments and with external banking partners.
Key Competencies:
- Detail-oriented with strong organizational and multitasking abilities.
- Proactive approach to identifying issues and implementing solutions.
- Ability to work under pressure and meet tight deadlines.
- Demonstrates integrity and maintains confidentiality.
追寻 发展。探索 菲凡。
进步需要我们每个人的参与——不论其背景、地域、或职业,我们都有一个共同的愿望:创造奇迹。你也可以成为其中的一员。我们不断追求变革,拥抱新思想,探索我们所能提供的一切机会。让我们一起追求进步。共同发现非凡。
在赛诺菲,不分种族、肤色、血统、宗教、性别、国籍、性取向、年龄、公民身份、婚姻状况、残疾或性别认同,我们为所有人提供平等的机会。
观看 “在赛诺菲的一天” ,并在官网 (sanofi.com) 上查看赛诺菲的多元化、公平与包容倡议!
查看所有职
我们的产品设计师负责帮助人们提高免疫力,物流专家负责将药物送到需要的人手中,而数据分析师则借助先进的技术改善人们的生活。在医疗健康领域,每一次进步都离不开所有人的努力。您可以自由选择自己的职业发展道路。Gig零工项目将帮助您尝试更多岗位,个性化指导将为您挖掘自己从未被发现的优势。加入我们,开启菲凡的职业发展之路。您到底可以走多远?让我们拭目以待!
体验可能性
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勇敢追梦,奔赴美好未来
想要改变自己的生活,乃至改变全球数百万人的生活,该怎么做?加入我们,开启职业新篇章,然后在我们的保驾护航中展翅高飞,并向优秀的人求教,为这份事业做出切实的贡献。
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心怀梦想,成就一番事业
我们希望您以饱满的热情投入到自己的工作岗位中,给全球数百万人带来美好生活。您的职业发展道路由您自己来掌控。您只管制定目标,我们会提供充足的培训机会和支持,让您得偿所愿。
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为什么选择我们?
我们为您提供各种工具、支持和培训机会,帮助您实现自己的目标。我们也希望您充分发挥潜力,帮助我们实现目标:将新药研发到临床治疗的时间减半。
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