Regional Treasury Analyst

Sanofi

Employer Active

Posted on 6 Apr

Experience

2 - 7 Years

Job Location

Egypt - Egypt

Education

Bachelor of Commerce(Commerce), Bachelor of Business Administration(Management)

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

Main Responsibilities:

  • Cash management and liquidity:

  • Execute daily cash position reporting and monitoring across all bank accounts.

  • Process electronic fund transfers, wire payments, and manual disbursements

  • Monitor account balances to ensure adequate funding for operational needs

  • Trade finance and banking operation:

  • Process and monitor trade finance instruments including LCs, LGs & DCs

  • Review, validate, and reconcile bank fees, interest charges, and service costs

  • Serve as the operational contact for banking partners

  • Coordinate documentation for new account openings and closures

  • Ensure accurate settlement of foreign exchange transactions.

  • Financial Analysis and reporting:

  • Analyze working capital metrics including DPO, DIO, and DSO.

  • Develop dashboards and analytics to track key treasury performance indicators

  • Assist in preparing presentations for senior management on treasury activities

  • Document treasury processes and procedures for audit purposes

  • Risk management and compliance:

  • Track and report on interest rate and foreign exchange exposures

  • Ensure compliance with internal control for treasury operations

  • Contribute to Business Continuity Planning (BCP) for treasury functions

  • Monitor compliance with established treasury policies and procedures.

  • Cross-Functional collaboration:

  • Coordinate with Accounting team on a timely bank reconciliation and resolve discrepancies.

  • Support month-end closing activities related to treasury transactions.

Desired Candidate Profile

Education: Bachelor s degree in business administration, finance, accounting or economics English section.

Related Experience: +2 years of Treasury experience is preferred for this role. knowledge of cash management and treasury systems and/or accounting and/or financial analysis and/or SAP user.

Skills:

  • Strong analytical skills, financial acumen, accuracy and attention to details.
  • Ability to build strong working relationships with partners internally and externally with banks; verbal, and written communication skills
  • Team player, proactive and solution oriented
  • Strong capabilities in MS Excel.

Languages: Strong written and spoken English.

Company Industry

Department / Functional Area

Keywords

  • Regional Treasury Analyst

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