Sr Manager Fx Mgmt. And Treasury Operational Excellence
Ready to push the limits of what's possible? Join Sanofi in one of our corporate functions and you can play a vital part in the performance of our entire business while helping to make an impact on millions around the world.
The Regional North America Treasury Team belongs to the International Treasury department within the Financing, Treasury & Insurance group. NA Treasury is a dynamic group of professionals dedicated to optimizing financial operations across the region. The team manages cash management, FX exposure monitoring, and cash forecasting to ensure liquidity and mitigate currency risks. They foster strong bank relationships, manage daily cash positioning, and drive treasury transformation initiatives to enhance efficiency and support strategic business objectives.
The Senior Manager, Foreign Exchange Management and Treasury Operational Excellence, is responsible for overseeing and optimizing foreign exchange (FX) and treasury processes to enhance efficiency, standardization & security within the North America Regional Treasury. This role drives operational excellence and requires a strong knowledge of Treasury activities, working closely with regional treasurer to review treasury processes, propose efficiencies and optimizations in line with the Treasury Core Model to support the organization's financial objectives in the region. The Senior Manager will lead a team of treasury professionals, collaborate with cross-functional stakeholders, and leverage advanced analytics to mitigate FX risks and improve operational performance. He will report to the Head of Treasury North America.
About Sanofi : We're an R&D-driven, AI-powered biopharma company committed to improving people's lives and delivering compelling growth. Our deep understanding of the immune system and innovative pipeline enables us to invent medicines and vaccines that treat and protect millions of people around the world. Together, we chase the miracles of science to improve people's lives.
Main Responsibilities
Foreign Exchange Risk Management
- Ensure comprehensive balance sheet FX exposure identification & measurement
- Identify, quantify, and track all types of FX exposure (operating and financing) across North American entities, considering both balance sheet and highly probable forecast exposures
- Ensure timely clearing of transitory accounts in SAP S4 Hana
- Oversee timely FX cash transfers funding and pooling process with holding company
- Oversee daily monitoring & retrieval of FX rates and other market datas from Reuters to iShift ERP system (S / 4 Hana)
- Monitor FX revaluation of both AR / AP & FX hedge portfolio ensuring perfect reconciliation
- Monitor, analyze and report FX operating and financing gains & losses for North America
- Ensure SOX / audit compliance, including documentation, MTM spot and forward points analysis
Treasury Operational Excellence
Lead initiatives to streamline treasury processes, including cash management, liquidity forecasting, and payment operations, to enhance efficiency and accuracyComprehensive understanding of the Treasury Core Model and SAP TCM Solution to facilitate core model adoptionSupport regional treasurer in the context of country treasury core model roadmap definition, change management and proper deploymentSupport SAP Treasury module updates and enhancements, ensuring system configurations align with regional treasury processes and business requirementsDrive automation and digital transformation of treasury functions, leveraging technology to optimize workflows and reduce manual processesManage the implementation of new banking services and systems, coordinating with internal teams and external partners to ensure seamless integrationMonitor and support regional treasurer with regional banking relationships, ensuring optimal account structures and cost-effective servicesSupport mergers and acquisitions (M&A) integrations by managing treasury-related activities, including cash flow integration, banking structure alignment, ERP integration and FX exposure analysis for acquired entitiesDesign and implement best-in-class treasury procedures, and controls to ensure operational integrity and complianceLeadership and Collaboration
Manage and develop a team of treasury professionals within the North America Regional Treasury, fostering a culture of excellence, accountability, and continuous improvementCollaborate with regional & central finance, accounting, tax, business development and licensing, M&A, corporate treasury, and business units to align treasury strategies with organizational goals and operational needs in North AmericaSupport weekly payment run approval process as bank signatorySupport Treasury Operations team in setting up an effective Business Continuity Plan, working collaboratively with other Treasury departments, including regular rehearsals.About You
Experience
10+ years of experience in financing & treasury activities in multinational companies, corporate accounting. CTP is a plus.Experience with Treasury Management systemsExperience with electronic banking systems / SWIFT / Payment PracticesMulti-country management experienceProven track record in dealing with complex issues proactively and in a timely fashion, along with the ability to make well informed and appropriate decisions and to communicate complex information to othersA deep knowledge of foreign exchange hedging processes in a multinational is a + A deep knowledge of foreign exchange (IAS21) accounting principles is a + Experience in a global and matrixed working environment.Soft and Technical Skills
Proven ability to challenge current thinking and to drive and enable continuous improvementAnalytical skills, financial acumen, accuracy and attention to detailsAbility to negotiate, convince and influence various stakeholdersTeam player, proactive and solution orientedStrong capabilities in MS ExcelCommunication skills with technical and operational languageDriver of high standards for individual, team and organizational accomplishment and delivering service excellence to internal and external customers Excellent personal communication, report writing and organizational skillsAbility to work under time pressureVery good team-player with strong interpersonal skillsEducation
Bachelor's degree preferably master's degree in business administration, accounting or financeLanguages :
Fluent written and spoken EnglishWhy Choose Us
Bring the miracles of science to life alongside a supportive, future-focused team.Discover endless opportunities to grow your talent and drive your career, whether it's through a promotion or lateral move, at home or internationally.Enjoy a thoughtful, well-crafted rewards package that recognizes your contribution and amplifies your impact.Take good care of yourself and your family, with a wide range of health and wellbeing benefits including high-quality healthcare, prevention and wellness programs and at least 14 weeks' gender-neutral parental leave.