CHC Head of Regional Treasury Center, Asia JPAC
SanofiAbout the role
CHC Head of Regional Treasury Center, Asia JPAC
- Location: Kuala Lumpur, Malaysia
- Remote working in accordance with the conditions defined in the local telework agreement
- Few travel expected
- Job type: permanent, full time
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.
Our team
CHC Global Treasury is responsible for the financing, the cash and risk management as well as insurances of CHC affiliates.
The CHC Head of Regional Treasury Center is in charge of:
Running daily operational Treasury management activities
In close collaboration with Global Treasury Operations department, ensuring proper financing of the affiliates in its scope and cash repatriation
Reporting and analyzing cash flow and working capital indicators
Managing the FX exposure of the affiliates in compliance with Group policies
Credit Risk Management
Leading projects to improve Treasury processes
Operating in compliance with internal and external regulations
Main responsibilities
The Head of Regional Treasury Services Center supervises the operational treasury activities and operations of the legal entities in Asia Jpac India. He/she leads a team of Treasury Analysts based in the Treasury Services Center/India and is the primary contact of CHC Global Treasury in his/her region.
In this role, you will be involved in
People management and partnering
Recruits, leads, motivates the team, develops capabilities, and supports the development of talents
Ensures Operational Excellence of the Regional Treasury Center with KPIs, offering best-in-class services
Builds trust and ensures effective cooperation with cross functional and external partners (other treasury teams at corporate and regional levels, GBS, HFOs, tax, legal, banks, …)
Liquidity and cash management
Oversees daily cash management and liquidity for the Asia Jpac India affiliates
Closely cooperates with Global Treasury Operations department to ensure proper financing of the affiliates and identification of cash repatriation opportunities
Supervises cash actuals and forecasts reporting
FX Risk management
Centralized countries: ensures accurate and timely reporting of FX exposures and subsequent settlements
Non centralized countries: identifies FX exposures and monitors the proper execution of the local hedging in line with Group policies
Monitors ad-hoc transactions incurring Fx risk
Follows up the FX gains & losses
Cash flow and working capital optimization
Monitors free cash flow generation and working capital KPIs (DSO, payment terms, overdue, DPO) through cash reviews, action plans,…
Partners with business functions to raise awareness and spread a cash-oriented mindset
In cooperation with CI2C and in accordance with the Credit Management policy, assesses the counterparty risk and validates the credit limits
Bank relationship management
Global Treasury Operations handles the cash management bank relationship, nevertheless, the Head of Regional Treasury Services Center acts as regional senior point of contact with the bank
Participate
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