Eacademy Sanofi
Analyst Middle-Office & Financial Instruments Accounting
Eacademy Sanofi, Claremore, Oklahoma, us, 74018
Le contenu du poste est libellé en anglais car il nécessite de nombreuses interactions avec nos filiales à l’international, l'anglais étant la langue de travail.
This job offer is accessible to all, regardless of gender
Job title:
Analyst Middle-Office & Financial Instruments Accounting Location: Gentilly About the job
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. Our Team:
The Middle Office & Financial Instruments Accounting (MO&FIA) team belongs to the Financial Risks & Markets (FRM) department, that within Financing, Treasury & Insurance manages Sanofi’s exposures to market risks, mainly liquidity, interest rate, foreign exchange, equity & counterparty risks. Together with MO&FIA, FRM comprises two other teams: Capital Markets (CM), in charge of Debt, Sanofi own share management, Strategic funding, Equity capital markets support and Bank relationship monitoring Front Office (FO) that pilots day-to-day liquidity & transacts external hedging instruments (holding) Main responsibilities: As an Analyst Middle-Office & Financial Instruments Accounting, you will: Drive optimization of cash positions and transactions while actively monitoring risk levels Lead cash management strategies that align with local regulations, market requirements, and Group treasury policies Safeguard financial assets and ensure transaction security Analyze and manage liquidity, currency, and interest rate risks in collaboration with Corporate Treasury Build and maintain strong partnerships with internal stakeholders across departments and Finance functions Develop and nurture relationships with banks and external treasury partners Middle Office: Follow-up of centralized operating Foreign Exchange (FX) exposures (budget & actuals) of ~100 affiliates in 25 countries & 40 currencies, representing around €12 bn P&L exposure per year Review of centralized financing & investing FX exposures driven by investments, divestments & internal restructurings: capital increases/decreases, dividends, transfers of shares or intangible assets, loans & borrowings The MO is in charge of controlling these exposures and transmitting them to FO for external hedging, as well as granting internal hedges to the exposed affiliates, in line with Group policy & procedures. The MO checks that FX positions are balanced Maintenance & control of the FX rates database (budget, trend, booking rates) Fair valuation of derivative instruments for accounting purposes Analytical review of actual consolidated FX gains & losses as well as net financial result Financial Instruments Accounting: Sanofi holding financial instruments (cash investments, financial debt, derivatives) accounting (IFRS, French Gaap & French tax rules). This activity covers day-to-day accounting (in the SAP-TRM Treasury Management System auxiliary ledger and through Manual Journal Entries) and month-end closings for a high volumetry of instruments (e.g., currently €10 to €15 bn outstanding cash investments, €20 bn outstanding financial debt, €100 to €150 bn external FX derivatives dealt per year) Documentation of hedging relationships Drafting of notes to consolidated financial statements and to Sanofi holding statutory accounts related to financial instruments The MO&FIA Analyst reports to the Head of MO&FIA. About you
Experience: Significant experience of fieldwork in Treasury or in Corporate accounting (Consolidation or Technical accounting) in a large listed Corporate and/or a Big4 (or Big4 like) audit firm Soft skills: Rigor & reliability (the MO&FIA team’s performance has a critical impact on Group P&L and cash-flows, and on financial statements accuracy & completeness) Strong analytical and synthesis capabilities, oral and written Commitment: Centralized FX exposures go from Mexico to Australia and often require early and after-hours interventions. Group accounting deadlines require, in particular for quarterly closures, a demanding volume of activity in a limited period of time Team working spirit Pragmatism and organization skills to meet tight deadlines (anticipation & pro-activity) Strong interpersonal skills due to permanent interactions with multiple stakeholders across treasury & accounting communities Technical skills: FX: significant past experience and appetite for foreign exchange issues in a large multinational listed corporate Hedging: economics, valuation, risk management & settlement of basic operating & investing FX hedging instruments (FX spots, forwards & swaps) Accounting: IFRS skills on financial instruments (classification, recognition, derecognition, measurement & disclosures) are a plus Systems: SAP-FI, SAP-TRM or other Treasury Management Systems, agility in Excel modelling Education: Master in finance, specialization in technical accounting, treasury or financial markets is a plus Languages: Fluency in French and English mandatory Why choose us?
Join a strategic financial hub managing over €12 billion in annual FX exposures and €20 billion in financial debt, where your expertise directly impacts Sanofi's global financial performance Be part of a dynamic international environment working with 100+ affiliates across 25 countries, offering extensive exposure to global markets and diverse stakeholders Benefit from a high-visibility role at the intersection of Treasury and Accounting, collaborating with multiple departments and external partners while developing expertise in both operational and strategic financial management Experience professional growth in a sophisticated financial setting using cutting-edge treasury management systems and working with complex financial instruments, while developing your skills in FX risk management and IFRS standards Pursue progress. Discover Extraordinary
Join Sanofi and step into a new era of science - where your growth can be just as transformative as the work we do. We invest in you to reach further, think faster, and do what’s never-been-done-before. You’ll help push boundaries, challenge convention, and build smarter solutions that reach the communities we serve. Ready to chase the miracles of science and improve people’s lives? Let’s pursue progress and discover extraordinary – together. At Sanofi, we provide equal opportunities to all regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity, protected veteran status or other characteristics protected by law. #LI-FRA #LI-Hybrid
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Analyst Middle-Office & Financial Instruments Accounting Location: Gentilly About the job
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. Our Team:
The Middle Office & Financial Instruments Accounting (MO&FIA) team belongs to the Financial Risks & Markets (FRM) department, that within Financing, Treasury & Insurance manages Sanofi’s exposures to market risks, mainly liquidity, interest rate, foreign exchange, equity & counterparty risks. Together with MO&FIA, FRM comprises two other teams: Capital Markets (CM), in charge of Debt, Sanofi own share management, Strategic funding, Equity capital markets support and Bank relationship monitoring Front Office (FO) that pilots day-to-day liquidity & transacts external hedging instruments (holding) Main responsibilities: As an Analyst Middle-Office & Financial Instruments Accounting, you will: Drive optimization of cash positions and transactions while actively monitoring risk levels Lead cash management strategies that align with local regulations, market requirements, and Group treasury policies Safeguard financial assets and ensure transaction security Analyze and manage liquidity, currency, and interest rate risks in collaboration with Corporate Treasury Build and maintain strong partnerships with internal stakeholders across departments and Finance functions Develop and nurture relationships with banks and external treasury partners Middle Office: Follow-up of centralized operating Foreign Exchange (FX) exposures (budget & actuals) of ~100 affiliates in 25 countries & 40 currencies, representing around €12 bn P&L exposure per year Review of centralized financing & investing FX exposures driven by investments, divestments & internal restructurings: capital increases/decreases, dividends, transfers of shares or intangible assets, loans & borrowings The MO is in charge of controlling these exposures and transmitting them to FO for external hedging, as well as granting internal hedges to the exposed affiliates, in line with Group policy & procedures. The MO checks that FX positions are balanced Maintenance & control of the FX rates database (budget, trend, booking rates) Fair valuation of derivative instruments for accounting purposes Analytical review of actual consolidated FX gains & losses as well as net financial result Financial Instruments Accounting: Sanofi holding financial instruments (cash investments, financial debt, derivatives) accounting (IFRS, French Gaap & French tax rules). This activity covers day-to-day accounting (in the SAP-TRM Treasury Management System auxiliary ledger and through Manual Journal Entries) and month-end closings for a high volumetry of instruments (e.g., currently €10 to €15 bn outstanding cash investments, €20 bn outstanding financial debt, €100 to €150 bn external FX derivatives dealt per year) Documentation of hedging relationships Drafting of notes to consolidated financial statements and to Sanofi holding statutory accounts related to financial instruments The MO&FIA Analyst reports to the Head of MO&FIA. About you
Experience: Significant experience of fieldwork in Treasury or in Corporate accounting (Consolidation or Technical accounting) in a large listed Corporate and/or a Big4 (or Big4 like) audit firm Soft skills: Rigor & reliability (the MO&FIA team’s performance has a critical impact on Group P&L and cash-flows, and on financial statements accuracy & completeness) Strong analytical and synthesis capabilities, oral and written Commitment: Centralized FX exposures go from Mexico to Australia and often require early and after-hours interventions. Group accounting deadlines require, in particular for quarterly closures, a demanding volume of activity in a limited period of time Team working spirit Pragmatism and organization skills to meet tight deadlines (anticipation & pro-activity) Strong interpersonal skills due to permanent interactions with multiple stakeholders across treasury & accounting communities Technical skills: FX: significant past experience and appetite for foreign exchange issues in a large multinational listed corporate Hedging: economics, valuation, risk management & settlement of basic operating & investing FX hedging instruments (FX spots, forwards & swaps) Accounting: IFRS skills on financial instruments (classification, recognition, derecognition, measurement & disclosures) are a plus Systems: SAP-FI, SAP-TRM or other Treasury Management Systems, agility in Excel modelling Education: Master in finance, specialization in technical accounting, treasury or financial markets is a plus Languages: Fluency in French and English mandatory Why choose us?
Join a strategic financial hub managing over €12 billion in annual FX exposures and €20 billion in financial debt, where your expertise directly impacts Sanofi's global financial performance Be part of a dynamic international environment working with 100+ affiliates across 25 countries, offering extensive exposure to global markets and diverse stakeholders Benefit from a high-visibility role at the intersection of Treasury and Accounting, collaborating with multiple departments and external partners while developing expertise in both operational and strategic financial management Experience professional growth in a sophisticated financial setting using cutting-edge treasury management systems and working with complex financial instruments, while developing your skills in FX risk management and IFRS standards Pursue progress. Discover Extraordinary
Join Sanofi and step into a new era of science - where your growth can be just as transformative as the work we do. We invest in you to reach further, think faster, and do what’s never-been-done-before. You’ll help push boundaries, challenge convention, and build smarter solutions that reach the communities we serve. Ready to chase the miracles of science and improve people’s lives? Let’s pursue progress and discover extraordinary – together. At Sanofi, we provide equal opportunities to all regardless of race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity, protected veteran status or other characteristics protected by law. #LI-FRA #LI-Hybrid
#J-18808-Ljbffr