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Job ID
32414

Senior Treasury Analyst

Syensqo is all about chemistry. We’re not just referring to chemical reactions here, but also to the magic that occurs when the brightest minds get to work together. This is where our true strength lies. In you. In your future colleagues and in all your differences. And of course, in your ideas to improve lives while preserving our planet’s beauty for the generations to come.

 

 

We are looking for

  • A Senior Treasury Analyst to join Syensqo's team.


We count on you for:

  • To execute tasks related to the Corporate Treasury (front-office) activities, either routine or specific tasks on demand, and provide instructions to the Global Business Services and Back-Office teams;
  • Daily cash management in different currencies and different cash pools worldwide;
  • Daily foreign exchange exposure management worldwide;
  • Commodity (power, gas) financial hedging;
  • Specific cash and forex transactions instructions (Cash Flow Hedge management);
  • Monitoring of hedges done and settlements;
  • Daily treasury flows (manual transfers);
  • Specific studies, reporting, analysis, and KPI;
  • Follow-up on intercompany financing;
  • Manage guarantees requests and issuance;
  • Support the business with different ad-hoc questions and requests.


You can count on us for:

  • Unique opportunity for you to be part of a growing Syensqo family and participate in the ambitious transformation journey Syensqo is launching in order to further upscale our capabilities.
  • It gives you the opportunity to be recognized as the orchestrator of our family and benefit from a large autonomy to define how we will reach our ambitions with respect to process standardization (think globally, steer regional and local deployments).

 

You will bring:

  • Master's degree in Finance or Accounting or significant experience in Finance or Accounting;
  • A minimum of 3 years of experience in Finance, including preferably Treasury;
  • Fluent in English; other languages (French, Portuguese) would be considered a plus;
  • Knowledge and experience in FX derivatives and Cash management;
  • Experience with banking technologies (Swift, Digital, new payment types, AI...);
  • Guarantee management experience;
  • Analytical mindset with critical thinking and problem-solving skills;
  • Knowledge of SAP, Treasury Management Systems (Quantum), Bank Account Management tools, Payment platforms, Swift environment, local regulations, and practices;
  • Proactive analytical mindset;
  • Collaborator approach;
  • Communication skills.

 

You will get:

  • Competitive salary and benefits package
  • 16, or more, weeks of maternity/paternity and co-parenting leave, according to local regulations
  • Training platform for all employees
  • Free well-being sessions (physical and psychological)

 

Additional information:

  • Smart working flexibility
  • Location: Brussels, Belgium

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