Job 1000 van 1000


Report this listing

Solliciteren



Senior Treasury Analyst, Exposure Management


At Johnson & Johnson, we believe health is everything. Our strength in healthcare innovation empowers us to build a world where complex diseases are prevented, treated, and cured, where treatments are smarter and less invasive, and solutions are personal. Through our expertise in Innovative Medicine and MedTech, we are uniquely positioned to innovate across the full spectrum of healthcare solutions today to deliver the breakthroughs of tomorrow, and profoundly impact health for humanity. Learn more at

Job Function:

Finance

Job Sub Function:

Treasury

Job Category:

Professional

All Job Posting Locations:

Beerse, Antwerp, Belgium

Job Description:

Senior Treasury Analyst, Exposure Management

Possible Locations: Beerse, Belgium

Contract: full time, permanent

Launch your finance career at Johnson & Johnson. We invite seasoned Treasury professionals as well as well as those excited to begin their Treasury journey.

THE OPPORTUNITY

Johnson & Johnson, through its operating companies, is the world's most comprehensive and broadly‐based manufacturer of health care products, as well as a provider of related services, for the pharmaceutical and medical device markets. We strive to provide scientifically sound, high-quality products and services to help heal, cure disease, and improve the quality of life.

The Johnson & Johnson Global Treasury Services Center (GTSC) is a division of J.C. General Services BV. Together with J&J Corporate, the GTSC fulfills the role of in-house bank and handles the financing as well as the cash and risk management of the J&J affiliates. The GTSC is also responsible for the settlements on behalf of the J&J affiliates worldwide. Working for Treasury will give you the outstanding opportunity to gain insights into both the corporate, the affiliate and the banking environment.

How YOU can help:

The Exposure Management department is responsible for the J&J worldwide currency position and intercompany netting position and settlements. The Exposure Management team proactively business partners, together with our Treasury Services Centers, to provide outstanding foreign exchange solutions in line with our worldwide policy.

The key responsibilities & the impact YOU will have:

Being part of the FX team handling the J&J worldwide currency position, you will work in an exciting environment. Besides the day-to-day support on the foreign risk management activities, you will enrich the team by applying your strong analytical skills to the new challenges put into the exposure management environment.

  • Conclude foreign exchange and interest rate derivatives within the framework of J&J procedures and policies.
  • Perform monthly operations on intercompany netting settlement, including but not limited to consolidating intercompany netting position, identifying trends and anomalies etc.
  • Act as a project team member representing Exposure Management in ongoing and upcoming projects. This entails the gathering of requirements, investigation and analysis, close collaboration with IT, testing, implementation, and reporting to management.
  • Analyze, assess, and report on the performance of our financial counterparties.
  • Perform ad hoc analysis such as impact assessments on the budget and company results.
  • Advise the J&J entities, senior management, and other domains within treasury on FX related matters.
  • Assist in the revaluation of the financial instruments (mark-to-market), as well as the analysis and the reporting of the results.
  • Co-responsible for the operation, optimization and the control of the different systems, procedures, and techniques all within the respective hedge accounting guidelines.
  • Daily, you will be business partnering with financial counterparties, J&J entities worldwide, external, and internal audit and all treasury departments globally.

IT'S ALL ABOUT YOU

What you need to succeed in this role:

  • Have a master' degree in Finance or equivalent.
  • Have min. of 3 years of proven experience and knowledge in finance (ideally within financial markets, standard hedging products, settlement systems, and treasury transaction processing)
  • Be fluent in English, both spoken and written.
  • Be passionate about taking ownership and driven to move issues and questions into resolution.
  • Possess attention to detail and excellent analytical skills, can handle complex matters while keeping the big picture intact.
  • Demonstrate resilience and agility to drive and adapt to change.
  • Be a self-starter who can take initiatives and open for new challenges
  • Be able to manage your own workload and prioritize.
  • Act as a team player.
  • Willing to travel occasionally.

Closing date for all applications: Wednesday, 19th of November 2025.

Required Skills:

Preferred Skills:

Analytical Reasoning, Banking and Financial Services Platforms, Business Behavior, Cash Management, Collaborating, Controls Compliance, Data Savvy, Data Visualization, Detail-Oriented, Financial Analysis, Financial Competence, Financial Recordkeeping, Financial Risk Management (FRM), Multi Currency Accounting, Problem Solving, Risk Assessments, Risk Management Framework, Treasury Management

Solliciteren

Meer banen van je zoekopdracht