Senior Financial Analyst RTSC EMEA bei Johnson & Johnson
Johnson & Johnson · Beerse, Belgien · Hybrid
- Senior
- Optionales Büro in Beerse
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Job Function:
FinanceJob Sub Function:
TreasuryJob Category:
ProfessionalAll Job Posting Locations:
Beerse, Antwerp, BelgiumJob Description:
Senior Financial Analyst RTSC EMEA
Location: Beerse, Belgium
Contract: full time, permanent
THE OPPORTUNITY
We have an exciting opportunity for a Senior Financial Analyst to join our Treasury team in Belgium.
Are you curious, interested in financial markets, take ownership, enjoy problem solving, and love working with people from all over the world? Then Treasury can be the perfect opportunity for your career! In addition, it is also important that you can win trust, are ethical in your approach and act with integrity when making business decisions.
The responsibilities & the impact YOU will have:
The Regional Treasury Service Center EMEA is the first point of contact and a strategic cross-sector business partner for all J&J affiliates with respect to treasury operations such as cash management, bank relations, foreign currency hedging, cash flow forecasting, capital structure management, mergers, acquisitions and divestitures (M&A&D).
As a future Senior Financial Analyst, you will be accountable for:
Cash and Risk Management
You lead all aspects of daily cash and liquidity management for the affiliates within the EMEA region, including analyzing cash balances & forecasts and making the appropriate funding and investment decisions.
You review their capital structure and analyze cash flows & financial metrics to determine a borrowing limit as well as drive improvements to their structure in close collaboration with the affiliate’s management.
You follow the financial environment and monitor global trends to identify risks, opportunities and innovative solutions in the different markets.
Additionally, you measure compliance with J&J policies and work closely with cross-sector business partners to develop key controls and improve processes where needed.
Business Partnering
You partner with the business to develop meaningful insights into their needs and provide mentorship to the affiliates on capital structure, investment & debt decisions, foreign currency & sovereign risk, dividend repatriation, bank account management and other key treasury initiatives as they arise.
You collaborate closely with legal and tax centers to understand the regulatory environment & financial restrictions within the different countries and assess the impact on existing or potential treasury solutions.
Finally, you connect with local and regional banking partners to monitor their service and identify useful products and services for the countries under responsibility.
Projects
You support a variety of cross-functional value-creating projects from a treasury perspective by assessing funding possibilities, hedging impact, banking landscape, etc. You identify and implement continuous improvements to optimize cash management processes and support M&A&D within EMEA.
IT’S ALL ABOUT YOU
We would love to hear from YOU, if you have/are:
A Master’s degree in Economics (Master of Applied Economics, Business Engineering, Business Administration, …) or equivalent.
Proven knowledge in the financial world or financial markets; previous knowledge of settlement systems and treasury transaction processing is preferrable.
Can express yourself fluently in English.
Global mentality and a phenomenal teammate, flexible, eager to learn, highly motivated, hands-on and stress resistant.
Strong analytical skills and accuracy.
Passionate about taking ownership and advancing issues towards resolution.
Closing date: Thursday, 3rd of December 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 Jetzt bewerben