Creativity Flexibility Need for action Team work Organization
Sothema, United Energies for Life.
Sothema is a Moroccan pharmaceutical laboratory, specialized in the manufacturing and marketing of medicines since 1976. With over 250 manufactured products, Sothema represents 35 international partner laboratories among the world leaders in Research & Development.
With an industrial tool at the forefront of innovation, Sothema benefits from recognized expertise allowing it to be the sole producer of insulin and eye drops in Morocco, and to position itself as a leader in the manufacturing of flexible bag serums and cephalosporins. Thanks to its sterile block units, Sothema also specializes in injectable pharmaceutical forms such as pre-filled syringes, ampoules, and injectable vials.
Its injectable factory is the largest in Africa. Sothema's activities are certified in compliance with international quality (ISO) and manufacturing (BFP and GMP) standards: France, Belgium, Holland, Germany, Portugal...
Sothema operates within a performance-driven and competitive culture, where ambition, results orientation and customer focus are key priorities. This dynamic is closely balanced by a collaborative environment that promotes trust, teamwork and close leadership. The company also relies on a structured organization to ensure efficiency, quality and process consistency. An innovation component further complements this balance, supporting adaptability and continuous improvement.
As part of our development, we are looking for an experienced Treasury Manager to join our Financial Department. As a true expert in financial flow management, you will ensure the optimization of the Group's treasury, both locally and internationally, and actively contribute to the company's financial security and performance.
Main missions
· Manage daily treasury and short, medium, and long-term treasury forecasts.
· Ensure the management of local and foreign financial flows.
· Supervise foreign exchange operations and currency management.
· Develop and maintain relationships with banking partners and financial markets.
· Optimize financing and investments based on the Group's needs.
· Analyze financial risks and implement appropriate hedging strategies.
· Participate in projects to improve treasury processes and digitalization.
· Supervise, support, and develop the Treasury team.
· Master's degree (Bac+5) in Finance, Management, Accounting, or equivalent.
· Minimum 8 years of experience in a similar role.
· Strong expertise in national and international treasury management.
· Proficiency in foreign exchange operations, currency management, and relationships with financial markets.
· Proven experience in team management.
· Excellent analytical, forecasting, and prioritization skills.
· Rigor, leadership, and results-oriented mindset.
Creativity Flexibility Need for action Team work Organization
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