
Treasury Specialist
Published on 05.18.2025
LVMH Perfumes & Cosmetics
Finance
Reference: SSCPC02107
- Place of employment :
Madrid, Spain
- Contrat type :
Permanent Job
- Required experience :
Minimum 3 years
- Work mode :
Full Time
Position
MISSION
Ensure treasury activities comply with company policy by managing cash, maintaining bank relationships,
and safeguarding company assets.
ORGANISATIONAL STRUCTURE / DEPENDENCY
The role reports to the Consolidation & Treasury Manager
Job responsibilities
- Process payments (suppliers, taxes, payroll, intercompany, etc.) using automated payment files, ensuring accuracy and adherence to Internal Audit recommendations and treasury calendar deadlines.
- Prepare manual payments, verifying compliance with internal payment requirements.
- Monitor bank remittances to ensure timely receipt and settlement in SAP, posting all operations
within the corresponding month before closing. - Update, verify, and reconcile daily bank movements.
- Prepare and analyze cash flow forecasts and monitor daily and monthly cash positions to manage
deviations. - Update, verify, and incorporate payment provisions into the treasury program for daily
management. - Request and verify bank guarantees and control related commissions. Check and claim all bank
commissions, expenses, and financial income for all companies. - Transfer bank movement files to the Accounting Department for bank reconciliation.
- Prepare treasury position reports.
- Collaborate on the preparation and revision of monthly reports, including actual and forecast FX
risk exposure and cash flow reports. - Manage daily cash activities for boutiques and e-commerce, including cash transfer management
with the security company. - Manage reconciliation and verification of credit card collections across various platforms.
- Participate in new projects and application implementations within the Treasury department.
- Manage all company insurance policies, ensuring timely communication of values and incidents to the insurance company.
Profile
SKILLS
- Ability to thrive in an international environment.
- Excellent organizational skills and attention to detail.
- Technical and management skills in treasury operations.
- Strong interpersonal skills with an enthusiastic, can-do attitude.
PROFILE NEEDED
- MAIN STUDIES Degree in Business Administration or Economics
- LANGUAGES Spanish (Fluent) English (Fluent C1) French is a plus
- IT TOOLS Proficient in Office 365, SAP, and XRT.
- EXPERIENCE Minimum of 5 years' experience in Treasury within a retail company.
Additional information
LVMH Beauty Iberia cree en el talento único de las personas y celebra todas las singularidades. Es por ello por lo que fomentamos la diversidad e inclusión desde nuestro proceso de selección y nos comprometemos a promover la igualdad de oportunidades para crear un entorno de trabajo integrador. En este compromiso, LVMH Beauty Iberia valora las candidaturas que estén en posesión del certificado de discapacidad igual o superior al 33%.
Crafting Dreams Starts With Yours

Treasury Specialist
Finance - LVMH Perfumes & Cosmetics