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

At LVMH, people make the difference in the art of crafting dreams.Our people fuel our dynamic, entrepreneurial culture. We value collective ambitions, encouraging our talents to push boundaries and champion a curious, audacious state of mind. Our commitment to excellence is reflected in nurturing every individual with a growth mindset and development opportunities, consistently empowering them to reach their full potential. We are actively committed to positive impact through an inclusive environment that supports and gives back to our talented community. Join us at LVMH, where your talent is at the heart of our collective successes.