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Bvlgari Treasury Analyst
Bulgari, a prestigious name in the luxury industry, is part of the LVMH Group, a global leader in high-quality products. Renowned for its exquisite jewelry and timepieces, Bulgari offers a dynamic and innovative work environment that encourages professional growth and excellence.
- Coordinate treasury management activities in alignment with LVMH, including support to affiliates.
- Manage daily cash balances, payments, and bank statements.
- Oversee cash flows, foreign currency balances, and credit facilities.
- Handle the Group’s foreign exchange exposure and conduct currency foreign exchange transactions directly or through LVMH.
- Manage gold (commodity) risk exposure and ensure ethical sourcing.
- Ensure compliance with corporate policies.
- University Degree in Business Administration; a Master's degree is advantageous.
- Fluent in Italian and English; proficiency in a third language, ideally French, is a plus.
- Proficiency in financial derivatives and financial markets.
- Advanced skills in Excel, PowerPoint, Power BI, and general computer literacy.
- Strong accountability and integrity.
- High stress tolerance and excellence orientation.
- Customer orientation and teamwork capabilities.
A minimum of 5 years in similar roles within treasury management or corporate finance.
University Degree in Business Administration; Master's degree preferred.
Bulgari offers a comprehensive benefits package, including opportunities for career advancement within the LVMH Group.
Bulgari fosters a culture of innovation and excellence, where employees are encouraged to develop their skills and contribute to the brand's legacy of luxury and craftsmanship.
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