Chanel Treasury Intern
Chanel, a prestigious name in the luxury fashion industry, is renowned for its timeless elegance and innovative spirit. As part of a global conglomerate, Chanel offers unparalleled opportunities for professional growth and development within a dynamic and inclusive environment.
- Construct monthly cash flow statements for designated entities using Reval.
- Monitor monthly forecasting cycles in Reval.
- Analyze cash flows to evaluate and challenge forecasting assumptions and propose actionable insights.
- Prepare financial reports for the Maison's divisions and European subsidiaries.
- Manage access to Reval and support users.
- Develop procedures and operational modes related to cash flow cycles and forecasts.
- Assist in the development of business plans to support financing proposals.
- Participate in the creation of new reports using Power BI.
- Prepare a consolidated book on European entities.
- Optimize treasury processes.
- Enrolled in a Master's program at a business school or in a postgraduate university program (Bac+4/5) with a specialization in Finance/Treasury.
- Interest in treasury functions.
- Advanced proficiency in Excel and Power BI.
- Strong command of English.
- Excellent interpersonal skills.
- Ability to synthesize information and prepare presentations conveying key messages.
No prior experience required, but a strong interest in treasury and finance is essential.
Master's degree in progress in Finance, Treasury, or related field.
Chanel offers a nurturing environment that emphasizes personal growth and collective performance, valuing the unique contributions of each individual to enhance team diversity and effectiveness.
Chanel is committed to fostering an inclusive culture that encourages personal and professional development, recognizing the unique contributions of each team member to the overall success of the Maison.


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