Christian Dior Treasury Assistant (Work-Study)
Christian Dior Couture is a world-renowned couture house within the Dior fashion house and the broader LVMH family. The Maison is recognised for its heritage craftsmanship, creative vision and global footprint, offering finance professionals the chance to work within an internationally scaled luxury organisation.
- Monitor and report on daily cash positions for the Group’s international subsidiaries (c. 80 entities) and maintain short-, medium- and long-term cash forecasts.
- Support credit management activities, including follow-up of receivables and relationship with banking counterparties.
- Manage bank account lifecycle tasks: openings, closures and administration of banking services and authorisations across subsidiaries.
- Optimise and monitor cash-pooling and current account positions, support implementation of cash-pooling structures and interest allocation.
- Perform monthly closing controls on cash-flow generation, net debt and financial charges at entity and consolidated levels (actuals and forecasts).
- Track and administer external financing and guarantees: analyse credit lines, issue and release guarantees, and follow guarantee billing.
- Produce and analyse weekly foreign exchange reporting and perform month-end impact work on budgets and P&L.
- Administer treasury and bank-communication tools for the Group and participate in treasury systems implementation projects across subsidiaries.
- Contribute to internal control and process improvement initiatives by drafting procedures, implementing controls and identifying automation opportunities.
- Currently enrolled in a tertiary finance programme (Bachelor’s or Master’s track) with availability for a one-year work-study (alternance) starting September 2026.
- Strong numerical aptitude, rigorous attention to detail and ability to manage multiple priorities.
- Excellent interpersonal skills and ability to liaise with internal stakeholders and banking partners.
- Good command of English (written and oral).
- Advanced proficiency in Microsoft Excel and comfortable with the Microsoft Office suite.
- Microsoft Excel
- Microsoft Office
- Cash management
- Credit management
- Cash pooling
- Bank account and guarantees administration
- Foreign exchange reporting
- Monthly closing and cash-flow analysis
- Treasury systems administration
- Internal controls and process automation
No prior professional experience required; suitable for a student seeking a one-year alternance/work-study placement beginning September 2026.
Enrolment in a recognised finance programme (Bachelor’s or Master’s level) with a specialisation in finance, corporate treasury, or equivalent.
This position is listed in Paris, Ile-de-France, in France. Christian Dior is actively recruiting for this and 3,450 other open jobs in France.
The Maison cultivates a heritage-driven yet forward-looking culture that balances creative daring with operational excellence. Teams operate in an international, collaborative environment where technical rigour, continuous improvement and respect for diversity are valued.
Christian Dior Careers
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