LVMH Market Risk Manager and Treasury Specialist
LVMH, a global leader in luxury goods, encompasses a diverse range of prestigious brands and is renowned for its commitment to excellence and innovation. As part of the conglomerate's other activities division, this role offers the opportunity to work within a dynamic and prestigious environment, contributing to the financial stability and growth of the organization.
- Manage currency and interest rate risk valuation for financial instruments during monthly closures, ensuring accurate integration into the Treasury Management System (TMS).
- Retrieve and update market data from Bloomberg, generate valuations for all active currency and interest rate derivatives, and analyze their evolution.
- Prepare monthly analytical reports for management and serve as the main contact for auditors regarding valuations during closures.
- Coordinate the monthly collection of comprehensive and reliable foreign exchange risk exposure data from over 35 subsidiaries.
- Ensure the consistency of budgetary and actual exposure data, providing training and guidance to subsidiaries on foreign exchange risk issues.
- Control and validate foreign exchange hedging operations, proposing additional hedging actions in response to budget variations and actual billing data.
- Oversee back-office operations for currency and interest rate transactions, ensuring accurate information entry into the Diapason system and compliance with EMIR regulations.
- Manage daily treasury operations for holding companies, including fraud prevention, budget analysis, and financing needs assessment.
- Support subsidiaries in the use of treasury and risk management applications, contributing to system improvements and training programs.
- Degree from an engineering school, business school, or a Master's degree in Finance/Management.
- Minimum 3 years of significant experience in a financial department or audit firm, ideally in treasury.
- Strong analytical skills and initiative.
- Proficiency in English, both written and spoken.
- Expertise in financial instruments related to currency and interest rates.
- Advanced Excel skills and ability to manage complex files.
- Familiarity with financial systems and applications, particularly Diapason.
- Strong communication and training capabilities.
Minimum 3 years of significant experience in a financial department or audit firm, ideally in treasury.
Degree from an engineering school, business school, or a Master's degree in Finance/Management.
Opportunity to work in a leading luxury conglomerate with exposure to international markets and financial operations.
LVMH fosters a culture of innovation, excellence, and collaboration, offering a dynamic and prestigious environment for professional growth. Employees are encouraged to take initiative and contribute to the company's success in a supportive and inclusive setting.


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