LVMH Treasury and General Accounting Specialist

Employment
Full-Time
Seniority
Mid-Level
Posted
Jul 14, 2026

About LVMH

LVMH Moët Hennessy Louis Vuitton, the world leader in luxury, unites more than 75 distinguished Maisons across fashion and leather goods, wines and spirits, perfumes and cosmetics, watches and jewelry, and selective retailing. As an employer, the Group offers a uniquely international environment where heritage, creativity, craftsmanship, and entrepreneurial spirit meet. It cultivates exceptional talent through mobility, mentoring, and rigorous learning, while empowering teams to shape the future of desirable, sustainable luxury. LVMH seeks individuals who combine excellence with curiosity, aesthetic sensibility with business acumen, and respect for tradition with the courage to innovate.

LVMH Perfumes & Cosmetics: Treasury and General Accounting Specialist in Seoul. Manage treasury operations, FX reporting, and cash flow for a global luxury beauty organization.

Role & Responsibilities

  • Execute treasury operations including intercompany payments, IC reconciliation, and GBS payment review from a cash flow perspective
  • Perform monthly bank and general ledger reconciliation with the GBS team and manage bank insurance guarantees
  • Execute foreign exchange (FX)-related treasury activities and bank account management
  • Prepare monthly cash flow reports focusing on Days Sales Outstanding (DSO), Days Payable Outstanding (DPO), and Free Cash Flow (FCF)
  • Generate monthly FX hedge forecast reports and FX actual reports; conduct ad-hoc fireapp and FX hedge analysis with the global treasury team
  • Support Quarterly Business Reviews (QBR) and prepare quarterly cash flow plans
  • Process month-end closing activities using the BlackLine system
  • Manage ad-hoc SAP system configuration, process optimization, email and call follow-up

Qualifications

  • University degree in Finance, Accounting, Business Administration, or Law
  • Accounting certification (CPA or AICPA) preferred
  • Minimum 3 years of relevant accounting or treasury experience
  • Proficiency in SAP and BlackLine systems
  • Fluent spoken and written English
  • Demonstrable knowledge of retail business and e-commerce operations

Skills

Treasury operations management Foreign exchange (FX) analysis and hedging Cash flow forecasting and analysis Bank and GL reconciliation BlackLine system proficiency SAP system configuration Intercompany payment processing Financial reporting and month-end close procedures Microsoft Excel English communication

Experience

Minimum 3 years of accounting, treasury, or finance operations experience, ideally within luxury goods, retail, or consumer goods organizations. Prior exposure to GBS environments and international banking relationships is advantageous.

Education

University degree in Finance, Accounting, Business Administration, or Law. Accounting certification (CPA or AICPA) is advantageous.

Workplace

This position is based in Seoul, Seoul, South Korea.

Culture

LVMH fosters a culture where creativity, craftsmanship, and entrepreneurial spirit come together across an exceptional portfolio of luxury Maisons. As an employer, it offers a dynamic, international environment that values excellence, innovation, and the transmission of savoir-faire while encouraging each talent to contribute to the long-term desirability of its brands.

About Cerulean

Cerulean is the definitive career portal for the global luxury industry. We match exceptional professionals with exclusive opportunities at the world's most prestigious brands. From haute couture and fine watchmaking to prestige beauty, hospitality, and boutique retail, Cerulean centralises luxury employment to help you find the career for which you were destined.

Frequently Asked Questions

A.

The luxury industry is characterised by a diverse and nuanced nomenclature. Esteemed houses frequently employ proprietary terminology, and even within a single organisation like LVMH, titles may vary across global markets to reflect local conventions. To ensure absolute clarity, Cerulean assigns a standardised, industry-coherent canonical title to every listing. However, it is worth noting that this role is functionally synonymous with «Treasury Operations Accountant», «Treasury and Cash Flow Analyst», «Treasury Finance Officer», «Cash Management Accountant», and other variations. Our sophisticated search architecture anticipates these variations, ensuring that inquiries using related terms will seamlessly yield the exact roles you desire.

LVMH

LVMH Treasury and General Accounting Specialist

Seoul, South Korea

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