[LVMH Beauty] Treasurer
Brand
LVMH Perfumes & Cosmetics
Contract
Permanent
Category
Finance
Experience
Minimum 3 years
Mode
On-site
City
Seoul
Country
South Korea
Published
13/07/2026
Last seen
15/07/2026
About the role
Description
- Company is seeking a Treasury & General Accounting accountant to support treasury operations, FX reporting, and cash flow management, and month-end closing.
- This role will work closely with the local finance teams, GBS (Global Business Services), the Global treasury team and the local banking partners to ensure accurate financial reporting, compliance, and effective cash and treasury operations
Les missions
Treasury Operations
- Intercompany payments & IC reconciliation.
- GBS payment review and approval from the Cashflow perspective.
- Perform monthly bank and GL reconciliation with the GBS team.
- Manage bank insurance guarantees .
- Execute FX-related treasury activities and bank account management.
FX & Hedging
- Monthly report: Cash flow hedge forecast reports & FX actual reports
- Ad-hoc: Fireapp & FX hedge analysis with the global treasury team.
Cash Flow Management
- Prepare monthly cash flow reports (DSO, DPO, FCF)
- Support Quarterly Business Reviews (QBR)
- Prepare and manage the quarterly cash flow plans
Other duties
- Process the Month-end closing activities using BlackLine
- Ad-hoc: SAP System or Process setting/ Email & Call follow-up