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Treasury Manager
full-timeMilan

Summary

Location

Milan

Type

full-time

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About this role

Overview

For our Worldwide Finance & Control Department, we are looking for a Treasury Manager to join the Worldwide Treasury Team at our HQ in Milan.


Your Impact

The Treasury Manager leads the management and optimization of the Group’s FX hedging activities, ensuring regulatory compliance, accurate financial accounting and continuous improvement of treasury processes.

The role contributes to strengthening financial risk control, enhancing cash flow visibility and supporting the evolution of treasury governance and automation across the Group.

 

Activities:

  • Manage, optimize and execute the Group’s FX hedging program, including trading activities, risk monitoring, accountability and reporting, hedge effectiveness analysis, P&L impact and cash impact evaluation.
  • Ensure management of compliance deliverables in collaboration with external and internal auditors, Trade Repositories and regulatory bodies, in line with ISDA, EMIR, MIFID and related requirements.
  • Oversee financial accounting activities and the development and maintenance of accounting models related to hedging instruments and financial movements.
  • Manage cash flow and fair value hedging activities across different currencies, including actual cash flow monitoring and forecasting.
  • Perform monthly closing activities, including corporate financial reporting and analysis of variances versus budget and prior years.
  • Lead and contribute to projects aimed at automating, streamlining and improving treasury flows and internal procedures across the Group.

Qualifications

Who We Are Looking For
Main qualifications:

 

  • At least 5 years of experience in a similar role in a structured international Group or as a consultant with solid exposure to FX trading and hedge accounting principles
  • Strong expertise in Treasury and Hedge Management and derivatives

  • Solid knowledge of SAP TRM applications (Bank Loans, IC Loans, Time Deposits, Liquidity Calculation)

  • Experience in cash flow management in hedged currencies and hedge accounting models

  • Advanced use of Bloomberg for FX and market monitoring

  • Knowledge of EMIR trade reporting requirements

We Would Appreciate a Person That Is:

  • Analytical and detail-oriented, with strong problem-solving capabilities
  • Collaborative and effective in communication, able to interact with multiple stakeholders across functions and geographies

 


 


“Moncler Group is an equal opportunity employer, which means we do not discriminate on the basis of Ethnic origin, Skin color, Religion, Civil status, Age, Nationality, Ancestry, any form of disability or neurodivergence, medical condition, Gender, Gender Identity or Expression, Sexual Orientation. We celebrate diversity and are committed to creating an inclusive environment for all employees.”

Other facts

Tech stack
FX Hedging,Financial Accounting,Treasury Management,Hedge Accounting,Cash Flow Management,SAP TRM,Bloomberg,EMIR Compliance,Analytical Skills,Problem-Solving,Communication,Stakeholder Interaction

About Moncler Group

Moncler was founded in Grenoble, France, in 1952 and is currently headquartered in Milan, Italy. Over the years the brand has combined style with constant technological research assisted by experts in activities linked to the world of the mountain. This makes the Moncler collections the quintessence of outwear that marries the extreme demands of nature with those of city life. In 2003 Remo Ruffini took over the company, of which he is currently President and Creative Director. Moncler manufactures and directly distributes men's, women's and accessory collections through its boutiques and in exclusive international department stores and multi-brand outlets.

Team size: 5,001-10,000 employees
LinkedIn: Visit
Industry: Retail Luxury Goods and Jewelry
Founding Year: 1952

What you'll do

  • The Treasury Manager is responsible for managing and optimizing the Group’s FX hedging activities, ensuring compliance and accurate financial accounting. The role also involves leading projects to improve treasury processes and cash flow visibility.

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Frequently Asked Questions

What does a Treasury Manager do at Moncler Group?

As a Treasury Manager at Moncler Group, you will: the Treasury Manager is responsible for managing and optimizing the Group’s FX hedging activities, ensuring compliance and accurate financial accounting. The role also involves leading projects to improve treasury processes and cash flow visibility..

Why join Moncler Group as a Treasury Manager?

Moncler Group is a leading Retail Luxury Goods and Jewelry company.

Is the Treasury Manager position at Moncler Group remote?

The Treasury Manager position at Moncler Group is based in Milan, Lombardy, Italy. Contact the company through Clera for specific work arrangement details.

How do I apply for the Treasury Manager position at Moncler Group?

You can apply for the Treasury Manager position at Moncler Group directly through Clera. Click the "Apply Now" button above to start your application. Clera's AI-powered platform will help match your profile with this opportunity and guide you through the application process. You can also learn more about Moncler Group on their website.