If you’ve worn a pair of glasses, we’ve already met.
We are a global leader in the design, manufacture, and distribution of ophthalmic lenses, frames, and sunglasses. We offer our industry stakeholders in over 150 countries access to a global platform of high-quality vision care products (such as the Essilor brand, with Varilux, Crizal, Eyezen, Stellest and Transitions), iconic brands that consumers love (such as Ray-Ban, Oakley, Persol, Oliver Peoples, Vogue Eyewear and Costa), as well as a network that offers consumers high-quality vision care and best-in-class shopping experiences (such as Sunglass Hut, LensCrafters, Salmoiraghi & Viganò and the GrandVision network), and leading e-commerce platforms.
Join our global community of over 190,000 dedicated employees around the world in driving the transformation of the eyewear and eyecare industry.
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Your #FutureInSight with EssilorLuxottica
Are you willing to pioneer new frontiers, foster inclusivity and collaboration, embrace agility, ignite passion, and make a positive impact on the world? Join us in redefining the boundaries of what’s possible.
As a Treasury Reporting Analyst, you will play a crucial role in monitoring, analyzing, and reporting treasury operations to ensure compliance, mitigate financial risks, and support decision-making within a dynamic CAC 40 environment. If you are a motivated treasury professional with a strong risk mindset and analytical skills, we invite you to apply and join our growing team.
In this role, you will be involved in the following topics:
Net Financial Position: Monitor and report the company's net financial position, ensuring accuracy and consistency in financial data. Weekly Cash Flow: Prepare and analyze weekly cash flow reports to support liquidity management. Treasury Deck: Compile and present key treasury metrics and insights in the Treasury Deck for senior management. Registration Document: Assist in the preparation of treasury-related sections for the annual registration document. Monthly Closure: Support the monthly closing process by ensuring treasury transactions are accurately recorded and reported.
You will ideally have most of the following qualifications, experience and behaviours:
Bachelor's or Master’s degree in Finance, Economics, Accounting, or a related field. 1-3 years of experience in Treasury, Finance, or a similar function in a corporate or banking environment. Strong understanding of financial instruments, including FX, interest rate derivatives, and cash management products. Knowledge of IFRS accounting principles and treasury risk management frameworks. Proficiency in treasury management systems (e.g., Kyriba) and advanced Excel skills. Strong analytical skills, attention to detail, and the ability to work under tight deadlines. Excellent communication skills, with the ability to collaborate across departments. Fluency in English is required; French or Italian are a plus but not a must.
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Our Diversity, Equity and Inclusion commitment
We are committed to creating an inclusive environment for all employees. We celebrate diversity and provide equal opportunities to all, regardless of race, gender, ethnicity, religion, disability, sexual orientation, or any other characteristic that makes us unique.