As the UK's largest fibre-only network, and its only proven wholesale challenger, we're busy setting new standards for what digital infrastructure can and should be.
Designed from scratch for the internet, our network is greener, more reliable and ready for the future. The products we provide over it not only lead the market on speed, value and service, they help businesses to innovate, provide entire communities with a better foundation for their digital lives and support economic growth, locally and nationally.
We're looking for a Treasury Analyst contractor to join our team on-a 6-month basis. This role is critical to to the day-to-day management of treasury risk and reporting, supporting the Head of Treasury in shaping a forward-thinking function.
You'll play a key part in cash flow forecasting, daily cash management, and treasury analytics, while gaining exposure to exciting project work and treasury transformation. If you're detail-driven, confident with Excel, and enjoy working collaboratively, this is a fantastic opportunity to grow your treasury career.
What you'll be doing:
Leading the preparation of accurate cash flow forecasts and treasury reports to support smart financial decision-making
Managing daily cash operations and ensuring smooth settlement of treasury transactions with banks
Supporting the Head of Treasury with key projects, including the development of treasury processes
Collaborating with internal teams and external lenders to ensure timely and accurate reporting and compliance
Helping shape treasury policies and controls, contributing to a strong governance framework
What you'll bring to the role:
A sharp eye for detail and a proactive mindset, ensuring accuracy in cash flow forecasting and treasury reporting
Strong Excel skills and confidence in handling data to support insightful financial analysis
A collaborative approach, working closely with finance colleagues and external banking partners
A willingness to grow and get involved in exciting treasury projects and transformation initiatives
A sense of ownership and responsibility in managing daily cash operations and supporting treasury governance
Qualifications
Essential Skills
Strong analytical thinking - to confidently interpret financial data and support smart decision-making
Advanced Excel skills - for building accurate forecasts, reports, and models with ease
Attention to detail - ensuring precision in daily cash management and treasury reporting
Clear communication - to collaborate effectively with internal teams and external banking partners
Adaptability and curiosity - to thrive in a dynamic environment and contribute to exciting treasury projects
Additional Information
CityFibre is partnering with Talent Works to manage our contingent worker vacancies. If you are successful in your application, you will be engaged by Talent Works to work on assignment at CityFibre.
We want to create a sense of belonging for everyone. We celebrate our differences and work to ensure everyone has the best chance to succeed, starting with our recruitment process. No matter your background, family or carer status, ethnicity, sexual orientation, religion, age, disability, gender, or gender identity, we welcome your application. If you need any support or reasonable adjustments throughout the application process, please email us at careers@cityfibre.com. We want to help!
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