Support the development of the treasury function in a dynamic, fast-paced environment
Work closely with the Treasury Manager to manage liquidity, enhance controls, and contribute to financial strategy through investment and FX initiatives
Monitor daily cash positions across multiple currencies and subsidiaries
Maintain short-term cash flow forecasts
Manage banking relationships and platform access
Support account administration, corporate credit card management, and internal audits
Prepare monthly dashboards and interest income budgets
Assist with financial reporting and compliance
Play a key role in shaping treasury processes and driving operational improvements
Based at CFC’s London HQ in Bishopsgate; hybrid working
Requirements
Have demonstrable experience in Finance or Treasury (Insurance, Financial Services, or Payments preferred)
Be confident in cashflow forecasting and banking administration
Possess strong Excel skills (pivot tables, VLOOKUP) and familiarity with banking platforms (e.g., HSBCNet, Bankline)
Be part-qualified (ACCA, ACA, CIMA) or studying towards ACT
Demonstrate high attention to detail, strong communication skills, and a proactive, collaborative mindset
Experience with Treasury Management Systems and NetSuite is a plus
Applicant Tracking System Keywords
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