Treasury Officer

Treasury Officer

London Full-Time 28800 - 43200 £ / year (est.) Home office (partial)
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At a Glance

  • Tasks: Forecast cash flow and support treasury operations in a dynamic finance team.
  • Company: Join the University of London, a leader in global education and online learning.
  • Benefits: Enjoy hybrid working, flexible hours, and a commitment to diversity and inclusion.
  • Why this job: Make an impact in education while developing your finance skills in a supportive environment.
  • Qualifications: No specific qualifications required; enthusiasm and willingness to learn are key!
  • Other info: Applications close on 28th May 2025; apply now to be part of something big!

The predicted salary is between 28800 - 43200 £ per year.

The University of London is the UK’s largest provider of international distance and online learning and the convenor of a federation of 17 London-based universities, many of which are among the highest-ranking universities in the world. Collectively the federation represents a cohort of some 250,000 learners and 50,000 academic and professional services staff. Within this cohort are around 40,000 University of London students who study programmes which are developed and delivered in partnership with our 17 federation members. The University of London is also home to the School of Advanced Study, the national centre for the humanities and a champion for the arts and humanities. Although proudly rooted in London, our community and impact are global. Our passion for increasing access to education and mobilising the collective power and expertise of the federation is central to our ability to transform lives around the world and address the global challenges of the future.

The Role

  • Cash flow forecasting (key competence) – engage with the business and the wider finance team to understand the University’s revenue and payment cycles and key levers to produce robust short-term (weekly) and long-term (24 months) cash flow forecasts and provide analysis ensuring accuracy for cash and liquidity management.
  • Assist with annual audit queries, queries from banks and other stakeholders.
  • Support the Associate Director of Treasury in the preparation of the quarterly treasury report and other reports and analysis.
  • Support the core remit of the Finance team and provide cover and support for other member(s) of the Treasury & Business Planning team when required and actively exchange ideas and best practices.
  • Undertake other day-to-day treasury duties in accordance with the Job Descriptions.

Further Information

To be considered for this opportunity, please submit your Application and CV before the closing date at midnight on the 28th May 2025. The University will be unable to sponsor candidates for a visa for this role. Successful applicants must be able to prove their right to work in the UK for the duration of their employment. The University reserves the right to close the vacancy earlier than the published end date should it receive sufficient applications to warrant earlier shortlisting. The University currently operates a Hybrid Working framework involving a mix of working remotely and in the office. Typically, most employees will be able to agree to work remotely for up to 60% of their working week, role dependent, however will need to attend the office on specific days for training or team meetings etc. The University of London is committed to promoting a diverse and inclusive working environment where we can all be ourselves and succeed. We particularly encourage applications from members of Black, Asian, and Minority Ethnic communities as this group is currently under-represented at all levels within the University. All appointments will be made on merit, based on the criteria named in the job description. Pursuing excellence in education and equal opportunities.

Treasury Officer employer: University of London

The University of London is an exceptional employer, offering a dynamic work culture that values diversity and inclusion while providing meaningful opportunities for professional growth. With a commitment to flexible hybrid working arrangements, employees can enjoy a balanced work-life experience while contributing to a globally impactful educational mission. The University fosters collaboration and innovation, making it an ideal place for those looking to make a difference in the world of education.
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Contact Detail:

University of London Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Treasury Officer

✨Tip Number 1

Familiarise yourself with cash flow forecasting techniques, as this is a key competence for the Treasury Officer role. Understanding the revenue and payment cycles specific to educational institutions will give you an edge in discussions during the interview.

✨Tip Number 2

Network with professionals in the finance sector, particularly those who work in treasury roles within educational institutions. This can provide you with insights into best practices and may even lead to valuable referrals.

✨Tip Number 3

Stay updated on current trends in treasury management and financial regulations that affect educational institutions. Being knowledgeable about these topics will demonstrate your commitment and expertise during the interview process.

✨Tip Number 4

Prepare to discuss how you would handle annual audit queries and stakeholder communications. Having specific examples ready will showcase your problem-solving skills and ability to work collaboratively within a finance team.

We think you need these skills to ace Treasury Officer

Cash Flow Forecasting
Financial Analysis
Attention to Detail
Communication Skills
Stakeholder Engagement
Problem-Solving Skills
Report Preparation
Data Interpretation
Team Collaboration
Knowledge of Treasury Operations
Audit Support
Adaptability
Time Management
Proficiency in Financial Software

Some tips for your application 🫡

Understand the Role: Read the job description thoroughly to grasp the key responsibilities and required competencies for the Treasury Officer position. Tailor your application to highlight relevant experiences that align with cash flow forecasting and financial analysis.

Craft a Strong CV: Ensure your CV is up-to-date and clearly outlines your relevant experience in finance, particularly in cash flow management and treasury functions. Use bullet points to make it easy to read and focus on achievements that demonstrate your skills.

Write a Compelling Cover Letter: In your cover letter, express your passion for the role and the University of London's mission. Highlight specific examples from your past work that showcase your ability to engage with finance teams and produce accurate forecasts.

Proofread Your Application: Before submitting, carefully proofread your CV and cover letter for any spelling or grammatical errors. A polished application reflects your attention to detail, which is crucial for a Treasury Officer.

How to prepare for a job interview at University of London

✨Understand Cash Flow Forecasting

Make sure you have a solid grasp of cash flow forecasting principles. Be prepared to discuss how you would engage with different departments to gather necessary data for accurate short-term and long-term forecasts.

✨Familiarise Yourself with the University’s Structure

Research the University of London and its federation of universities. Understanding their unique revenue and payment cycles will help you demonstrate your knowledge and show that you're genuinely interested in the role.

✨Prepare for Technical Questions

Expect questions related to treasury management and financial analysis. Brush up on your technical skills and be ready to provide examples of how you've handled similar tasks in previous roles.

✨Showcase Your Teamwork Skills

The role involves collaboration with various teams. Be ready to share experiences where you've successfully worked in a team, exchanged ideas, or supported colleagues in achieving common goals.

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