Fall 2026 Intern - Treasury

Frontier AirlinesDenver, CO
$20 - $24Onsite

About The Position

As an integral part of Frontier's success, Treasury Interns receive high visibility by management along with a range of formal training and informal learning opportunities that support ongoing professional development and career growth. The Treasury Department is a high exposure component of the corporate finance area of the company that manages a variety of important responsibilities. The focus of the Treasury Intern will be to assist with a variety of projects and tasks that touch on many different aspects of the Treasury department. This internship is for Fall 2026 - 9/9/2026 - 12/11/2026 based in Denver, CO.

Requirements

  • 3+ years of relevant undergraduate-level coursework completed or currently enrolled in a graduate program, preferred.
  • Must be enrolled in an accredited university.
  • Relevant coursework includes finance, accounting, business administration, economics, mathematics, and other quantitative disciplines.
  • Demonstrated understanding of economic, financial and accounting concepts.
  • Familiarity with Excel, macros and other software used for data mining and analysis.
  • Available to work full-time hours during course of internship.

Nice To Haves

  • An interest in finance, accounting, capital markets including the fuel markets and/or treasury management.
  • An interest in aviation is a plus, but not necessary.
  • Strong written and verbal communication and presentation skills.
  • Ability to structure logical analytical approaches and to apply a range of quantitative techniques to solve business problems in an efficient, timely manner.
  • Ability to work self-sufficiently to creatively solve analytical challenges with limited data and imminent deadlines.
  • Superior analytical skills and familiarity with data gathering/mining techniques.
  • Business acumen and strategic mindset.
  • Strong work ethic, results-oriented.

Responsibilities

  • Assist the Treasury team with projects and tasks, including cash forecasts and daily cash summaries.
  • Cash duties, including payments and receipts and reconciliation of daily cash position.
  • Fleet finance and administration.
  • Corporate insurance.
  • Fuel administration and operations.
  • Risk management and financial markets.
  • Financial analysis and reporting.
  • Corporate finance and borrowing.
  • Contract negotiations.
  • Scenario analysis.
  • Internal consulting to functions across the organization.
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