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Treasury Financial Expert
3 weeks ago
Treasury & Tax Leader
At a leading specialist technology distributor, we are seeking an experienced Treasury & Tax Manager to lead tax and treasury initiatives. As a key member of the finance team, you will work closely with colleagues across the organization to achieve business objectives.
Key Responsibilities:
- Manage the Tax & Treasury function, overseeing a team of accountants and providing career development opportunities.
- Act as the escalation point for teams members when approval thresholds are exceeded for risk-based payment decisions.
- Develop SMART KPI's to monitor performance and drive process efficiency and accountability.
- Collaborate with the Finance Director to centralize Treasury Functions from Subsidiary locations where practical.
- Oversee weekly cash flow forecasting and prioritize tasks to meet established deadlines for month-end and year-end reporting.
- Ensure timely completion of all GL reconciliations assigned to this role, escalating any key risks or anomalies identified.
- Conduct thorough reviews of financial data to identify and rectify errors or discrepancies.
- Assist with the preparation of year-end statutory accounts for external audit.
- Foster a culture of operational excellence, financial accountability, and continuous improvement, focusing on treasury and tax process improvements.
- Assist on special projects, including restructuring, mergers, or acquisitions.
Tax Management Role:
- Internal review of VAT returns and compliance reporting in collaboration with external partners across all jurisdictions.
- Work closely with the business to address tax concerns and questions.
- Facilitate timely and accurate corporate income tax and indirect tax compliance.
- Implement and manage global transfer pricing strategies and policies, ensuring compliance.
- Conduct tax research and stay informed on legislative changes and their implications for the Group.
- Oversee group tax compliance and maintain a tax return filing calendar.
- Manage third-party service providers to ensure timely and accurate reporting, payments, and returns.
- Work with local and group accounting teams to support quarterly and annual reporting and local statutory reporting.
- Lead management of group-wide tax audits across all tax areas.
Treasury Management Role:
- Analyze group financing requirements and ensure adequate liquidity and funding strategies are in place.
- Optimize the use of surplus cash and lead cash pooling discussions with subsidiaries.
- Identify and drive process improvements in corporate treasury operations using treasury management system, banking platforms, and analytical tools.
- Provide support to and collaborate with Group Finance and operations colleagues to improve working capital, manage liquidity, and cash repatriation strategy across the group.
- Manage banking relationships across the group, including Invoice Discounting Facilities and FX Management.
- Coordinate local bank account openings, closures, and changes in bank services.
- Support the Treasury team on ad-hoc projects.
Requirements:
- International tax and treasury experience required
- SAP accounting software experience beneficial
- Experience managing a significant workload, highly organized with strong attention to detail
- Ability to work with management in a fast-paced environment
- Proven analytical and problem-solving skills, including capacity to perform detailed analysis while understanding big picture implications
- Strong communication skills to present or explain key findings/information to different audiences
- Fully Qualified Tax Advisor and/or Accountant (ACA/ACCA/AITI)