This role will report into the Finance Director and have regular board interaction. A dynamic business with a consecutive 5 year growth story, this will be an incredibly commercial role and fantastic opportunity.
Key Responsibilities:
* Lead the tax and treasury strategy across the group
* Owning, managing and executing tax and treasury operations including cash flow optimisation, foreign exchange and liquidity
* Writing tax and treasury policy, as well as ensuring this is implemented
* Strategic cash repatriation, as well as managing foreign exchange and risk
* Managing effective tax rate and tax planning
* Ensuring all tax obligations of the group are met in a timely manner
* Managing HMRC relationship and other tax authorities/jurisdictions
* Managing group transfer pricing reporting, as well as country by country reporting
Key Requirements:
* Ideally ACA/CTA/AMCT qualified
* Experience in a Global and complex Tax and Treasury function
* Experience of working with both UK and international tax authorities
* Significant international knowledge and experience
* Balance of tax technical knowledge with practical application of tax rules
* Previously operated at a senior management level in a commercial business
* Experience of working in a multi-national organisation
* Ability to roll up sleeves and operate in a very hand's on environment
* Excellent communication and relationship building skills