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Senior Tax & Treasury Specialist, West London, to £450 per day

Specialism:
Corporate Tax Jobs, Treasury Jobs
Job Title:
In House Tax Jobs, Interim Tax Jobs
Region:
UK & Ireland Tax Jobs
Location:
Greater London Tax Jobs
City:
West London Tax Jobs
Salary:
£350 to £450 per day
Salary Description:
£350.00 - £450.00 per day + Benefits
Posted:
19-Mar-19
Job Ref:
3557491

Leading consumer products group - currently recruiting a Senior Tax & Treasury Specialist. Based West London.

Your new company

Leading consumer products group - currently recruiting a Senior Tax & Treasury Specialist. Based West London

Your new role

This is a key role in the financial management of the businesses to ensure optimal and efficient treasury operations and management of all tax exposures. Key interfaces are with various group functions to optimise the group positions. As subject expert in both areas, this role provides advice and guidance to the senior management of the business on risks, exposures and mitigation options. This role includes interlocutor for the group with HMRC and other UK government bodies when required.

Key Responsibilities:

Tax:

* Manage the process for the calculation and declaration such payroll taxes that fall outside of the monthly payroll (ie PSA, P11d);
* Provide guidance and support to the business on the practical application of vat, corporation tax, P11d, PSA etc. advising on the most efficient options;
* Support all year end statutory tax reporting requirements.

Treasury:

* Ensure all processes and controls operate in line with treasury policy and are fit for purpose;
* Manage daily cash requirements ensuring adequate funds are available and any excess funds are used for group benefit;
* Liaise with group head office to ensure group loans are repaid in accordance with group requirements;
* Forecast business FX requirements building a model to manage FX purchases in accordance with treasury policy;
* Maintain adequate hedging documentation to ensure documentation meets accounting requirements;
* Prepare cash forecasts (weekly, monthly, quarterly) to meet GB&I and group requirements. Ensure monthly forecasts are reconciled to balance sheet forecasts.

What you'll need to succeed

Relevant treasury/tax/accounting qualifications;
Experience in treasury operations with emphasis on FX exposure management and hedging;
Experience of operating in international groups with cross border trading.

What you need to do now

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career.

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