A Private Equity backed organisation who are going through a very exciting period of growth are recruiting for a Group Tax & Treasury Manager as they are transitioning the outsource of the department into the organisation.
Within the role you will be working with the senior management team as well as board members to manage the relationship between the firms and the business. You will play a key role in:
Tax Compliance
* Preparing and filing Corporation Tax, VAT returns
* Reviewing employment taxes and submissions
* Working with external advisors
Mergers and Acquisitions
* Working with advisors on due diligence to asses tax risks
Treasury
* Active cash management to reduce borrowing costs through cash pooling and liquidity products
* Cash-flow forecasting
* FX planning to manage foreign exchange risk
This is an exceptional role where you will be managing the key risks of integrating the tax function internally and support the continued growth. Ideally you will be fully qualified CIMA, ACA, ACCA and have a strong background across corporate tax.