Working within the in-house finance team for this large international company you will undertake a mixed tax and treasury role. You will be responsible for undertaking the more complex areas of the tax compliance and reporting for the group, country by country reporting, transfer pricing, managing the Tax Risk register and SAO reporting requirements. You will be responsible for ensuring the smooth running of the day to day Treasury operations including overseeing a project implementing a new TMS system, updating and reviewing the Group's Treasury policies and the development of cash management and pooling arrangements. You will also support the Group Treasurer on strategic, operational and funding initiatives.
You should be ACA/CTA or AMCT qualified with experience of both corporate tax and treasury issues most likely gained from working in industry.
This is a fantastic opportunity to join an in-house Tax & Treasury team at an early stage in its development.