Working in the newly formed Treasury team for a large plc you will support the Group Treasurer and Tax & Treasury Manager on a range of corporate tax and treasury issues. You will be responsible for executing the day-to-day operational activities. This will include daily liquidity management, executing FX requirements, running the monthly multi-lateral netting process and being the key person for treasury systems. You will also have the opportunity to be involved in the UK tax computations and tax compliance. In the future you will be involved in a variety of projects as this newly formed team moves forward.
You should be newly or partly ACCA/ACA/CTA/AMCT qualified with experience of working within an internal treasury function and of preparing corporate tax computations.