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Tax & Treasury Manager
Title: Tax & Treasury Manager
Category: Accounting & Finance
Job type: Permanent
Job status: Full Time
Salary: £50,000.00 - £60,000.00
Salary per: annum
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Tax and Treasury Manager

Based in West London

Salary: £50,000 - £60,000

A leading and high-profile international business is currently looking to recruit an experienced Tax and Treasury Manager at their UK HQ in West London. This is a fantastic opportunity for a qualified, experienced and hands-on Treasurer, with expert Tax knowledge, to play a key role in ensuring the Treasury function runs smoothly.

The main accountabilities for this role include...

* Cash flow forecasting

* Driving the optimisation of working capital in the business through smart working practices

* Complete VAT returns for the company's subsidiaries, ensuring deadlines are met

* Influencing managers' approach across a multi-site business regarding stock management and expenditure etc, thereby improving working capital

The Role

You would take ownership of all treasury activities, to include daily cash management, bank reconciliations, working capital analysis, cash flow forecasts and UK and ROI VAT submissions. As well as playing an active role in this work, assisted by a junior member of the team, you would also focus on planning and analysis, streamlining and improving current processes and procedures, and leading on the strategic development of the treasury operation. This is a hands-on role that requires strong influencing skills to improve working capital practices across a multi-site business.

The Candidate

You will need strong tax and corporate treasury operations experience, including taking ownership of cash management and reporting. The business is looking for someone with strong analytical skills, who can take ownership of the strategic development within treasury whilst also getting involved in the day to day cash management activities; cashflow, payments, reconciliations etc. A thorough understanding of cash forecasting will be required, as will significant VAT experience. Candidates must have worked in a senior capacity within a similar role previously.

In addition, candidates should…

* Be professionally qualified in a finance, tax or accountancy

* Possess a keen eye for detail, excellent and numeracy and problem-solving skills

* Be able to time manage effectively and meet deadlines

* Hold strong gravitas and demonstrate excellent communication skills, with the confidence to liaise with colleagues across the business, driving change

Offering an interesting and varied workload, this is a great opportunity to lead and develop the Treasury department of a forward-thinking international business.

This role may be suitable for you if you have a background as any of the following: Treasury Manager, Group Treasury Manager, Financial Accountant, Working Capital Manager, Treasury Reporting Manager, Finance Manager, Financial Controller. We are acting as a Recruitment Consultancy for this role.
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