Group Tax & Treasury Manager

Vitae Financial Recruitment Limited
14 May 2017
13 Jun 2017
Contract Type
Full Time
Group Tax and Treasury Manager, FTSE Listed
Central London
£65-£75K + Bonus and Excellent Benefits

A highly successful, FTSE listed company and a global leader in their field has an outstanding opportunity for a Group Tax and Treasury Manager. This is an international organisation with operations in USA, Czech Republic, Netherlands, Australia, Scotland and China.

This position will help the organisation reach their growth potential. We are seeking a qualified accountant ideally with both tax planning and treasury front office operational responsibilities. Candidates specialising in either and wishing to learn and study the other will also be considered.

With the support of the Group Planning and Reporting Manager, your tax accounting responsibilities will include effective tax rate and forecast/deferred tax calculations for half year and year end statutory accounts. Further to this you will review all tax computations, liaising and acting as lead contact for tax advisers and the internal tax 'expert' for the group.

You will support the Group Treasurer by executing day to day treasury operations, minimising transaction costs and interest expense while ensuring efficient implementation of the Group's hedging policy. Further to this you will oversee the monthly netting process and intercompany relationships. You will be the first contact point for central tax and treasury queries from affiliates, ensuring that appropriate support is provided.

This combination of group tax accountancy and front office treasury offers great professional development opportunities and senior management exposure. In addition, they would encourage and support study for a professional treasury qualification.
Due to the technical nature of the role, it is essential that you are a qualified accountant (CA/ACCA/CIMA etc) with experience in corporate tax. This should include significant experience of completing tax calculations and computations at a group consolidation level for a multi-national business.

A qualification in Treasury or Tax such as AMCT (or CTA) would be a distinct advantage, as would studying towards an ACT qualification. The client however, be willing to offer support to achieve ACT qualifications for those already accountancy qualified. Here we are looking for experience of treasury deal execution, including FX/IR spot, forward, swap and options. Exposure to Bloomberg, IT2, 360T and JD Edwards would be advantageous, however not essential.

Regardless of background, you will have excellent communication and interpersonal skills, allowing you to build strong relationships with stakeholders both internally and externally, and with a range of different seniorities. Analytical by nature, you will bring with you strong problem solving skills and abilities, as well as the confidence and good judgement demanded by a front office treasury role. You will be able to manage multiple projects and priorities simultaneously, while always looking for more efficient or effective ways of working.

In return our client offers a varied, interesting and challenging workload. You will have all of the support and guidance you need to thrive, yet you will have the opportunity to put your own mark on things. On top of a competitive salary, we offer an attractive benefits package.

AGY - Vitae Financial Recruitment
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