Job Summary:
The role of Treasury & Tax Manager is responsible for leading tax and treasury initiatives, coordinating closely with colleagues across the finance function to achieve objectives. This dual role reports directly to the Group Finance Director.
Key Responsibilities:
* Manage Tax & Treasury function, leading a team of qualified and part-qualified accountants with a large focus on career development, mentoring & training.
* Act as the escalation point of contact for team members when approval thresholds are exceeded for risk-based payment decisions.
* Develop and enhance SMART KPI's to monitor performance and drive process efficiency and accountability.
* Work with the Finance Director to centralize Treasury Functions from Subsidiary locations (where practical) to Kiltimagh.
* Oversee the preparation and review of weekly cashflow forecasting for the Group.
* Prioritize and manage tasks to meet established deadlines for both month-end and year-end reporting.
* Ensure timely completion of all GL reconciliations assigned to this role, escalating any key risks or anomalies identified.
* Conduct thorough reviews of financial data to identify and rectify any errors or discrepancies.
* Assist with the preparation of year-end statutory accounts for external audit.
Additional Responsibilities:
* Tax Management: Responsible for the internal review of VAT returns and compliance reporting in collaboration with external partners across all jurisdictions.
* Work closely with the business to address tax concerns and questions.
* Facilitate timely and accurate corporate income tax and indirect tax compliance.
* Work closely with tax partners to implement and manage global transfer pricing strategies and policies and ensure compliance with those transfer pricing policies.
* Conduct tax research as necessary and stay informed on legislative changes and their implications for the Group.
* Oversee group tax compliance.
* Maintain a tax return filing calendar and manage third-party service providers to ensure that required reporting, payments, and returns are timely and accurately executed.
Skills & Qualifications:
* International tax & treasury experience required.
* SAP accounting software experience is beneficial.
* Experience of managing a significant workload, highly organized with strong attention to detail.
* Ability to work with management in a fast-paced environment.
* Proven analytical and problem-solving skills, including capacity to perform detailed analysis while understanding big picture implication(s).
* Strong communication skills to present or explain key findings/information to different audiences.
* Fully Qualified Tax Advisor and/or Accountant (ACA/ACCA/AITI).