Group Tax and Treasury Manager
- Employer
- Arnold Ash Limited
- Location
- West London, UK
- Salary
- Competitive
- Closing date
- Oct 21, 2019
View more
- Job Role
- Tax Compliance
- Sector
- Finance
- Contract Type
- Permanent
- Hours
- Full Time
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Group Tax and Treasury Manager - Private Equity - London - Potential IPO Arnold Ash have been retained by a leading International PE backed business to identify and attract their newly established Group Tax and Treasury Manager. The client is based in London (HQ) and Operate across Africa currently. This is a new vacancy created via growth. They are about to enter a potential IPO and move from their current 5 Operating Countries in to potentially several more. This growth and move to Profit means the Head of Corporate Finance requires a Group Tax and Treasury Manager to delegate full responsibility for Tax and Treasury. You must be hands on as this role does not have any direct reports Experience of the Group Tax and Treasury Manager: Demonstrable experience in Africa / emerging markets Qualified accountant / tax professional who has worked within a Big 4 firm (or similar) and / or in a tax & treasury role within a blue chip company (eg. FTSE250/100) M&A Tax experience Treasury Modelling experience CTA or ACA / ACCA required Good Excel skills Main responsibilities of the Group Tax and Treasury Manager: Ensure that the Group's tax position is optimal and creating maximum value for its shareholders and other stakeholders of the business Forecasting the Group and Operating company effective tax rates and UK corporation tax payments Assist in tax structuring on M&A transactions and new market expansions Accountable for ensuring that the tax accounting for the consolidated Group and individual statutory entities, including all tax disclosures for current tax and deferred tax, are prepared in line with applicable standard Improving the tax and treasury policies, processes and control environments and implementing recommendations for improvement from internal and external auditors Work with other parts of the business to introduce improvements to the Operating Company information and processes used to ensure tax compliance Improve cash flow modelling capabilities, maintaining links with the FP&A team and setting cash flow targets for each business Manage day-to-day treasury operations - foreign exchange transactions / fixed term deposits and drawdowns confirmation Ensure compliance with the requirements of finance agreements Group Tax and Treasury Manager - Private Equity - London - Potential IPO Full Job Specification and company details on application Corporate Finance
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