Head of Tax & Treasury UK & Europe – £80-90k + bonus + bens Neg DOE – Hybrid Working – Newbury 2 days a wk.

AIM listed European Unified Communications technology business seeks  a hands on Head of Tax and Treasury across the UK and Europe where they are expanding rapidly.  You will be a qualified professional and business parter with Group Finance, Operations and the senior management team.  This is a sole charge (and hence hands on) position but it is envisaged that  you may add another member of staff to your team in the near future.

This is a diverse role and ideally you will have European tax experience, including transfer pricing.  Previous treasury experience is useful but not essential if you are willing to learn as this responsibility sits with the role.

My client will look at a straight from practice or from the commercial in-house marketplace.

This is a hybrid role with around 2 days in the head office in Newbury each week but an overall flexible approach.

Salary is negotiable based on experience, the role has a super benefits package as well as a performance related bonus.

My client operates in the UK, German, Spanish, Benelux, Polish, and Dutch business markets.  It is AIM listed and employs c1650 people

Key responsibilities and tasks include:

  • Tax advisory projects relating to M&A.
  • Preparation of annual tax strategy document.
  • Responsible for Group Transfer Pricing Policies as well as review of transfer pricing documentation across the Group.
  • Maintenance of tax governance frameworks including SAO, CCO, tax strategy and readiness for UK SOX internal controls for tax processes.
  • Preparing and reviewing tax provisions for half year and year end reporting including liaising with external auditors.
  • Partnering with local finance teams across Europe, ensuring accurate tax accounting entries for group reporting and local entities.
  • Providing support to UK and European finance teams on tax compliance matters.
  • Support decision making considering banking and repatriation of funds and optimisation of tax structures.
  • Develop and recommend Treasury Management Policy and controls organisation wide.
  • Proactively engage with stakeholders to ensure cash flow forecasts are accurate.
  • Ensure treasury activities optimise the use of funds and ensure drawdowns are robust, as well as maintaining the treasury management software.

This role is ideally suited to a tax professional with:

  • CTA/ATT/ACCA/ACA qualification
  • Previous experience as a Tax Accountant or Tax Manager within a European business
  • Strong tax knowledge for UK and European countries. Strong corporate tax background, broader tax knowledge a bonus
  • Great interpersonal skills, autonomous and a commercial approach
  • Previous treasury experience is beneficial but not required.

To apply please send your CV with a short covering note about why the role appeals, what your current base salary and package is and your notice period.

eXactitude Resourcing Limited is acting as a recruitment agency in relation to this role. eXactitude complies with all relevant UK legislation and doesn’t discriminate on any protected characteristics.

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