Our Basingstoke based client is the UK leader in their field and recognised for providing an outstanding customer experience. As they continue to grow rapidly, we are looking for a talented Tax and Treasury Manager to strengthen our finance team.As the Tax and Treasury Manager, you will oversee tax strategy, compliance, and treasury operations across five countries (UK, Spain, Portugal, Iceland, and Ireland). This role involves managing tax filings, optimising cash flow, and developing tax-efficient strategies to support business objectives. You’ll collaborate closely with external advisors, handle banking relationships, and have the opportunity to lead and mentor a growing team.What will the Tax and Treasury Manager role involve?
- Develop tax strategies, ensure compliance, and manage VAT, corporate tax, and other filings across five countries.
- Advise on tax impacts and manage HMRC relationships.
- Oversee cash flow, optimise payment processes, manage foreign exchange and financial risks, and lead weekly global cash analysis.
- Lead a small accounts payable team, drive process improvements, and foster professional development.
- Engage in finance-related projects such as system automation and new software integrations.
Suitable Candidate for the Tax and Treasury Manager vacancy:
- 5+ years in tax/treasury management (multinational experience preferred).
- Knowledge of UK and European tax laws.
- Strong leadership, analytical, and problem-solving skills.
- Experience managing treasury functions, including cash flow and banking relationships.
- Proficient in financial software and Excel.
Additional benefits and information for the role of Tax and Treasury Manager:
- Great offices, parking, car charging and flexible working options.
- 25 days holiday + bank holidays.
- 10% annual bonus.
- Life insurance (3x salary), pension scheme, salary sacrifice EV scheme, cycle-to-work, and more.
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