This Private Equity backed client has an opportunity for an ambitious individual to take ownership and control of their new Tax and Treasury function. The role represents a niche opportunity for someone to join an ambitious and market leading organisation based in Leeds.
As Group Tax and Treasury Manager you will oversee the Group’s corporate tax and treasury responsibilities. Responsible for tax compliance, tax structuring, and cash management/forecasting - working closely with the Group Controller, CFO & Senior Stakeholders.
Alongside the statutory tax compliance aspects of the role you will also be involved in many interesting projects pertaining to the commercial growth and success of the Group.
These will likely include:
- working with advisors on due diligence to assess tax risks on mergers and acquisitions
- helping to structure the next transaction for the business which might be an IPO, trade sale or secondary buyout
- cash-flow forecasting,
- FX planning to manage foreign exchange risk
- managing relationships with banks and funding providers
The successful candidate will be an experienced tax practitioner with the relevant professional qualification e.g. ACA, CTA. You will have previous experience managing and improving corporate tax structures and will either be working in a Professional Practice environment of in-house tax team.
You are unlikely to have experience of every aspect of this role. The gaps will be your learning curve and with your energy, enthusiasm and ambition for personal and professional growth we are confident that this role and organisation will allow you to flourish.
This recruitment process will be conducted in compliance with all Covid-19 guidelines. Please forward a CV without delay. Initial interviews will be held ASAP and online.