Head of Tax & Treasury - International Data & Research Company - Competitive Salary
Your new company
An international data analytics and market research business is seeking an experienced Head of Tax & Treasury to join the companys successful finance team. The company operates in the UK, Europe, the Americas, the Middle East, and India, which offers one of the worlds largest research networks.
Your new role
1. Tax Strategy & Compliance:
Develop tax strategies, oversee compliance activities, monitor global tax developments, and manage relationships with tax authorities.
2. Transfer Pricing Management:
Implement transfer pricing policies, ensure documentation, conduct reviews, and handle audits.
3. Treasury Management:
Oversee cash flow forecasting, optimize working capital, manage foreign exchange risks, and maintain banking relationships.
4. Loan Management:
Structure and manage intercompany loans and external debt, ensure compliance, and monitor debt covenants.
5. Financial Risk Management:
Identify and manage financial risks using hedging instruments.
6. Strategic Leadership:
Advise senior leadership, collaborate with teams, and evaluate tax and treasury implications for corporate transactions.
7. Operational Excellence:
Establish internal controls, drive process improvements, and lead a team.
What youll need to succeed
To secure an interview, you will need a strong knowledge of global tax regulations, transfer pricing guidelines, and financial instruments. Proficiency in cash flow forecasting, debt structuring, and financial risk management is essential. Exceptional leadership, communication, and negotiation skills are also required. Additionally, you should have advanced analytical skills to manage complex cross-border financial operations effectively.
What youll get in return
In return, you will receive a competitive salary along with benefits and a bonus.
What you need to do now
If youre interested in this role, click apply now to forward an up-to-date copy of your CV, or call us now.
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