The Group Head of Treasury and Tax is a key leadership position responsible for driving treasury operations, global tax strategy, and intercompany financial structuring across the group. This role ensures optimal cash and liquidity management, compliance with regulatory requirements, and efficient capital deployment. In addition, the role plays a pivotal part in supporting customer credit risk management and improving working capital through close collaboration with the Finance and Accounts Receivable teams.
Key Responsibilities
·
Treasury Management
· Bank Relationships & Financing
· Dividend Strategy & Cash Repatriation
· Tax Planning & Compliance
· Credit Control & Accounts Receivable
· Leadership & Strategic Collaboration
Qualifications & Experience
· Bachelor's degree in Finance, Accounting, Economics, or related field. MBA, CPA, CFA, or CTP certification preferred.
· Minimum 10 years of progressive experience in treasury, tax, and corporate finance in an international or multinational environment.
· Proven track record in managing cross-border liquidity, transfer pricing, and bank financing arrangements.
· Experience in customer credit risk management and working capital optimization is a strong plus.
· Familiarity with ERP and treasury management systems (TMS).
We offer a competitive salary and benefits.
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