We’re partnering with a fast-growing, highly acquisitive real estate platform to hire a Group Tax & Treasury Manager to take ownership of tax and treasury across a complex UK group.
This is a high-impact, standalone role offering significant exposure to senior leadership, M&A activity, and value creation initiatives within a PE-backed environment.
The Role
You will lead all direct and indirect tax matters alongside core treasury activities, ensuring robust compliance, strong governance, and effective cash and liquidity management across the group. Operating with a high degree of autonomy, you’ll handle the majority of tax matters in-house while leveraging external advisors where needed.
Key Responsibilities
* Ownership of corporation tax and VAT compliance, including filings, computations, and disclosures
* Lead tax accounting, transfer pricing, CIR/thin cap, R&D claims, and QIPs
* Oversee treasury activities including cash management, liquidity planning, and banking relationships
* Manage cash flow forecasting and support funding requirements across the group
* Partner with the business to provide pragmatic tax and cash-focused insights
* Support M&A activity, including due diligence, structuring considerations, and post-deal integration
* Manage tax governance (SAO, CCO, risk registers) and HMRC relationships
* Drive process improvements, controls, and efficiencies across tax and treasury
About You
* CTA / ACA / ACCA qualified with strong UK corporate tax experience
* Exposure to treasury, cash flow management, or financing structures
* Background in large, complex or PE-backed environments
* Comfortable operating as a standalone lead in a fast-paced setting
* Commercially minded with strong stakeholder management skills
* Technically strong, hands-on, and solutions-focused
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