Primarily to support VP Tax & Treasury by preparing global analysis treasury and tax analysis to ensure; efficient cash & debt management timely reporting for corporate tax, transfer pricing compliance and other group reporting.
Key Responsibilities
* Treasury and other
* Analysis and review of day to day global cash / debt positions to ensure efficient cash and debt management
* Review, calculation and settlement of IC debt related positions, to provide efficient cash and tax solutions
* Support for global Asset Based lending analysis and reporting
* Maintain global organizational chart and support changes to legal entity structures
* Support other teams with KYC requirements and reporting
* Corporate taxation
* Coordinate Global transfer pricing information requirements with external advisors
* Prepare various UK and foreign corporate tax provisions for Group USGAAP financial reporting
* Support external advisors and Finance teams with global corporate tax compliance
* Communicate and develop relationships with key external advisors in Tax and Legal
Required Skills
* Base knowledge in corporate tax compliance / transfer pricing (would be an advantage)
* Good accounting knowledge, external audit background would be useful
* Strong excel and analytical skills
* An appetite for detail and review
* Ability to work flexibly, independently
* Apply oneself to multiple tasks at one time with ability to prioritize
* Experience of working within cross functional / multi-national groups
* Manage multiple internal and external stakeholders
Required Experience
Preferred Qualifications:
Part Qualified Accountant
Required Experience:
2+ years of overall accounting/tax/TP experience