Job Level Choose One
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
oAnalysis and review of day to day global cash / debt positions to ensure efficient cash and debt management
oReview, calculation and settlement of IC debt related positions, to provide efficient cash and tax solutions
oSupport for global Asset Based lending analysis and reporting
oMaintain global organizational chart and support changes to legal entity structures
oSupport other teams with KYC requirements and reporting
·Corporate taxation
oCoordinate Global transfer pricing information requirements with external advisors
oPrepare various UK and foreign corporate tax provisions for Group USGAAP financial reporting
oSupport external advisors and Finance teams with global corporate tax compliance
oCommunicate 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
·