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Campbell Brown Associates

Group Tax & Treasury Director

London
£170k – £200k/yr
Posted about 21 hours ago
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Group Tax & Treasury Director

We're partnering with a successful, listed, International business in their search for a Group Tax & Treasury Director.

This is a broad, senior role combining strategic leadership with hands-on execution. The role sits at the centre of significant financing, restructuring and strategic transactions, providing the opportunity to influence decisions beyond the traditional boundaries of tax and treasury.

If you've got experience managing tax and/or treasury for complex, international organisations, we'd love to hear from you.

Group Tax & Treasury Director - Responsibilities

Treasury, liquidity and financing

  • Lead the Group’s global treasury function, including cash and liquidity management, forecasting, banking and treasury controls
  • Manage the Group’s debt facilities, covenant compliance, lender reporting and relationships
  • Lead refinancing and other financing initiatives, working closely with the CFO, Board, banks, legal advisers and other external parties
  • Optimise the Group’s capital structure and cost of funding, including assessing debt repayment, refinancing and other capital management opportunities
  • Oversee global cash management, cash pooling and intercompany funding to ensure cash is efficiently deployed across the Group
  • Oversee foreign exchange and interest rate risk management, including hedging strategy and execution
  • Own the Group’s liquidity, net debt and cash forecasting, providing clear analysis and recommendations to senior management and the Board
  • Support initiatives to improve working capital, cash conversion and the overall efficiency of the Group’s balance sheet

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Group Tax

  • Lead the Group’s global tax strategy and governance framework, ensuring material tax risks are identified, managed and appropriately communicated
  • Advise the CFO and senior management on significant tax matters and provide tax input into acquisitions, disposals, financing, restructuring and other strategic transactions
  • Take overall responsibility for monthly, interim and year-end tax accounting and reporting, including current and deferred tax, effective tax rate analysis and IFRS disclosures.
  • Oversee the Group’s international tax compliance framework, ensuring material obligations are appropriately managed
  • Oversee Pillar 2, Country-by-Country Reporting and other international tax reporting requirements
  • Manage key international tax matters, including transfer pricing, withholding taxes and cross-border structuring
  • Maintain appropriate oversight of material indirect tax matters, including VAT/GST and US sales tax
  • Lead relationships with tax authorities, external tax advisers and auditors

Leadership, Governance and Controls

  • Lead and develop the Group Tax and Treasury team
  • Maintain robust policies, controls, reporting timetables and documentation across tax and treasury.
  • Work closely with Group Finance, Legal and regional finance teams to ensure tax and treasury considerations are incorporated into business decisions.
  • Provide clear and concise reporting to the CFO, Audit & Risk Committee and Board as required.
  • Continue to develop the use of technology, automation and data across tax and treasury to improve efficiency, visibility and control.

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Group Tax & Treasury Director - Required Experience

  • Qualified ACA, ACCA, CTA or equivalent
  • Significant post-qualification experience and a strong background in tax and/or treasury, together with sufficient breadth to lead both functions
  • Experience operating at a senior level within a listed, international or similarly complex organisation
  • A strong understanding of corporate and international tax, tax accounting and the management of material tax risks
  • Experience of treasury and corporate finance matters, including liquidity management, debt facilities, refinancing and banking relationships.
  • Commercially minded, with the ability to consider tax, treasury, financing and capital allocation decisions in the context of the wider business.
  • Proven experience leading and developing teams, with the ability to prioritise effectively across a broad and evolving agenda
  • Comfortable leading complex projects and working with banks, lawyers, auditors, tax advisers and other external stakeholders
  • Strong analytical skills and the ability to translate complex issues into clear, practical recommendations.
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Skills

Treasury Management
Global Tax Strategy
Liquidity Forecasting
Debt Financing
Tax Accounting
IFRS Disclosures
Risk Management
Transfer Pricing
Capital Structure Optimization
Foreign Exchange Hedging
Corporate Finance
Stakeholder Management
Team Leadership
International Tax Compliance
Working Capital Management
Strategic Transactions

Location

London, England, United Kingdom

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