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We Do Group

Tax and Treasury Manager

London
£75k – £80k/yr
Posted 1 day ago
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Tax and Treasury Manager

Group Tax & Treasury Manager | International Business | Strategic Leadership Opportunity

Location: London | Focus: Tax Leadership + Treasury

An exceptional opportunity has arisen for an experienced Group Tax & Treasury Manager to join a fast-growing, private equity-backed international business during an exciting period of expansion and integration. Following a number of strategic acquisitions, the organisation is strengthening its global finance function and seeks a tax professional to oversee the Group’s international tax agenda while also handling treasury, liquidity, and financial risk management to support business growth.

This role sits at the intersection of tax strategy and treasury operations, allowing you to influence business direction, partner directly with senior leadership, and drive the next phase of the company’s expansion.


The Opportunity

This predominantly tax-focused leadership position is responsible for:

  • Developing and executing the Group’s global tax strategy across an expanding international business.
  • Delivering technical expertise across:
    • Corporate tax
    • Transfer pricing
    • Indirect tax (e.g., VAT/GST)
    • International tax matters
  • Partnering with the executive team on acquisitions, restructuring projects, and business expansion initiatives.
  • Treasury oversight, including cash flow forecasting, liquidity management, and financial risk mitigation.

Key Responsibilities

Tax Leadership

  • Develop and deliver the Group’s global Tax strategy across multiple jurisdictions.
  • Lead corporate tax, indirect tax, and international tax compliance globally.
  • Own the Group’s transfer pricing framework, ensuring compliance with documentary and regulatory requirements (e.g., BEPS Action Plan/OECD).
  • Monitor developments in international tax (e.g., BEPS reforms, Pillar Two regulations), assessing impact on the Group.
  • Manage relationships with external tax advisers and tax authorities (including risk communication and dispute settlement).
  • Oversee tax accounting, effective tax rate reporting, and tax risk management.
  • Advise on acquisitions, restructures, and international expansion from a tax-descent standpoint.
  • Drive continuous improvement of tax governance, controls, and framework.

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PwC·London, UK
£35,000/yr

Why you're a good match

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Why you're a good match

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Treasury & Financial Risk Management

  • Support the Treasury strategy and its alignment with business objectives.
  • Oversee cash flow forecasting and liquidity management to ensure operational effectiveness.
  • Manage banking relationships and debt facility administration.
  • Monitor foreign exchange exposure and financial risk (e.g., hedging strategies).
  • Assist with treasury policies, controls, and governance frameworks.
  • Support refinancing, acquisition funding, and capital management initiatives.

About You

This role is ideal for an experienced international tax professional eager to expand into treasury and commercial finance within a high-growth, deal-driven environment.

Key Requirements

  • Professional qualification for a financial/tax position, e.g., ACA, ACCA, CTA, or ADIT (ACT for treasury is advantageous but not essential).
  • Significant experience in:
    • International corporate tax
    • Transfer pricing (preferably with deal teams and authority filings)
    • Multinational tax compliance (VAT/GST, CFC rules, etc.)
    • Directing restructuring/M&A or international expansion tax strategies.
  • Practical treasury knowledge, including:
    • Cash management
    • Liquidity planning
    • Foreign exchange/risk management.
  • Strong stakeholder influence skills with confidence to engage the CFO and Executive Leadership.
  • Multinational or PE-backed exposure is considered highly advantageous.

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Why Apply?

✔ Lead the global tax agenda for a fast-growing international Group.

✔ Work directly with the CFO and Executive Team on strategic business decisions.

✔ Shape acquisitions, integration projects, and international expansion from a tax and treasury perspective.

✔ Expand expertise into treasury, capital funding, and risk management.

✔ Go-to person in a collaborative, entrepreneurial environment with visibility and influence.

✔ Long-term career trajectory within a high-growth, private equity-backed international Group.


Interested? Submit your application if you’re a strategic tax and treasury leader seeking cross-disciplinary growth with direct access to executive conversations.

(Opportunity is open for experienced professionals.)

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Skills

International Tax
Transfer Pricing
Corporate Tax
Indirect Tax
Tax Compliance
Financial Risk Management
Cash Management
Stakeholder Management
M&A Transactions
Business Restructuring
Treasury Strategy
Liquidity Management
Banking Relationships
Tax Governance
Tax Risk Management
Financial Risk

Location

London, England, United Kingdom

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