Job Description
- Manages the Treasury providing strategy input, design, process, documentation, reporting, innovation, governance necessary to identify, evaluate, mitigate, and monitor the company’s operational treasury.
- Manages the operational aspects of the tax function including indirect tax strategy and direction; coordination and/or assembly of the income tax provision packages for Europe; provides insight into income tax provision and return review questions; coordinates the relationship between the book Accounting Team (s) and outside tax advisors and consultants.
- Acts as a liaison for the Corporate Tax and Treasury functions to the EMEA Segment.
- Partners with Corporate Finance and Finance Team to develop and execute the treasury function.
- Is the local expert source on treasury, indirect tax and associated reporting matters for trade bloc.
- Manages treasury (banking, working capital, foreign exchange), providing analysis and reporting to meet adequate working capital needs while ensuring investment policy and debt covenant compliance.
- Manages local tax advisor relationships for indirect and income tax to ensure tax operations are functioning correctly and efficiently.
- Assists Corporate Tax in tax related risk mitigation and reporting.
- Provides insight into and innovation for tax reporting and filing operations in collaboration with accounting partners in each jurisdiction.
In return, you will be rewarded with a high-growth, passionate company culture, and a generous benefits package including Health and Dental Insurance and Pension Plan.