Tax Treasury Manager

Privatal

Frankfurt

Vor Ort

EUR 90.000 - 130.000

Vollzeit

14 Tage+
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Zusammenfassung

Privatal in Frankfurt is seeking a Senior Tax & Treasury Manager to lead tax strategy, compliance and reporting and to own cash-flow forecasting and group liquidity. This role offers close collaboration with the CFO and external advisers as the business scales internationally.

You will manage corporate and international tax matters, oversee banking relationships, financing, covenant reporting and drive working-capital initiatives while supporting transfer pricing and cross-border tax matters.

Qualifikationen

  • Proven tax expertise with exposure to treasury and cash management.
  • Experience with corporate and international tax matters.
  • Ability to partner with CFO and external advisers.

Aufgaben

  • Leading group tax strategy, compliance and reporting
  • Managing corporate and international tax matters
  • Overseeing cash-flow forecasting and group liquidity
  • Managing banking relationships, financing and covenant reporting
  • Driving working-capital and cash-management initiatives
  • Supporting transfer pricing and cross-border tax matters
  • Developing tax governance, controls and reporting processes
  • Working with external advisers, auditors and banking partners

Kenntnisse

Tax expertise
Treasury exposure
Forecasting
Stakeholder management

Jobbeschreibung

We are supporting a private equity-backed business in Frankfurt to appoint a Senior Tax & Treasury Manager. Following significant international growth, the business is investing in its finance infrastructure and bringing greater ownership of tax and treasury in-house.

This is an opportunity to shape two business critical areas while working closely with the CFO, senior leadership and external stakeholders.

Your responsibilities will include:
  • Leading group tax strategy, compliance and reporting
  • Managing corporate and international tax matters
  • Overseeing cash-flow forecasting and group liquidity
  • Managing banking relationships, financing and covenant reporting
  • Driving working-capital and cash-management initiatives
  • Supporting transfer pricing and cross-border tax matters
  • Developing tax governance, controls and reporting processes
  • Working with external advisers, auditors and banking partners

We are looking for someone with strong tax expertise and meaningful exposure to treasury, financing or cash management. Experience within an international, private equity-backed or rapidly scaling organisation would be particularly valuable.

Why consider it?
  • Direct exposure to the CFO and private equity investor
  • The opportunity to build and professionalise the function
  • Broad ownership across tax and treasury
  • High visibility across an international organisation
  • Clear progression as the business continues to scale

This is a rare opportunity to take ownership of both tax and treasury in a highly visible role with direct access to the CFO and investor.

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